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The role of sediment supply and sea-level changes on a submerging coast, past changes and future management implicationsRennie, Alistair Flett January 2006 (has links)
Geomorphological, geophysical, archaeological and documentary investigations have been employed to establish the variation of sea level change, sediment supply and geological control from the Late-Holocene, through the Historical period to the Present day, in Sanday. Techniques such as Ground-Penetrating Radar and geomorphological Radar and geomorphological surveying have identified a suite of gravel ridge recurves and placed them within their geomorphological context. The provisional regional sea level curve has been updated and clarified following the discovery and successful dating of a submerged forest. This sea level curve was then used to constrain the development of the coast of Sanday into separate time period. A range of archaeological and historical evidence also informed and corroborated the geomorphological evidence to allow the island’s coastal development to be established over the last few thousand years towards the present day, where differential-GPS and sonar techniques allowed these long-term trends to be placed into their modern context. Island-building occurred during Holocene submergence along with other radical changes to the shape and form of the coastline, all reflecting the changing dominance between the three controlling factors. The accepted outcome of submergence is transgression and fragmentation of islands rather than island building and this is wholly a result of a healthy sediment supply at the early stages. However, this sediment source has since begun to diminish and fragmentation, erosion and transgression may well be the outcome of the present trends in Sanday. This coastal change scenario has been projected forward, using climate change scenarios, to raise significant questions not only for Sanday and those regions which have historically experienced submergence, but also for those areas which previously experienced emergence and more recently are starting to be affected by relative sea level rise
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Aspects of the sustainability of creel fishing for Norway lobster, Nephrops norvegicus (L.), on the west coast of ScotlandAdey, Jonathan Max January 2007 (has links)
This thesis describes a study of a number of aspects of the Nephrops creel fishery. Various aspects have been studied. In particular, work has focused on how the biology of Nephrops affects its catchability in creels, as well as assessing the environmental impacts of the Nephrops creel fishery. A smaller study relating to the physiological effects of the capture and transport of live creel-caught Nephrops, has also been undertaken. Fishery-directed sampling of Nephrops displayed strong seasonal trends in catch composition and catch rate, reflecting patterns in the Nephrops moult and reproductive cycles. Most females were caught in the early spring, following moulting and mating, with catch rates becoming low after spawning in autumn. Catches of males were greatest around February following moulting. Of those animals caught, males were larger than females. These seasonal patterns reflect the exploitation of different components of the stock throughout the year. Fishery sampling also showed there to be considerable stock heterogeneity both among and within creel fisheries. Global positioning system (GPS)-linked data loggers fitted to selected fishing boats provided a more detailed assessment of spatial variability in catch rate. Results showed both effort and landings per unit effort (LPUE) to be patchily distributed in the area studied, further illustrating considerable stock heterogeneity throughout the area. Both approaches illustrated that catch rate varied with sediment type, with high catch rates of small animals on sandy to firm mud and high catch rates of large animals on softer mud. Additionally, population modelling indicated that, in the areas studied, Nephrops are not currently being growth overfished. Behavioural observations in both the field and laboratory indicated a low probability of entry to creels by approaching Nephrops, particularly if other crustacean species were inside the creel. Larger Nephrops appeared to have a greater threshold for disturbances such as and the presence of conspecifics or other species as well as reduced gear avoidance, suggesting that Nephrops creels select larger animals in the population. Using sea pens as an indicator of physical disturbance of the sea bed showed that impacts from creeling were low. The sea pens Virgularia mirabilis and Pennatula phosphorea were caught in moderate quantities in the creel fishery, but were still observed in high densities on creel grounds. Comparison with trawled areas showed some differences in density, the most notable being that the tall sea pen Funiculina quadrangularis was less abundant on trawled grounds, indicating an adverse effect of bottom-towed gear. Bycatch was assessed in two distinct fisheries and varied both between and within areas; however, levels of bycatch (both target and non-target species) in all areas were much lower than previous estimates from the trawl fishery. Additionally, in contrast to the trawl fishery, commercially