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Respite services and acquired brain injury in New South Wales : the perspectives of persons with acquired brain injury, their carers and service providersChan, Jeffery B January 2008 (has links)
Doctor of Philosophy / Persons with acquired brain injury require continuing support and care in various aspects of their lives many years post-injury. Their care and support are mainly provided by family members. While respite is one of a range of critical support systems for carers and people with life-long disability, very little is known about respite in the area of acquired brain injury. The majority of the research on respite has been undertaken in developmental disability, mental health and in aged care, but there is no research to date about respite from the perspectives of the person with a disability, the carer and respite provider. There is also no research that examines these perspectives in the acquired brain injury literature. This study was aimed to address this gap in the literature by investigating respite from the perspectives of the person with acquired brain injury, the carer and the respite provider. It also examined the profile of respite services being provided in the Australian state of New South Wales as there had not been a comprehensive mapping of respite before. Survey methodology was used to gather information from persons with acquired brain injury and their carers who were members of the New South Wales Brain Injury Association, which is the peak advocacy association of people with brain injury. The same methodology was used to gather similar information from members of Interchange Respite Care New South Wales, which is a peak association representing respite providers in the state. The survey questionnaires were developed and designed after an extensive review of the literature, and were reviewed by experts in the fields of respite, disability and acquired brain injury. The survey questionnaire was also trialled on a sample of families. The survey questionnaires for the three participant groups shared several common sections, such as demographic information; factors influencing respite use; expectations of respite; and satisfaction with respite services used by persons or carers. The responses from the three participant groups were analysed and compared using logistic regression and descriptive statistics. The key findings of the study are (a) several characteristics or factors of the person with acquired brain injury and their carer were significantly associated with the use of respite, (b) there were several common factors that all three participant groups reported to influence respite use, and (c) there were several common expectations of respite among the three participant groups. Some of the characteristics or factors that were significantly associated with respite use included the severity of disability, the high level of dependency of the person with acquired brain injury, and the number of days spent in a coma. Common factors reported by all three participant groups to influence respite use included the stress level of the carer and the severity of disability. Factors reported to influence respite use appear to be consistent with the literature in developmental disability. There were common perspectives regarding the expectations of respite among all three participant groups, such as the need for trained and qualified respite staff; a wider range of respite services and more flexibility of respite service provision. The study also indicated a reported lack of sufficient respite for persons with acquired brain injury and their carers. Some of the findings of the study appeared to be consistent with the research literature on acquired brain injury; such as the majority of carers being mainly female; there is a reliance on informal networks for the care and support of the person with acquired brain injury; and the majority of the persons with acquired brain injury being male. The study also found that many respite providers in New South Wales had extensive experience in running a respite service. The findings of the study have important implications for policy direction and development, practice and service delivery, and research. In terms of policy direction and development, implications explored included: a flexible funding model that is responsive to the needs of carer and person with acquired brain injury, and adequately trained and qualified staff and volunteers play an important role in respite provision. Further research is required to understand empirically the benefits and quality of life outcomes over a period of time, such as what types and extent of respite are more beneficial for certain demographic profiles. The study highlights the perspectives of persons with acquired brain injury, their carers and respite providers. Respite is an important support system to enable persons with acquired brain injury to receive the continuing care and support from their carers. Respite in acquired brain injury is a new field that merits further research as it holds the potential for addressing the needs of people with acquired brain injury and their carers.
