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Enterprise, Self-Help and Cooperation: A History of Outdoor Education In New Zealand Schools to 1989Lynch, P. M. January 1999 (has links)
This thesis traces the development of outdoor education in New Zealand schools. Part one deals with precursors to outdoor education, from the late nineteenth century to 1938, and in part two school camping experiments and the expansion of outdoor education are examined. Outdoor education was stimulated by subject specialists working for education boards and the Department of Education, and the end of the period studied coincides with the disestablishment of these administrative bodies in 1989. Where possible, comparison with overseas developments is made. Outdoor education was adopted and expanded in New Zealand because political, economic and ideological circumstances favoured it. Progressive-liberal influences on education fostered acceptance of physical, recreational and practical activities and emphasis on the interests and needs of individual pupils. Social and economic policies of the later 1930s to the 1960s established a climate in which innovations that broadened the school curriculum were acceptable. From the late 1960s the struggle to resource outdoor education was exacerbated by its rapid rate of growth. The government funding attained was never sufficient and community support remained vital. Safety concerns from the 1960s to the end of the period precipitated efforts to establish teacher training and by the 1980s there was a growing professionalism among outdoor educators. Links between outdoor education and the school curriculum at both primary and secondary levels were maintained by changes in terminology but its central concerns with social and moral education, environmental studies, physical activity and communal living in natural environments remained. Unlike most other curriculum innovations of its time, outdoor education was initially viewed as a teaching method and it did not attain formal subject status until the 1980s.
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What are the views of Generation Y New Zealand Registered Nurses towards nursing, work and career?Jamieson, Isabel Margaret January 2012 (has links)
Background
This descriptive exploratory study was undertaken to ascertain the views of Generation Y New Zealand Registered Nurses (Gen Y nurses) towards nursing, work and career. Little empirical data exists about why young New Zealanders choose to become nurses in the 21st century. Further, little is known about their future career plans or their intentions to remain in the nursing workforce. Currently there is a global nursing workforce shortage with indications that shortages will continue into the future. The nursing shortage is occurring at a time when many populations are ageing and placing unprecedented demands on both health care providers and health care systems. Not only are populations ageing, the burden of chronic disease is escalating. However, there is strong evidence highlighting positive patient outcomes when nursing care is provided by registered nurses. Therefore the long term retention of young nurses is of critical importance for both the health care consumer and the profession.
Method
A nationwide on-line survey was undertaken with 358 Gen Y Nurses from late 2009 to early 2010.
Key findings
Young New Zealanders are driven by traditional values of altruism, the desire to care for others, the ability to work closely with people, as well as being able to make a strong contribution to society when deciding to become a nurse. Further, they are seeking interesting, challenging and exciting work. Job security, the ongoing demand for nurses, the ability to leave and return, as well as the ability to combine work and family, are also important factors that help them to choose to become nurses.
The Gen Y nurses were overwhelmingly satisfied with their decision to become nurses but they are very clear that nursing does not define them. They appear set to remain in the profession for at least five years with many stating that they wish to increase their clinical skills as well as undertake formal postgraduate study. However, while the Gen Y nurses demonstrated a high level of affective commitment towards nursing, they do not show a high level of continuance or normative commitment. It is questionable if they have long term career plans to remain in nursing.
Further, the Gen Y nurses find nursing work to be more stressful and challenging than they anticipated. They expressed concern about nursing salaries, workplace bullying and the impact of shift work on their private lives. They are also concerned about the apparent lack of recognition demonstrated by managers and management of the contribution that nurses make to patient care. A further concern for Gen Y nurses is the lack of understanding by the public about the role of registered nurses.