exploited fish made up a small proportion of the bycatch in the Nephrops creel fisheries studied. The survival of Nephrops discards is considered to be high, although preliminary results suggest that predation by seabirds may cause significant mortality. The effects of ‘ghost fishing’ were investigated experimentally at two sites and it seemed that lost creels do not constitute a serious issue in this fishery. Creels were found to be very selective for their target species, with both target and non-target species being able to escape. Only a few crabs and a small proportion of the captured Nephrops died in the creels, indicating no evidence of a ‘re baiting’ effect from dead animals. Stress associated with the capture, storage and live transport of creel-caught Nephrops was found to be greatest during the transport process, during which Nephrops are kept out of water for long periods of time. Temperature was particularly important, suggesting cooling prior to and during transport was essential in order to ensure their survival. Reduced salinity was found to be a major source of stress. An assessment of the management measures implemented in the Torridon creel fishery show that escape gaps placed in creels are effective in enabling smaller Nephrops and other bycatch species to escape. Limiting effort of individual fishermen has been successful, but this has been followed by an increase in the number of boats fishing within the area, leading to an overall increase in effort. Management measures (both statutory and voluntary) currently applied in the Torridon area are discussed and considered in relation to other areas. It is concluded that creel fishing areas need to be considered on a case-by-case basis, accounting for biological characteristics of individual stocks, as well as management issues at a local scale. The findings of the present study are discussed in the context of providing a detailed description of the characteristics of the Nephrops creel fishery on the west coast of Scotland. Findings are also discussed in relation to other crustacean creel fisheries, enabling issues directly relevant to the specific fishery to be considered in a much broader context. The present study has been particularly valuable in a wider context, as Nephrops are found in a habitat which is very different from the majority of other commercially exploited crustaceans, and their life history characteristics are also different. This study provides an ideal platform to assess what general principles from other creel fisheries apply to the Nephrops creel fishery, as well as what characteristics are unique to this fishery.
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A model approach to radioactive waste disposal at SellafieldMcKeown, Christopher January 1997 (has links)
Sellafield in West Cumbria is the potential site of a repository for radioactive, Intermediate Level Waste (ILW). The proposed repository lies at 650 m beneath the ground surface to the west of the 1000 m uplands of the Lake District. The fractured Borrowdale Volcanic Group (BVG) host rock is overlain by a sequence of Carboniferous and Permo-Triassic sediments. Fresh, saline and brine groundwaters exist in the subsurface. Upward trending fluid pressure gradients have been measured in the area of the potential repository site. Steady-state, 2-D simulations of fluid flow were undertaken with the OILGEN code. Topographically driven flow dominates the regional hydrogeology. Subsurface fluid flow trended persistently upwards through the potential repository site. The dense brines to the west of the site promoted upward deflection of groundwaters. The groundwater flow rate through the potential repository site was dependent upon the hydraulic conductivity of the BVG. Calibration of the model was achieved by matching simulated subsurface pressures to those measured in-situ. Emergent repository fluids could reach the surface in 15,000 years. The measured BVG hydraulic conductivity is up to 1000 times too high to be simply declared safe. Geochemical simulations, with Geochemist's Workbench?, showed natural BVG groundwaters display redox disequilibrium. The in-situ Eh is most probably +66 mV. Pyrite, absent from rock fractures, would not enforce a reducing -250 mV Eh. Steel barrels and alkaline cement are intended to geochemically retain 2.5x106 kg of uranium. Simulations of repository cement/BVG groundwater interactions produced pH 10 at 80°C but no change in the +66 mV Eh. Steel barrel interactions produced an alkaline fluid with Eh -500 mV. Uranium solubility in the high pH repository near field was as high as 10-2.7 M, regardless of steel interactions. Uranium solubility adjacent to the repository (pseudo near field) was controlled by Eh; ranging from 10-13 M in the presence of steel, to 10-2.7 M with no steel. Uranium retention is controlled only by steel barrel durability. Oxidising, natural BVG groundwater will enhance steel barrel destruction. Distant from repository (far field) uranium solubility was 10-5.4 M if Eh was as measured in-situ. Thermodynamic data variations affect the calculation of uranium solubility; uranium near field solubility can be as high as 10-1.4 M. Uranium solubilities in near-field high pH groundwater could be more than 600 times greater than the 10-5.5 M used by the UK Nirex Ltd. in their safety case simulations.