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Relationship between leaf traits, insect communities and resource availability / Leaf traits, insect communities and resource availabilityLaxton, Emma January 2005 (has links)
Thesis (PhD)--Macquarie University, Division of Environmental and Life Sciences, Dept. of Biological Sciences, 2005. / Bibliography: p. 178-203. / Introduction -- Study sites -- Leaf characteristics and resource availability -- Insect herbivory and resource availability -- Insect communities and resource availability -- Influence of resource availability on recovery from herbivory -- Conclusions. / This project used the resource availability hypothesis (Coley et al., 1985) as a framework for investigating the relationship between resource availability (as defined by soil nutrients), leaf traits, insect herbivore damage and insect community structure. According to the hypothesis, plants from low resource environments should be better-defended, have longer leaf lifespans and slower growth rates than plants from higher resource environments. Higher resource plant species are expected to suffer higher levels of herbivory and recover faster from herbivory than low resource plant species (Coley et al. 1985). A corollary to this hypothesis is that plants from higher resource sites should support greater densities of insect herbivores than low resource species. Comparisons between high and low resource sites were made in terms of: (i) leaf traits of mature and immature leaves; (ii) phenology of leaf maturation; (iii) herbivore damage in the field and laboratory; (iv) diversity and abundance of herbivorous insect fauna; and (v) ability to recover from herbivory. / Mode of access: World Wide Web. / 243 p. ill., maps
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The ecology and biology of wobbegong sharks (Genus Orectolobus) in relation to the commercial fishery in New South Wales, AustraliaHuveneers, Charlie January 2007 (has links)
Thesis by publication. / Thesis (PhD)--Macquarie University (Division of Environmental & Life Sciences, Graduate School of the Environment), 2007. / Bibliography: p. 267-303. / General introduction -- Redescription of two species of wobbegongs (Chondrichthyes: Orectolobidae) with elevation of Orectolobus halei Whitley 1940 to species level -- Using recreational scuba-divers to survey the relative abundance and distribution of wobbegong sharks (Family: Orectolobidae) in New South Wales, Australia -- Observations of localised movements and residence time of wobbegong sharks (Orectolobus halei) at Fish Rock, New South Wales, Australia -- Length-frequency distribution, length-length, mass-mass and mass-length relationships of wobbegong sharks (Genus Orectolobus) commercially fished in New South Wales, Australia -- Quantitative diet assessment of wobbegong sharks (Genus Orectolobus) in New South Wales, Australia -- Reproductive synchrony of three sympatric species of wobbegong shark (Genus Orectolobus) in New South Wales, Australia -- Age and growth of wobbegong sharks (Genus Orectolobus) in New South Wales, Australia. / In New South Wales, Australia, wobbegong sharks (Orectolobidae) have been commercially targetted by the Ocean Trap and Line Fishery since 1991. A catch decrease of ca. 50% in a decade lead to concern over the sustainability of the fishery and to wobbegongs being listed as vulnerable in NSW under the World Conservation Union Red List assessment. The aim of this research was to investigate wobbegong biology and ecology in relation to its fishery to provide essential data and information for sustainable management of the woggegong fishery. Biological data was obtained from 904 wobbegongs collected from commercial fishing boats, using setlines and lobset pots and by scuba diving. previously two species of wobbegongs were known to occur in NSW: the spotted wobbegong (Orectolobus maculatus) and the ornate wobbegong (O. ornatus). This study discovered a new species (O. halei) described as a subspecies by Whitley (1940), but which had been syonymised with O> ornatus due to a lack of taxonomic investigation. / Mode of access: World Wide Web. / 307 p. ill., some col., maps
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Philanthropy and the woman's sphere, Sydney, 1870-circa 1900Godden, Judith January 1983 (has links)
'Biographical references': leaf 384-409. / Thesis (PhD) -- Macquarie University, School of History, Philosophy and Politics, 1983. / Bibliography: leaf 418-434. / Introduction -- PART I: The 1870s -- Philanthropy for children: the Royal Commission and women philanthropists' "Natural rights" -- Philanthropic care for adults within the woman's sphere: diversity and limits -- Nuns and evangelicals: ladies and females: a case study of two refuges for prostitutes -- PART II: The 1880s -- Women's philanthropic care of the young: influence and expansion within the woman's sphere -- Women's philanthropy for adults: confidence within the woman's sphere -- A lady and a philanthropist: Helen Fell, 1882-92 -- PART III: The 1890s -- Philanthropic care of the young: from the lady and towards the mother -- Philanthropy for adults: the declining role of the lady within the woman's sphere -- Conclusion. / This thesis investigates the impact of an ideological construct - the woman's sphere - on philanthropy in Sydney during 1870-1900. The woman's sphere was a hegemonic concept which denoted the activities and functions deemed appropriate for women. Women were encouraged to work within their sphere in philanthropy and restricted from working in areas or ways outside their sphere. Within these limits, women had a distinct and important impact on philanthropy. -- Part I examines women's philanthropy in the 870s. The first two chapters deal with the major areas of women's philanthropy; the care of girls, mixed-sex groups of children, the sick and working class women. It is argued that women's involvement in these areas was increasingly justified as being within the woman's sphere. Chapter 3 analyses two Refuges for ex-prostitutes, the essential agreement on philanthropic aims between sectarian organisations and the relationship between the lady and the female within the woman's sphere. -- The 1880s, it is argued in Part II, was a decade when the lady became increasingly confident of her right to solve social problems considered to be within the philanthropic woman's sphere. In successive chapters, the impact of the woman's sphere concept on the philanthropic care of children and adults is analysed. The impact on the individual of the woman's sphere concept and the meaning of being a lady within that sphere is examined in Chapter 6. -- Part III discusses the changes in, and the expansion of, woman's sphere philanthropy during the 1890s. Although a select group of ladies still dominated women's philanthropy, much of their power and prestige was eroded. The woman's sphere concept remained but it was much less a means by which women philanthropists could justify independent action. -- In conclusion, it is argued that the woman's sphere concept is essential to an understanding of nineteenth-century life. Whilst this thesis demonstrates its impact on philanthropy, the concept was also a key determinant of women's activities in other areas. / Mode of access: World Wide Web. / xxiii, 434 leaves ill
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Investigating the interactions of travel behaviour and wellbeing : mixed-methods case study of Penarth and Cardiff, WalesMahoney, Lucy January 2015 (has links)
Transport systems are essential to trade, globalisation, communication and other forms of interaction between people and societies (Banister, 2013). Yet they can also have negative impacts including decreased quality of life or health impacts arising from pollutants, environmental damage including climate change and a range of wider socio-economic effects (Glanz et al., 1990). Given that most car journeys are short however (57% of UK trips are under five miles), there is particular potential for active travel (i.e. walking and cycling) to both reduce the environmental externalities of modern transport systems and stimulate improved quality of life and societal wellbeing (Banister, 2013; Martin et al., 2014). Unfortunately, there is a paucity of robust evidence that examines how infrastructural interventions (i.e. those aimed at making the physical environment more conducive to active travel) actually impact on active travel levels in specific communities. In addition, there is very limited evidence of the wider effects that such interventions have on wellbeing and levels of happiness overtime. This thesis details mixed-method research undertaken in Cardiff, UK, during 2011/2012, which examined the impacts of a new piece of infrastructure - the Pont-y-Werin walking and cycling bridge - on the local community's levels of active travel and subjective wellbeing. It provides insights into the nature of constraints preventing travel behaviour change from taking place, and - through the use of the novel, 'Day Reconstruction Method' - into the consequences that different modes of travel can have for travel and wellbeing, including on moment-to-moment moods and emotions. Overall by contextualising and measuring and evaluating wellbeing, the research suggests that people experience less pleasant emotions during travel than when undertaking everyday activities, and also that for certain modes there is a decrease in happiness before and after travel compared to everyday activities. Additionally greater monitoring, evaluation and promotion of combined hard and soft measures - focusing on travel behaviour change - is needed alongside providing travellers with accessible information on the wellbeing impacts of different modes (Elvik, 2009).
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Imposed and imagined childhoods : the making of the poor law child, Swansea 1834-1910Hulonce, Lesley January 2013 (has links)
No description available.
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An investigation into the pattern and nature of patronage, plurality and non-residence in the old Diocese of Llandaff between 1660 and the beginning of the nineteenth centuryMorgan-Guy, John January 1983 (has links)
No description available.
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The Mid-Ordovician oolitic ironstones of North WalesTrythall, Robert J. B. January 1988 (has links)
Oolitic ironstones occur within the Lower Palaeozoic Welsh Basin as isolated deposits found over a wide geographical area. There are two phases of ironstone deposition, a minor Upper Arenig phase and a Mid-Ordovician (Upper Llanvirn to basal Caradoc) phase. Both correlate with eustatic falls of sea level which exposed the Irish Sea Landmass lying immediately to the northwest. This exposure resulted in deep chemical weathering and generation of lateritic soils. Erosion of this material formed the source for the oolitic' ironstones in the Welsh Basin. The ironstones formed above stratigraphic hiatuses on sediment starved shallow water shoals, formed by synsedimentary faulting. These shoals were the favourable sites for the formation of berthierine peloids, which formed the nuclei for ooids. Additionally, they were also the site for the accumulation of berthierine mud, which was closely linked with the development of ferruginous algal mats. Bacterial reduction of organic material associated with ironstones, supplied the necessary reducing conditions for the formation and preservation of berthierine from a kaolinite/iron oxide precursor. Ooids formed by rolling over the muddy surface and mechanically accreting berthierine. Subsequent tidal current reworking of this sediment resulted in the formation of the characteristic lithological features of the ironstones, representing a shallowing-up sequence. Progressive current winnowing led to the formation of a sequence with an upward increasing ooid content and decreasing mud content. The upper facies of the ironstones is an ooid bar deposit worked by tidal currents. Cessation of current reworking allowed faunal colonisation of the bar with significant bioturbation of the sediment, destroying primary sedimentary structures. The presence of some grain-ironstones indicate the original sedimentary state of the upper facies. Tectonic instability during deposition, by synsedimentary faulting, resulted in the formation of disturbed ironstones, and debris flows within the ironstone sequences. Many features of the ironstones are diagenetic in origin, especially the formation of phosphate nodules within the ironstone sequence. These formed just below the sediment/sea water interface, and some nodules were reworked into overlying beds. The source was phosphorus released from adsorption on clays and iron oxides, and also released from organic material. Later siderite development in the ironstones is indicated by the presence of primary cements in grain-ironstones and secondary alterations in pack-ironstones. The generation of diagenetic siderite was dependant upon the amount of organic material within the ironstones, bacterial reduction of which resulted in the formation of bicarbonate and ferrous ions. Sane ironstones were subsequently altered during the Caradoc phase of volcanic activity. The formation of magnetite and stilpnomelane within the ironstones were caused by metasanatic activity associated with dolerite sills and microgranite intrusions. Siderite alteration and base metal sulphides resulted fram late stage hydrothermal activity by some microgranites. Contact metarrorphism by granophyric intrusions led to the extensive replacement of the ironstones by pyrite. Regional metarrorphism resulted in the progressive change of berthierine to chamosite and increased lattice ordering of chamosite.
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The classification and management of limestone pavements : an endangered habitatWillis, Susan Denise Margaret January 2011 (has links)
This thesis describes an in-depth study of limestone pavements across North West England and North Wales. The aim was to combine elements of geodiversity and biodiversity in order to create a holistic limestone pavement classification to inform future management. A field-based research protocol was used to assess a stratified random sample (46 pavements), accounting for approximately 10% of the limestone pavements in the geographical area. Detailed analyses of key elements are presented, along with important issues that continue to pose threats to this Annex One Priority Habitat. This research resulted in a comprehensive classification, using TWINSPAN analysis and Nonmetric Multidimensional Scaling, identifying six distinct holistic functional groups. The prime factors driving limestone pavement morphology, and hence the classification, were established to be lithology, proximity to structural fault, altitude and human intervention, particularly in terms of grazing intensity. Three upland, open limestone pavement classes were formed. Of these, the richest in terms of geodiversity and biodiversity was the group with the thickest bedding planes and hence the deepest grikes, typically greater than 1m. The class that was most species-poor was "at the highest altitude (above 450m), formed on the thin limestones of the Yoredales. These were characterised by shallow, wide grikes. The third upland limestone pavement group had mid-range grikes, generally 0.5-1m in depth, and small clints. Two wooded classes were identified. One was a lowland 'classic' wooded limestone pavement group with deep, narrow grikes and shallow soils. Indicator species included Juniperus communis and Taxus baccata. The second wooded group was situated proximal to a major structural fault. In this group the pavement dip ranged between 10°-40° with well-runnelled clints that were heavily moss-covered. The sixth group was low altitude, proximal to the coast, characterised by low moss growth, un-vegetated clints and the presence of Ulex europaeus. Conservation management was identified as key to the quality of the limestone pavement habitat and this thesis identifies best management practises and links these to the holistic limestone pavement classification. Finally, as a sample case study, this thesis presents mollusc species and diversity from eleven of the Yorkshire limestone pavements. Analysis establishes significant links between geodiversity and mollusc populations, with key drivers for mollusc communities echoing those of plant species on limestone pavement.
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Reflexive regulation and the development of capabilities : the impact of the 2002/14/EC Directive on information and consultation of employees in the UKKoukiadaki, Aristea January 2008 (has links)
The research evaluates the pattern of change in the field of employee representation in the UK as influenced by the transposition and implementation of the Directive 2002/14/EC establishing a general framework for informing and consulting employees in the European Community and to relate this analysis to the impact of legislation in the field of labour law and industrial relations through the location of managerial and labour practice in implementing and handling the information and consultation arrangements. Theoretically, the thesis draws on the theory of reflexive law (Teubner, 1993; Barnard and Deakin, 2002) and on the capabilities approach (Sen, 1999), which has recently emerged in political economy. Empirically, it combines textual analysis, interviews with key actors, a questionnaire survey of companies and in-depth case studies in a few organizations in the business services and the financial sectors. The research aims to move beyond the traditional socio-legal concepts and methods to incorporate insights from the institutional and political economy frames of analysis commonly deployed in the field of industrial relations, and from its tradition of empirical enquiry rooted in field-based qualitative research methods. In diverging from existing UK social norms and conventions a new role for the two sides of industry, CBI and TUC, was created that assisted in the development of the national legislation transposing the directive and led to a re-conceptualization of the EU-level norms, as stipulated by the directive, concerning information and consultation of employees. Whilst the introduction of national legislation drove to some extent the spread of voluntary arrangements, albeit at the instigation of management, there was not much evidence that the 'standard provisions' of the UK Regulations promoted institutional experimentation or to a new framework for a process of learning, participation and capabilities for voice. This was down to the nature of the legal obligations, the efficacy of the enforcement mechanisms and the degree to which extra-legal resources, mainly trade union organization, were utilized.
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