Conclusion
Most young New Zealanders who decide to become nurses do not regret their decision to do so. They have chosen to become nurses because of their desire to care for others in a team focused environment with a promise of job security. Many Gen Y nurses are planning on advancing their careers by increasing their clinical skills and academic knowledge. While some are planning to seek promotion, the majority want to remain in a clinical role, at the bedside. While the Gen Y nurses view themselves as career motivated they do not demonstrate a high level of career commitment to nursing. It is therefore imperative that the nursing profession, as well as nursing employers and policy makers, collaborate to design a workplace and work conditions that motivate Gen Y nurses to want to remain in the profession for the long term.
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Physiognomic and taphonomic studies in New Zealand and Australia : implications for the use of palaeobotany as a tool for palaeoclimate estimationStranks, Lena January 1996 (has links)
Measurements of surface uplift rate potentially hold the key to understanding the tectonics of mountain belts and areas of uplift. Wolfe (1993) compiled a multicharacter data set (CLAMP) of the physiognomy of woody dicotyledon leaves with a view to using it to extract climatic information from fossil floras. The limited extent of this data set, along with the anomalous behaviour of some outliers cause me to question the global relationship between physiognomy and climate which has been implicitly assumed in all analyses of the data conducted to date. Additional data collected from native vegetation in New Zealand and Australia are compared to the CLAMP data set. These data include samples along altitudinal transects and from different forest types growing in the same climatic regime. In addition taphonomic samples were collected from lake bottom sediments and their physiognomic signals compared to those of the adjacent living vegetation. The possibility that the relationship between climate and physiognomy is sufficiently non-linear that only local relationships should be sought is investigated. To estimate the climate at a certain flora, resemblance functions are used to select physiognomically similar sites. Estimations of climate are formed using only these sites. The power of this approach to estimate mean annual temperature, mean annual precipitation, mean growing season precipitation, and moist enthalpy is investigated using the modern sites, and varying the number of nearest neighbours and dimensions used as well as the type of ordination. The collection of altitudinal transects has allowed the study of physiognomic change with altitude. Because these transects were collected over a very restricted area it was possible to observe this change without the superimposed effects of changing continentality and variation in latitude. In addition studies made of adjacent floras in similar climatic regimes and taphonomic studies of leaves in lacustrine sediments has allowed the beginning of a realistic assessment of possible errors in climate estimation for fossil sites. Fossil sites examined using CLAMP and related methods are re-examined using the nearest neighbour approach.
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Indigenous resource taboos : a practical approach towards the conservation of commercialized speciesMonson, Clark S January 2004 (has links)
Thesis (Ph. D.)--University of Hawaii at Manoa, 2004. / Includes bibliographical references (leaves 134-149). / Also available by subscription via World Wide Web / vi, 149 leaves, bound ill. (some col.), col. map 29 cm
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Te mana Maori : Te tatari i nga korero parauHokowhitu, Brendan J., n/a January 2002 (has links)
This thesis has three primary objectives: to deconstruct the genealogical representation of Maori as a physical, unintelligent and savage people, to examine the role that education, and particularly physical education has played in perpetuating these representations by channelling Maori into physical curriculum areas, and to provide a functional kaupapa Maori philosophy of health and physical education.
Postmodern theory underpins this theses because it encourages the search for multiple truths. In the colonial context, specifically, it provides an ideal tool by which to deconstruct the supposedly objective and preordained single truths of the colonisers. As I demonstrate, these single truths proved to be politically motivated and false. I also employ a Foucauldian understanding of European history to describe how European bourgeois nationalism and normalisation mutated into biopower, where the normalised Self was able to control, limit, describe and kill the Other.
Travellers, missionaries and settlers transposed biopower from Europe to colonial New Zealand. Later, descriptions of the Other - or rather the juxtapositioning of the Self next to depictions of the primitive/anti Other - by anthropologists and historians aided this process. For the benefit of enlightened liberals, colonisation in New Zealand required a specific rhetoric to recast ruthless aspects of the process as mere anomalies on the road to Utopia. The modernist Western world validated colonisation under the guises of humanism and progress: the savage, primitive, pre-philosophical Maori provided the perfect contrast against the civilised, mature, philosophical Self. This genealogical representation formed the basis for Pakeha and Maori relations - and continues to do so.