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Identification of palaeotsunamis using ground penetrating radar, sedimentological and micropaleontological techniques : implications for Sri Lankan tsunami riskPremasiri, H. M. Ranjith January 2012 (has links)
One of the most catastrophic natural hazards which can devastate coastal zone communities is the tsunami. The risk of tsunami devastation can be mitigated by reconstruction and quantification of past tsunamis, but this requires identification and analysis of past tsunami magnitudes and dates even from historical times. The interpretation of geological records of tsunamigenic deposits is the core theme explored in this thesis for the characterisation of palaeotsunamis. Three key elements: identification of palaeotsunamites, dating their deposition and determination of magnitude are needed for reconstruction and quantification of palaeotsunamis. While several studies have described criteria for identification of tsunamigenic sediments, much less research has been carried out on reconstruction of palaeotsunamis. Sediment characteristics, their depositional configuration and extent of the inundation area on the coast give infOlmation on hydrodynamic conditions of tsunami waves. This study has developed a method to estimate tsunami risk by reconstructing and quantifying palaeotsunamis from tsunamigenic sediments on the Sri Lankan coast rising sedimentological and paleontological characteristics, Ground Penetrating Radar (GPR), and optically stimulated luminescence (OSL) dating techniques. The 2004 tsunami records were used as a control for the study. Distinctive tsunamigenic sediment signatures were recognised. Three palaeotsunami events were identified and dated at ISO (Krakatua), 2550±190 and 3170±320 years BP and correlated with historical and archaeological records. The recurrence interval of c 600 years postulated for the Indian Ocean was confirmed by this study and the oldest event recorded to date in the Indian Ocean was recognised at 3170±320BP. The method developed here based on reconstruction of palaeotsunamis using sedimentological records, GPR and OSL techniques enables estimation of inundation distance, recurrence interval and consequently the wave characteristics of palaeotsunamis which can be used to estimate tsunami risk for any coast.
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Investigation of lead and zinc dispersion from an abandoned mine site at Tyndrum, ScotlandMansor, Nurlidia January 2008 (has links)
This research focuses on atmospheric and fluvial dispersal of Pb and Zn from an abandoned mine at Tyndrum, Scotland, which potentially acts as a significant source of contamination to the surrounding area. Concentrations of Pb and Zn in tree bark samples and peat profiles were measured to assess aerial deposition and fallout around the main mine site. Dispersal of contaminants through fluvial transport was assessed by analysis of river water and sediment on site and in the main river system draining the area, extending 25 km downstream from the mine area. Attempts were also made to determine whether the contamination is due to contemporary dispersal of material from the abandoned mine waste dumps, or originates from past deposition. Pb and Zn concentrations in tree bark from Scots pine (Pinus sylvestris) were high, but decreased with increasing distance up to approximately 100 m from the main dumpsite. Concentrations reduced markedly beyond this distance, possibly owing to the density of the forest stand. It is suggested that tree bark samples provide a useful medium for monitoring and quantifying contemporary aerial dispersal. Distributions of Pb and Zn within peat soil profiles provide information of past atmospheric deposition. Subsurface peaks of Pb and Zn can be linked to the period when mining was active during the 19th and early 20th centuries using the 210Pb dating method. The dispersal of Pb and Zn within the fluvial system was assessed by measuring concentrations of the contaminants in the solution, suspended particle and bed sediment phases. It was found that Pb and Zn are mainly transported in suspension in the 1.2-53 m suspended sediment fraction and are consequently deposited throughout the dispersion pathway in riverbed, lake and riverbank sediments. The contaminant Pb in an overbank core was confirmed as originating from the Tyndrum mine on the basis of its 206Pb/207Pb isotope ratio characteristics. This confirms a previous hypothesis that waste from the mine is an important contributor to Pb contamination over the entire length of the river system as far as Loch Tay. Thus overall, the investigation concludes that although the atmospheric dispersal of the contaminants is mostly contained within the vicinity of the Tyndrum main mine, the fluvial system remains a significant pathway for dispersal of Pb and Zn from the Tyndrum waste and that the presence of these metals within the river may persist for many years to come.
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Assessing the impact of windfarm-related disturbance on streamwater carbon, phosphorus and nitrogen dynamics : a case study of the Whitelee catchmentsMurray, Helen Susan January 2012 (has links)
This research examined the impact which onshore windfarms sited on peat-based soils have on streamwater carbon (C), phosphorus (P) and nitrogen (N) dynamics. Significant disturbance to peatland arises through the excavation of borrow pits, construction of access tracks, insertion of turbine bases and associated deforestation during windfarm development – potentially increasing the transfer of C, P and N from terrestrial stores to the stream network. To identify which impacts occur, streamwater samples from nine catchments draining the Whitelee windfarm, Scotland, Europe’s largest onshore windfarm, were collected approximately bi-monthly from October 2007 to September 2010 during and after windfarm construction, building on pre-disturbance data from Waldron et al. (2009). The samples were analysed for dissolved organic carbon (DOC), particulate organic carbon (POC), total organic carbon (TOC), soluble reactive phosphorus (SRP), total phosphorus (TP) and nitrate (NO3-). Time series were constructed and annual streamwater exports were calculated so that inter-catchment and annual differences could be detected. DOC concentrations ranged from 2.9 mg L-1 to 57.1 mg L-1 and DOC exports ranged from 9.0 g m-2 yr-1 to 42.3 g m-2 yr-1. POC concentrations ranged from 0.09 mg L-1 to 23.4 mg L-1 with POC exports ranging from 0.80 g m-2 yr-1 to 3.93 g m-2 yr-1. DOC exhibited seasonality with maximum concentrations and exports towards the end of each summer. Harmonic regression analysis of the TOC data indicated a slight increase during the maximum phase of the seasonal cycle, coincident with windfarm-related disturbance observed in one catchment only. Regardless of windfarm development, streamwater DOC exports for four peatland-dominated catchments were observed to exceed typical values of C sequestration rate for Scottish peatlands over the four year time series. SRP concentrations ranged from 1 ug L-1 to 289 ug L-1 and exports from 12 mg m-2 yr-1 to 104 mg m-2 yr-1 with TP concentrations and exports ranging from 2 ug L-1 to 328 ug L-1 and exports from 25 mg m-2 yr-1 to 206 mg m-2 yr-1 respectively. In two catchments where windfarm-related clear-felling and extensive brash mulching were carried out, as much as a tenfold increase was observed from June 2007 in P concentration, coincident with the timings of windfarm-related forestry operations. The water quality status of these two catchments declined from “good” to “moderate” in terms of the Water Framework Directive (2000) UK Technical Advisory Group Environmental Standards for SRP in Rivers, and had still not shown a full recovery after a further two years. NO3- concentrations ranged from 0.001 mg L-1 to 2.44 mg L-1 and exports from 0.07 g m-2 yr-1 to 1.64 g m-2 yr-1. Harmonic regression analysis indicated a potential impact on streamwater NO3- concentration through a change in the seasonal pattern observed in three catchments during 2007-2008, coinciding with windfarm-related disturbance. To determine the most likely controls of C, P and N, a geographic information system (GIS) analysis was employed to describe the physiography of each catchment and to quantify the extent of windfarm-related disturbance. Multiple linear regression analysis was performed using median concentration and export for a low-disturbance phase from June 2006 to August 2007, and a maximum-disturbance phase from September 2007 until May 2009, with the catchment characteristics from the GIS analysis to identify potential impacts of windfarm-related disturbance. The percentage of the catchment which was HOST class 15 and 29, both peat-based soil types, was observed to influence streamwater C, with the proportion of the catchment which was pasture observed to influence streamwater N. Windfarm-related disturbances were also found to control streamwater dynamics. The extent of deforestation was observed to greatly increase streamwater P concentration and that there was a smaller increase in C, with consequent impacts on SRP and POC export. The source of this additional C and P resulted most likely from forestry operations, namely, clear-felling large areas of catchment and extensive brash mulching associated with the windfarm habitat restoration, with new organic material available for decomposition and the potential for erosion of the newly-exposed soil surface. Residual fertiliser used to establish the conifer trees, the reduced vegetation uptake of soil P and P release from the roots of the felled trees are three further sources of P in streamwater. The distance to the nearest disturbance was also found to influence streamwater dynamics. This research has shown that windfarm-related infrastructure can also influence streamwater chemistry, although exerting a less obvious impact: increasing access track length was correlated with decreasing POC and P concentration causing subsequent decreases in export. This is likely to be caused by the effective use of settlement ponds, flocculation blocks and ditch blocking in order to reduce the amount of particulate matter reaching the stream network and potentially through the adsorption of P by the access track construction material. Windfarm-related disturbance did not influence N dynamics; NO3- concentration was strongly correlated with HOST class 24 and the proportion of the catchment which was pasture, and NO3- exports were influenced by the flow length per catchment area, the percentage of coniferous forest cover and the extent of pasture. Two recommendations for best practice at future windfarm developments on peatland are made: firstly, monitor C, P and N in streamwater in all catchments before, during and after windfarm construction on C rich soils as part of EIA process in order to ensure that water quality is maintained in rivers, to determine whether discharges from windfarm developments should require to be licensed and to improve the accuracy of C payback time estimates; and secondly, minimise brash-mulching to reduce the impact on streamwater P. Furthermore, some suggestions for future research were proposed, including: plot studies to determine the best practice mitigation measures for P release in peatland catchments, longitudinal catchment studies, investigation of the relationship between access track construction material and streamwater dynamics, installation of continuous monitoring equipment along with a sampling regime which targets high flow events, examination of the changing stiochiometry, quantification of inorganic C and gaseous forms of C, and measuring catchment C sequestration rates.
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Statistical analysis of freshwater parameters monitored at different temporal resolutionsMohamad Hamzah, Firdaus January 2012 (has links)
Nowadays, it is of great importance in ecological and environmental studies to investigate some prominent features in environmental determinants using appropriate statistical approaches. The initial motivation of this work was provided by the enthusiasm of the limnologist, biologist and statistician, interested in exploring and investigating certain features of time series data at different temporal resolutions to environmental parameters in freshwater. This thesis introduces a variety of statistical techniques which are used to provide sufficient information on the features of interest in the environmental variables in freshwater. Chapter 1 gives the background of the work, explores the details of the locations of the case studies, presents several statistical and ecological issues and outlines the aims and objectives of the thesis. Chapter 2 provides a review of some commonly used statistical modelling approaches to model trend and seasonality. All the modelling approaches are then applied to low temporal resolution (monthly data) of temperature and chlorophyll measurements from 1987-2005 for the north and south basins of Loch Lomond, Scotland. An investigation into the influence of temperature and nutrients on the variability of log chlorophyll is also carried out. Chapter 3 extends the modelling for temperature in Chapter 2 with the use of a mixed-effects model with different error structures for temperature data at a moderate temporal resolution (1 and 3 hourly data) in the north, mid and south basins. Three approaches are proposed to estimate the positions of a sharp change in gradient of temperature (thermocline) in deeper basins, using the maximum relative rate of change, changepoint regression and derivatives of a smooth curve. Chapter 4 investigates several features in semi-continuous environmental variables (15 and 30 minutes data). The temporal pattern of temperature, pH, conductivity and barometric pressure, and the evidence of similarity of the signals of pH and conductivity is determined, using wavelets. The time taken for pH and conductivity to return to `baseline levels' (recovery period) following extreme discharge is determined for different thresholds of `extreme discharge' for the Rivers Charr and Drumtee Burn, Scotland and models for the recovery period are proposed and fitted. Model validation is carried out for the River Charr and the occurrence of clusters of extreme discharge for both rivers is investigated using the extremal index. Chapter 5 summarises the main findings within this thesis and several potential areas for future work are suggested.
