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Two-part Series (two-part + series)
Selected AbstractsHistory, memory, and conflict resolution: Research and applicationCONFLICT RESOLUTION QUARTERLY, Issue 4 2010Barbara Tint This article is the second of a two-part series and presents empirical research into the study of history, memory, and long-term intractable conflict. Interviews with members of the Israeli and Palestinian communities serve as the basis for this research. A variety of constructs emerged that inform conflict resolution practice, including a strong orientation to the past and its link to identity, emotion, and how past beliefs inform present perceptions. Recommendations are offered for how to integrate historical matter more fully into practice. [source] Reconstructing ripeness I: A study of constructive engagement in protracted social conflictsCONFLICT RESOLUTION QUARTERLY, Issue 1 2008Peter T. Coleman What moves people to work with each other rather than against each other when locked into destructive, long-term conflicts? Ripeness theory has been a useful starting point for understanding such motives, but has limited explanatory power under conditions of intractable conflict. This article is the first of a two-part series presenting the findings from a study that explored various methods of eliciting constructive engagement from stakeholders through interviews with expert scholarpractitioners working with protracted conflicts. A grounded theory analysis was applied to the interviews to allow new insights into constructive conflict engagement to emerge from the data. Our objective was to develop more robust theories and practices. A dynamical systems synthesis of the findings is presented, and its implications for reconceptualizing ripeness are discussed. [source] Reconstructing ripeness II: Models and methods for fostering constructive stakeholder engagement across protracted dividesCONFLICT RESOLUTION QUARTERLY, Issue 1 2008Peter T. Coleman A priority objective for diplomats, mediators, negotiators, and other individuals working to rectify seemingly intractable conflicts is to help foster stakeholder "ripeness," or a willingness and commitment to engage constructively in the conflict. This is often extremely difficult to achieve due to long histories between the parties of animosity, suspicion, hostility, and fear. Ripeness theory has been a useful starting point for understanding such motives, but has limited explanatory power under conditions of intractable conflict. The second in a two-part series, this article outlines the implications for practice resulting from an analysis of interviews with expert scholar-practitioners working in the field with intractable conflicts. [source] The Art of Repair in Surgical Hair Restoration Part I: Basic Repair StrategiesDERMATOLOGIC SURGERY, Issue 9 2002Robert M. Bernstein MD background. An increasingly important part of many hair restoration practices is the correction of hair transplants that were performed using older, outdated methods, or the correction of hair transplants that have left disfiguring results. The skill and judgment involved in these repair procedures often exceed those needed to operate on patients who have had no prior surgery. The use of small grafts alone does not protect the patient from poor work. Errors in surgical and aesthetic judgment, performing procedures on noncandidate patients, and the failure to communicate successfully with patients about realistic expectations remain major problems. objective. This two-part series presents new insights into repair strategies and expands upon several techniques previously described in the hair restoration literature. The focus is on creative aesthetic solutions to solve the supply/demand limitations inherent in most repairs. This article is written to serve as a guide for surgeons who perform repairs in their daily practices. methods. The repairs are performed by excision with reimplantation and/or by camouflage. Follicular unit transplantation is used for the restorative aspects of the procedure. results. Using punch or linear excision techniques allows the surgeon to relocate poorly planted grafts to areas that are more appropriate. In special situations, removal of grafts without reimplantation can be accomplished using lasers or electrolysis. The key elements of camouflage include creating a deep zone of follicular units, angling grafts in their natural direction, and using forward and side weighting of grafts to increase the appearance of fullness. The available donor supply is limited by hair density, scalp laxity, and scar placement. conclusion. Presented with significant cosmetic problems and severely limited donor reserves, the surgeon performing restorative hair transplantation work faces distinct challenges. Meticulous surgical techniques and optimal utilization of a limited hair supply will enable the surgeon to achieve the best possible cosmetic results for patients requiring repairs. [source] Use of paired fathead minnow (Pimephales promelas) reproductive test.ENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 