Representations of Maori as intrinsically unintelligent and physical, framed politically motivated educational policy. Initially, racist educational directives channelled Maori into physical vocations to provide labour for untamed rural New Zealand. In the 1960�s and �70�s, racially biased intelligence test were employed to debiltate Maori students by streaming them into non-academic classes. Later, the so-called empowering rhetoric of the neo-colonial era informed curricula by promoting diluted and sanitised versions of tikanga Maori such as Taha Maori, its physical education offshoot Te Reo Kori, and the current New Zealand Health and Physical Education Curriculum. Promoted under the liberal banner of biculturalism, these initiatives primarily benefited Pakeha and further misrepresented Maori culture as simplistic and irrelevent to contemporary society.
Deconstructing grand narratives encourages researchers to construct knowledge outside such totalising truths. Thus, the theoretical approach and historical disseminations outlined above provide the foundations for part two of this thesis, which is a contribution towards Maori knowledge. Employing an interpretivist, indepth interviewing and collaborative narrative epistemology, I constructed korero with kaumatua and pakeke. These focus on health and physical education from a Maori position. Subsequent discussion examines certain aspects of each korero, to form a functional Maori philosophy of physical activity delineated by hauora, a Maori notion of holistic health. The discussion also outlines a number of issues surrounding the incorporation of tikanga Maori into mainstream education.
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The ecology and taxonomy of meiofauna at Papanui Inlet, with particular emphasis on nematodesLeduc, Daniel, n/a January 2008 (has links)
Meiofauna are an ecologically significant component of marine benthic communities worldwide. Nematodes, in particular, are arguably the most abundant metazoans on Earth and often form highly diverse communities in marine sediments. The study of meiofauna, however, often lags behind that of macrofauna, probably due to the small size of meiofaunal organisms and the paucity of suitably-trained taxonomists or para-taxonomists. Our understanding of basic ecological questions, such as the role of meiofauna in the energetics of benthic communities, as well as the nature and extent of possible relationships between meiofauna and macrofauna in detritus-based communities, is still limited. The present study aimed to address these questions in the context of intertidal seagrass (Zostera muelleri) meadows and adjoining unvegetated sediments in Papanui Inlet, Otago Peninsula. The near absence of taxonomical and ecological studies on free-living marine nematode species in New Zealand also prompted the description of several new species and as well as a comparison of species assemblages from the study sites.
Meiofaunal abundance (range: 1325-4979 ind. 10cm�) in the top 5cm of sediments was not significantly different inside and outside the seagrass meadow. Meiofaunal biomass and production estimates were small relative to macrofauna (approx. 1 and 5% of macrofaunal values, respectively), with little variation in both meiofaunal and macrofaunal values between vegetated and unvegetated habitats. Analysis of the isotopic and fatty acid composition of primary producers, sediment organic matter, and consumers at the study sites suggest that a significant proportion of secondary productivity in seagrass meadows is fuelled by macrophyte detritus. These data suggest that secondary productivity in the seagrass meadow was limited by the low palatability of macrophyte detritus compared with microalgal food sources, resulting in lower trophic transfer efficiency in vegetated sediments. These results contrast with previous findings showing a large contribution of meiofauna to the secondary productivity of vegetated sediments, as well as greater secondary productivity inside than outside seagrass meadows. The nature of the sediments (coarse particle size with low organic matter content) is likely to have led to low meiofauna biomass whilst favouring large suspension feeders. The low availability of high quality food sources (i.e. seston, benthic microalgae, and epiphytes) in vegetated sediments may have contributed to the lower than expected secondary productivity inside the seagrass meadow.
Most of the dominant nematode species found at the study sites were new to science, and 6 new species were described. Significant differences were found in the nematode assemblages between sites and sediment depths. There was a trend of greater nematode diversity and abundance in vegetated sediments, but this was restricted to the uppermost 2cm of sediments. The effect of seagrass on nematode assemblages is likely to be mediated by the effect of blades on sediment characteristics and the presence of roots. The present study suggests that the presence of Zostera muelleri results in greater biodiversity of sheltered soft-shore communities on a local scale.
The addition of ��C-labelled macroalgal detritus (Enteromorpha) to microcosms in a feeding experiment resulted in minimal labelling of harpacticoid copepods and nematodes. Lack of change in the fatty acid composition of the latter also suggests limited assimilation of detritus during the experiment. It is likely that consumers choose benthic microalgae over detritus when both food sources are available in the field. High content of highly unsaturated fatty acids (HUFAs) in nematodes from the field suggests, for the first time, that they are a high quality food source to higher trophic levels.
A feeding experiment investigating the effect of bacterivorous nematodes on detritus assimilation rates by amphipods did not support the hypothesis that nematodes increase the trophic transfer efficiency between detritus and macrofaunal detritivores. It is unclear whether amphipods preferentially fed on detritus or whether nematodes escaped predation by burrowing deeper in the sediment. Data obtained in the present study, however, shows that marine bacterivorous nematodes can biosynthesise/accumulate HUFAs in high concentrations despite their low concentrations in their diet. Nematodes could, therefore, provide an important source of these essential nutrients to bulk deposit feeders living in otherwise HUFA-poor sediments.
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Partitioning of plate boundary deformation in South Westland, New Zealand : controls from reactivated structuresCampbell, Heather, n/a January 2005 (has links)
The Australian-Pacific plate boundary is an uncomplicated structure along most of its length in the South Island, New Zealand. In South Westland, south of the Arawata River, however, several terranes converge onto the Alpine fault. Inherent anisotropies arising from the position of pre-existing fault structures, lithological contacts and rheological heterogeneities within these give rise to an atypically diffuse and complex zone, the overall geometry of which resembles a regional scale transpressive flower structure.
The flower structure is a broad deformation zone 60 km in length extending approximately 7 km from the Alpine fault to its eastern limit, the Dun Mountain Ophiolite Belt. Integral parts of the structure are the Hollyford Fault System and the Livingstone Fault System. The area is characterised by an array of left-stepping, subparallel faults with an average 060� strike linked by 020� striking structures. All fault traces offset Quaternary features. Fractions of the total interplate slip are partitioned across the reactivated structures. Additionally, kinematic indicators reveal partitioning of strike-slip and oblique/dip-slip deformation across the related secondary fault zones.
The behaviour of the plate boundary zone in South Westland is fundamentally controlled by reactivation of the Hollyford Fault System and the Livingstone Fault System which partition slip away from the Alpine fault. As a consequence, the eastward transferral of slip onto the curved geometry of the converging fault systems has ultimately created a left-stepping contractional regime, the equivalent of a restraining bend in the plate boundary zone. The competent Dun Mountain Ophiolite Belt controls the geometry and evolution of the reactivated structures. It also acts as an indenter and imposes additional boundary conditions adding to the shortening component in the region and the onset of complex transpressional strain patterns.
The geometry and kinematics of the flower structure in the upper crust is mimicked in the ductile mid to lower crust. Upper greenschist facies mylonites reveal a complex fold pattern developed in response to contemporaneous non-coaxial and coaxial deformation. The folding formed during a continuation of deformation associated with mylonitisation at depths within the fault system. The fact that strain localisation and transpressive strain patterns in the brittle crust continue into the ductile zones suggests there is a feedback relationship between the two regimes.
The reactivation of pre-existing structures and the influence of rheological factors are considered as first order factors controlling strain partitioning in the plate boundary zone. Recognition of local strain partitioning is important for assessing slip rates and earthquake recurrence. Similarly, the faults extend down below the seismogenic zone so that interaction of the different structures with each other may produce changes in fault behaviour which affects earthquake nucleation.
Although the Alpine fault is a major structure in the South Island of New Zealand with over 400 km of dextral movement, the reactivated structures still exert a degree of control locally on the structure and kinematics of the plate boundary zone. Reactivation of inherent fault structures has important implications for the initiation of plate boundary faults and the alteration of the plate boundary geometry with evolving deformation.
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Refining an entrepreneurial orientation and its impact on driving markets behavioursZortea, Elisabeth, n/a January 2006 (has links)
Firms adopting an entrepreneurial orientation (EO) can be described as firms that take risks, are proactive in pursuing opportunities, compete aggressively with their industry rivals, launch products that change market boundaries and market behaviour, and grant employees autonomy to facilitate the generation of such radical innovation. Although an EO has been widely investigated in entrepreneurship research, only a few attempts have been undertaken to refine and broaden the EO construct since its development in the early 1980s. The two characteristics competitive aggressiveness and autonomy have only recently been added to an EO. This thesis argues that more components should be incorporated to achieve a more comprehensive EO construct: opportunity recognition, growth commitment and organisational learning.
The current thesis suggests that an EO, as it is currently acknowledged in the literature, is in need of further refinement. More specifically, a detailed examination of the construct reveals several inconsistencies such as equivocal EO definitions (actual entrepreneurial behaviours and practices vs. propensities to act entrepreneurially), ambiguous EO components and poorly operationalised scales. Furthermore, the psychometric properties of an EO have not been clearly specified (unidimensional vs. multidimensional, formative vs. reflexive). Due to these discrepancies, this thesis calls for a clearer and more comprehensive discussion of an EO along with a more valid EO scale.
One of the consequences of an EO as presented in this thesis is that of driving markets. A firm�s ability to drive markets is considered a vital means with which to achieve firm success and long-term survival. Firms that drive markets engage in radical innovation, shape the needs of current and future customers, and change the market structure they are operating in. Unfortunately, however, firms often focus too closely on current customers and their needs, competitors and market conditions - that is, are market-driven. Instead of altering the composition of a market and/or the behaviours of market players, market-driven firms work within the confines of their markets, promoting incremental innovation rather than radical innovation.
Despite the importance of driving markets behaviours for firm success, there is little theoretical and empirical evidence to support how driving markets behaviours can be achieved. In order to address this gap, this thesis calls upon an EO as one possible antecedent of driving markets behaviours. Thus, following the development of an improved EO construct, this thesis then moves to establish a theoretical framework that describes an EO and its impact on driving markets/market-driven behaviours. To help establish an EO�s predictive validity, the framework is further enriched by adding a market orientation (MO), thereby comparing and contrasting both an EO and a MO in relation to driving markets and market-driven behaviours
The data used for this research is based upon a study of 836 New Zealand firms. Confirmatory factor analysis is used to test for unidimensionality and to set up stable measurement models for all constructs in question. Structural equation modeling is then applied to examine an EO�s psychometric properties and the relationship between an EO, a MO and driving markets/market-driven behaviours. The findings indicate that an EO is a multidimensional and formative construct, yet with only four contributing dimensions (R&D, proactiveness, autonomy, and growth commitment). It is further shown that an EO has a very strong direct impact on driving markets behaviours and also influences such behaviours considerably more than a MO. The same can be said about an EO�s effect on market-driven behaviours.
A MO�s direct impact on driving markets/market-driven behaviours is somewhat diminished by the suppressive negative effects of the responsiveness dimension of the MO construct, particularly on driving markets behaviours. Subsequent analysis shows that unlike an EO, a MO does not lead to driving markets behaviours, but rather to market-driven behaviours. In contrast, an EO is found to represent a more balanced approach, since it triggers both driving markets and market-driven behaviours.