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Evaluating biosecurity law and regulation in developing countries : case studies from BelizeOuthwaite, Opi Maryse January 2006 (has links)
Biosecurity is the term used to refer to the management of risks to human, animal and plant health and safety from cross-border movement of living organisms and goods. The implementation of national legal and regulatory frameworks for Biosecurity will be affected by the various international agreements and standards to which a state is a member. In particular, agreements introduced by the World Trade Organisation (WTO) impose certain restrictions on measures that member countries can adopt for Biosecurity. Furthermore, uncertainties arise from contradictions and conflicts between important Multilateral Environmental Agreements and WTO requirements and these create difficulties for developing countries in particular. The research reported in this thesis focused primarily on the implementation of national Biosecurity frameworks in this context. This was an important departure from much of the literature, in which existing work as well as the identified need for research has focused on apparent conflicts at the international level. The present research sought not to pursue strict hypotheses but to identify the actual challenges and limitations, as well as successes, of Biosecurity frameworks in Belize. The methodology adopted to achieve this was grounded theory. Key characteristics of this were a departure from the traditional legal-centralist approach and the investigation issues at the ground level, through consultation with a broad range of stakeholders. The adaptation of qualitative data analysis procedures, and the application of these using specialist software, was a further important development, allowing for improved evaluation of the interview data. The investigation of Belize's pesticides control and agricultural health frameworks provided substantial empirical data highlighting not only the difficulties concerning implementation of international agreements but also to a range of other important issues. Whereas the burden associated with international agreements was clearly a restraint, the apparent conflicts and tensions between trade and environment agreements, which have been the focus of so much literature, were not seen to be significant. The extent to which the regulatory authority interacts with the regulated community was, however, seen to be an important influence on the success of both frameworks, affecting levels of stakeholder awareness and support for regulation. Enforcement is also important. Although sanction-based enforcement might not commonly be necessary there is a need for a clear distinction between enforcement and other (assistance-based) activities. Other bodies ('third parties') including regulatory agencies, private sector bodies and regional institutions play an important role, either official or de facto, in these frameworks. Governance was also an issue for the regulatory authorities. The implications of these findings for future research are discussed.