7 2006Part 2: Source identification of biological effects at a bleached kraft pulp mill Abstract Reproductive effects of pulp mill effluents on fish continue to be reported in Canadian waters. Spawning delays, reduced gonad size, and altered levels of sex steroid hormones have been found in both sexes of various fish species exposed to effluents. We initiated a project to identify the source/cause of such effects. In part 1 of this two-part series, we exposed mature adult fathead minnow (FHM; Pimephales promelas) for 21 d to final treated effluent (1% and 100% v/v) from a bleached kraft pulp mill in Terrace Bay (ON, Canada). Results suggested pulp mill effluent from this mill affected reproductive indicators in FHM and effects were dependent on effluent concentration, duration of exposure, and method of data analysis. The main objective of this paper was to use the FHM assay to identify waste stream sources within the mill that affect reproductive indicators. Various process streams were selected, characterized with respect to effluent chemistry and acute toxicity, and a subset was tested on-site with the 21-d FHM bioassay. Results showed that both the combined mill effluent (before secondary treatment) and the combined alkaline stream (CALK) caused both decreased spawning events (,55% for both streams) and decreased egg production (28 and 74%, respectively), and the CALK stream resulted in significant male ovipositor development. By comparing response patterns we were able to identify the CALK stream as a source of compounds at this mill affecting reproductive indicators in FHM and highlight this stream for further toxicity identification evaluation. [source] Pan Evaporation Trends and the Terrestrial Water Balance.GEOGRAPHY COMPASS (ELECTRONIC), Issue 2 2009Declines in pan evaporation have been reported across the USA, former Soviet Union, India, China, Australia, New Zealand and Canada, among other places. The trend is large , approximately an order of magnitude larger than model-based estimates of top of the atmosphere radiative forcing. The pan evaporation trend also has a different sign (i.e. decline) from commonly held conceptions. These are a remarkably interesting set of observations. In the first article of this two-part series, we discussed the measurements themselves and then presented summaries of the worldwide observations. In this, the second article, we outline the use of energy balance methods to attribute the observed changes in pan evaporation to changes in the underlying physical variables, namely, radiation, temperature, vapour pressure deficit and wind speed. We find that much of the decline in pan evaporation can be attributed to declines in radiation (i.e. dimming) and/or wind speed (i.e. stilling). We then discuss the interpretation of changes in the terrestrial water balance. This has been an area of much misunderstanding and confusion, most of which can be rectified through use of the familiar and longstanding supply/demand framework. The key in using the pan evaporation data to make inferences about changes in the terrestrial water balance is to distinguish between water- and energy-limited conditions where different interpretations apply. [source] A method for representing boundaries in discrete element modelling,part I: Geometry and contact detectionINTERNATIONAL JOURNAL FOR NUMERICAL METHODS IN ENGINEERING, Issue 12 2001M. Kremmer Abstract The discrete element method for analysis of the dynamic behaviour of discontinuous media is well established. However, its application to engineering problems is still limited to simplified representations of structural boundaries and their kinematics. In this paper a method is developed for representing three-dimensional boundaries of arbitrary geometry and for modelling the interaction between boundary objects and particles within the discrete element modelling framework. The approach, which we term the finite wall method, uses planar triangular elements to approximate the boundary surface topology. Any number of wall elements can be used to model the shape of the structure. A contact detection scheme is presented for boundary surfaces and spheres based on a series of vector projections to reduce the problem dimensionally. The algorithm employs spatial sporting to obtain the set of potential contacts between spheres and wall elements prior to contact resolution. In a further stage, all possible contact conditions including contact with surfaces, edges and corners are explicitly determined. Part I of this two-part series of papers describes the finite wall method for representation of surface geometry and fully elaborates the method for detecting and resolving contact between boundary wall elements and spheres. In Part II the finite wall method is extended to apply kinematics to linearly independent boundary objects using combinations of translational and rotational motion. An approach is developed for coupling the DEM with the FEM for the purpose of optimising the design of structures which are dynamically interacting with particulate media. Copyright © 2001 John Wiley & Sons, