36 research outputs found

    Restoration survival effects of treatment on dental health in patients attending three selected dental practices

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    Does dental restorative treatment equate to the re-establishment of the patient's original state of dental health? Are restorative materials an adequate substitute for natural tooth material? Do such materials cure dental caries? For many years the answer to these questions was believed to be yes, but now these traditionally-accepted concepts are being questioned. The challenging of these concepts gathered momentum when the results of a 1978 survey of the General Dental Service (GDS) of the Scottish National Health Service were published. These results indicated that the amount of treatment received and restoration survival varied with the frequency of examinations and how often the patients changed dentists. The present study was designed to compare the Scottish NHS and other study findings with those obtained from privately-treated adult patients from a different population. The findings: were analysed by examining restoration survivals and changes in the dental health status of·100 patients and comparing the results to those reported elsewhere in the literature, primarily Dawson (1989) and Mahmood (1991). This study was a retrospective document survey, with the population group being drawn from the patient lists of three busy Adelaide private dental practices during 1992. The patients all had continuous treatment records ranging between I 0 to 46 years. The survival characteristics of the various restorative materials studied indicated that the mean survival rates of restorations generally reported in the literature may not be representative of many patients who regularly attend private dental practices. For comparison, the results obtained from the present study indicate impressive survival rates of: Amalgams 22. 5 ± 1. 1 years median survival Composite Resins 16.7 ± 1.4 years median survival Crowns 15.41 ± 1.0 year 75% survival Castings 13.8 ± 4.7 years median survival Glass-Ionomers 11.25 ± 0.6 years 75% survival These results are at the higher end of restoration survival when compared to those reported in the literature. As expected, the survivals of replacement restorations were generally inferior to the original restorations, with many such restorations being replaced two or three times over the study period. Overall, restoration survivals were independent of the dental practice, the dentist and the experience of the practitioner, and regardless of whether or not the restorations were replaced by the same dentist who originally placed them. However, there were some significant differences in restoration survivals by patient age cohorts, material type and distribution by class of cavity preparation, tooth site and arch location. The general dental health of the patients within this study, using both DMF and T-Health indices, demonstrated a gradual decline over the treatment period. While the age of the patient had some significant effect upon the rate of change of dental health, this effect could be explained by the 'saturation' of potential restoration sites in the patient's mouth with time. There was also some significant effect upon the rate of change in dental health related to the practices and the number of changes of dentists: However, the frequency with which the patients attended dentists, or whether or not they changed practitioners, did not have any significant effect upon the rates of changes in their dental health.Thesis (MDS) -- University of Adelaide, Dept. of Dentistry, 199

    A bi-directional relationship between obesity and health-related quality of life : evidence from the longitudinal AusDiab study

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    Objective: To assess the prospective relationship between obesity and health-related quality of life, including a novel assessment of the impact of health-related quality of life on weight gain.Design and setting: Longitudinal, national, population-based Australian Diabetes, Obesity and Lifestyle (AusDiab) study, with surveys conducted in 1999/2000 and 2004/2005.Participants: A total of 5985 men and women aged 25 years at study entry.Main outcome measure(s): At both time points, height, weight and waist circumference were measured and self-report data on health-related quality of life from the SF-36 questionnaire were obtained. Cross-sectional and bi-directional, prospective associations between obesity categories and health-related quality of life were assessed.Results: Higher body mass index (BMI) at baseline was associated with deterioration in health-related quality of life over 5 years for seven of the eight health-related quality of life domains in women (all P0.01, with the exception of mental health, P&gt;0.05), and six out of eight in men (all P&lt;0.05, with the exception of role-emotional, P=0.055, and mental health, P&gt;0.05). Each of the quality-of-life domains related to mental health as well as the mental component summary were inversely associated with BMI change (all P&lt;0.0001 for women and P0.01 for men), with the exception of vitality, which was significant in women only (P=0.008). For the physical domains, change in BMI was inversely associated with baseline general health in women only (P=0.023).Conclusions: Obesity was associated with a deterioration in health-related quality of life (including both physical and mental health domains) in this cohort of Australian adults followed over 5 years. Health-related quality of life was also a predictor of weight gain over 5 years, indicating a bi-directional association between obesity and health-related quality of life. The identification of those with poor health-related quality of life may be important in assessing the risk of future weight gain, and a focus on health-related quality of life may be beneficial in weight management strategies.<br /

    The Effects of Herbivory by a Mega- and Mesoherbivore on Tree Recruitment in Sand Forest, South Africa