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Factors influencing nest-site choice and reproductive success in Cyanistes caeruleus (blue tit), Parus major (great tit) and Ficedula hypoleuca (pied flycatcher) : a study based at Nagshead RSPB Nature Reserve, Gloucestershire, U.KGoodenough, Anne Elizabeth January 2007 (has links)
This research examines factors influencing avian reproductive biology in three co-occurring woodland passerines, Cyanistes caeruleus (blue tit), Parus major (great tit), and Ficedula hypoleuca (pied flycatcher), breeding in nestboxes at Nagshead Nature Reserve (Gloucestershire, U. K. ). The study uses breeding data on the study species collected by the Royal Society for the Protection of Birds (RSPB) between 1990 and 2004, together with site-based ringing records for F. hypoleuca and primary data from field and laboratory work undertaken during 2005 and 2006. Breeding productivity of C. caeruleus and P. major declined over the study period, despite breeding populations that were increasing (C. caeruleus) and stable (P. major). The breeding population of F. hypoleuca declined by 73% (much more severely than nationally). Decline was apparently driven by decreasing productivity and changes in the North Atlantic Oscillation cycle. Phenological changes in lay date were apparent for C. caeruleus (mean lay date advanced by five days in 15 years) and P. major (increased within-season variability in clutch initiation). No change was apparent for F. hypoleuca, possibly due to migration constraining phenological adjustment. The relationship between lay date and clutch size was found to be annually variable, rather than a constant as hitherto assumed. The strength of this relationship correlated with breeding density (C. caeruleus and P. major), the "earliness" of the breeding season (P. major), and mean May temperature (F. hypoleuca). The potential influence of nestbox orientation on nest-site selection and reproductive success was investigated. Orientation correlated with nestling survival for F. hypoleuca and offspring quality for P. major (both lowest in boxes oriented south-southwest). In the case of P. major, boxes facing south-southwest were avoided by adult birds, suggesting adaptive nest-site selection. Microbial load (specifically the abundance of the fungus Epicoccump urpurascens)was related to both orientation and P. major offspring quality, providing a possible explanation for observed patterns of nest-site selection behaviour. Ectoparasite load was not linked to nestbox orientation or P. major offspring quality. These findings provide insights into aspects of population biology (relationship between phenology and productivity), evolutionary ecology (adaptive nest-site choice to maximise offspring fitness) and the interactions between species and their abiotic and biotic environments (influence of orientation and microbial load on breeding success). Relevance of these results to conservation and in situ species management is discussed. Recommendations for optimal siting of nestboxes are given.
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Living and learning sustainability in higher education : constructing indicators of social learningMulà Pons de Vall, Ingrid January 2011 (has links)
This doctoral study explores the learning that occurs in higher education institutions within differing social and informal contexts, and how this learning can contribute to shifting thinking and actions (within the institution) towards sustainability. The research refers to this learning as ‘social learning’ and acknowledges its potential to influence the sustainability performance of a higher education institution. The study proposes indicators as a key research outcome to assist institutions in improving their contribution to social learning for sustainability. The study is unique in that social learning for sustainability in the higher education sector has been subject to little scrutiny. The originality of the research is underpinned by its focus on staff learning in higher education, but also by the research methodology used which has not been employed in this context or with this focus before. The empirical study was undertaken between 2008 and 2011 at three higher education institutions in the United Kingdom (UK) which were chosen for their explicit commitment to improving the university’s sustainability performance. The pilot study was conducted at the University of Gloucestershire and the main findings were derived at the Universities of Bradford and Bristol. Located within a critical social theory paradigm, the study used innovative research methods such as collective memory-work to capture staff experiences of social learning for sustainability. In each university, the research involved a group of members of staff in (i) writing and critically reflecting on their stories of social learning for sustainability within their institutions; and (ii) identifying contextual factors influencing this learning process. The data generated was triangulated with information captured through institutional documentary reviews, semi-structured interviews with members of staff and a research journal. The research demonstrates that social learning for sustainability in higher education tends to occur as both a facilitated and unfacilitated process. The first includes staff participating in extra-curricular activities, partnerships and networks, multi-stakeholder dialogues, mentoring, or action and participatory research. The latter tends to occur as a spontaneous face-to-face process or through online social networks. There is evidence that social learning processes which are non-hierarchical, involving learning from each other and occurring within comfort zones, are more effective in shifting the thinking and actions of staff in the area of sustainability. The study identifies physical space and academic cultures as key determinants of the frequency and quality of these processes. It also suggests that opportunities in this area need to be provided to all the different sub-cultures which exist in a higher education institution. Finally, whereas the research identifies how institutional culture influences social learning for sustainability, it concludes that a longitudinal study is needed to establish whether this learning process can shape the culture of a higher education institution.
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