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Weeds, people and contested places : selected themes from the history of New Zealanders and their weeds 1770-1940Clayton, Neil, n/a January 2007 (has links)
This study examines three basic questions. Why did so many familiar floral species with which agricultural people have more or less successfully contested places for some 10,000 years apparently become highly problematic in New Zealand? How did those in whom the developing contest aroused considerable anxiety try to solve the problems they saw emerging? And what were the outcomes of their chosen courses of action? This study is organised around three main themes, science, the law and agricultural practices. Within each theme I take into consideration the ways New Zealanders used particular aspects of these broad disciplines to try to identify, understand and solve the problems they perceived to have been caused by their weedy biota. I also consider the extent to which recourse to these means has helped or hindered the ends they sought.
The methodology adopted for this study is a variation of an 'organisational approach', advocated by the German environmental historian Frank Uekoetter. It focuses on the ways responses to perceived environmental problems are organised within a society. From my use of Uekoetter�s model I conclude that, despite a number of setbacks during the mid to late 19th century, by 1939 New Zealanders had developed highly dynamic processes within their weed science, extending into the wider farming community, by which they could feel their way with some confidence into a future where they might better manage the contest with their weeds, if not actually eradicate them.
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Aspects of the population biology of the southern arrow squid, Nototodarus sloanii, in southern New ZealandMcKinnon, Jean Fiona, n/a January 2007 (has links)
Nototodarus sloanii is an important component of the Southern Ocean fauna, and the basis of a large commercial fishery. Despite this, much is unknown about the biology of this species. This study examines some aspects of the biology of N. sloanii.
Stomach contents analysis identified no significant differences in diet between male and female squid. Sixteen putative species, including 12 identifiable teleosts, 2 crustaceans, and 2 cephalopods were identified in the diet of this species. The euphausid, Nyctiphanes australis was the most important prey item, Lanternfish, Lampanyctodes hectoris, and Pearlside, Maurolicus muelleri, were of secondary importance.
Squid were aged using counts of statolith micro-increments and back-calculation from the date of capture showed that hatching occurred between August and February, with a peak in the austral winter/spring and another smaller peak in the austral summer. Growth rate for male squid differed depending on whether squid were hatched in the winter/spring or summer. Growth rates were more variable in the winter/spring-hatched individuals, and they attained larger size than summer-hatched squid. This was not the case for female squid. Mean age for immature winter/spring-hatched squid was significantly higher than for summer-hatched squid, although there was no significant difference in mean mantle length or body mass. No significant differences between mean age, mantle length, or body mass for same-gender mature squid, regardless of hatch season, were apparent. However, mature female squid hatched in the winter/spring season were significantly longer (ML) than mature male squid hatched in winter/spring. No squid was found to be older than 211 days. All squid had started to mature by 91-120 days old and all were fully mature at 180 days.
Validation experiments run on juvenile squid using calcein markers were inconclusive, however the increments in the statoliths were very similar to those found in other validated species of ommastrephid squid, thus for the purposes of this study they were assumed to be of daily periodicity.
Gladius increments identify a gender difference in growth rate, with female squid having a shorter initial slow growth phase than male squid.
Gonadosomatic indices (GSIs) were calculated for male and female squid. These were low (7.12%�0.3% for females and 1.9%�0.2% for males) suggesting that these squid are intermittent spawners. This is further supported by a histological examination, which found germinal cells of different stages present in the same gonad. Lack of mature individuals in this study means that these results are suggestive rather than definitive; more examination of the reproductive process of this squid is required. Histological examination was also used to validate the Lipinski maturity scale for use with this species, while some misidentification occurred the scale is useful to place squid into the broad categories of immature, maturing, or mature. New maturity scales were created for N. sloanii utilising these broad categories. Finer-scale identification is not possible using this scale, as maturation appears to be a continuous process.
Morphometric measurements were taken from both hard and soft tissues and were analysed using non-metric multidimensional scaling and analysis of similarity. Divisions were only apparent in the hard structure measurements. They did not appear to be age, dietary or reproductive differences.
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