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    Herbivory by megaherbivores on woody vegetation in general is well documented; however studies focusing on the individual browsing effects of both mega- and mesoherbivore species on recruitment are scarce. We determined these effects for elephant Loxodonta africana and nyala Tragelaphus angasii in the critically endangered Sand Forest, which is restricted to east southern Africa, and is conserved mainly in small reserves with high herbivore densities. Replicated experimental treatments (400 m2) in a single forest patch were used to exclude elephant, or both elephant and nyala. In each treatment, all woody individuals were identified to species and number of stems, diameter and height were recorded. Results of changes after two years are presented. Individual tree and stem densities had increased in absence of nyala and elephant. Seedling recruitment (based on height and diameter) was inhibited by nyala, and by elephant and nyala in combination, thereby preventing recruitment into the sapling stage. Neither nyala or elephant significantly reduced sapling densities. Excluding both elephant and nyala in combination enhanced recruitment of woody species, as seedling densities increased, indicating that forest regeneration is impacted by both mega- and mesoherbivores. The Sand Forest tree community approached an inverse J-shaped curve, with the highest abundance in the smaller size classes. However, the larger characteristic tree species in particular, such as Newtonia hildebrandtii, were missing cohorts in the middle size classes. When setting management goals to conserve habitats of key importance, conservation management plans need to consider the total herbivore assemblage present and the resulting browsing effects on vegetation. Especially in Africa, where the broadest suite of megaherbivores still persists, and which is currently dealing with the ‘elephant problem’, the individual effects of different herbivore species on recruitment and dynamics of forests and woodlands are important issues which need conclusive answers

    Communicating employability: the role of communicative competence for Zimbabwean highly skilled migrants in the UK

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    Skilled migration is an increasingly important topic for both policy and research internationally. OECD governments in particular are wrestling with tensions between their desire to use skilled migration to be on the winning side in the ‘global war for talent’ and their pandering to and/or attempts to outflank rising xenophobia. One aspect that has received relatively little attention is skilled migration from the African Commonwealth to the UK, a situation in which skilled migrants have relatively high levels of linguistic capital in the language of the host country. We focus here on the case of Zimbabwe. In spite of its popular image as a failed state, Zimbabwe has an exceptionally strong educational tradition and high levels of literacy and fluency in English. Drawing on 20 in-depth interviews of Zimbabwean highly skilled migrants, we explore the specific ways in which the communicative competences of these migrants with high formal levels of English operate in complex ways to shape their employability strategies and outcomes. We offer two main findings: first, that a dichotomy exists between their high level formal linguistic competence and their ability to communicate in less formal interactions, which challenges their employability, at least when they first move to the UK; and second, that they also lack, at least initially, the competence to narrativise their employability in ways that are culturally appropriate in England. Thus, to realise the full potential of their high levels of human capital, they need to learn how to communicate competently in a very different social and occupational milieu. Some have achieved this, but others continue to struggle

    A systematic review evaluating the psychometric properties of measures of social inclusion

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    Introduction: Improving social inclusion opportunities for population health has been identified as a priority area for international policy. There is a need to comprehensively examine and evaluate the quality of psychometric properties of measures of social inclusion that are used to guide social policy and outcomes. Objective: To conduct a systematic review of the literature on all current measures of social inclusion for any population group, to evaluate the quality of the psychometric properties of identified measures, and to evaluate if they capture the construct of social inclusion. Methods: A systematic search was performed using five electronic databases: CINAHL, PsycINFO, Embase, ERIC and Pubmed and grey literature were sourced to identify measures of social inclusion. The psychometric properties of the social inclusion measures were evaluated against the COSMIN taxonomy of measurement properties using pre-set psychometric criteria. Results: Of the 109 measures identified, twenty-five measures, involving twenty-five studies and one manual met the inclusion criteria. The overall quality of the reviewed measures was variable, with the Social and Community Opportunities Profile-Short, Social Connectedness Scale and the Social Inclusion Scale demonstrating the strongest evidence for sound psychometric quality. The most common domain included in the measures was connectedness (21), followed by participation (19); the domain of citizenship was covered by the least number of measures (10). No single instrument measured all aspects within the three domains of social inclusion. Of the measures with sound psychometric evidence, the Social and Community Opportunities Profile-Short captured the construct of social inclusion best. Conclusions: The overall quality of the psychometric properties demonstrate that the current suite of available instruments for the measurement of social inclusion are promising but need further refinement. There is a need for a universal working definition of social inclusion as an overarching construct for ongoing research in the area of the psychometric properties of social inclusion instruments
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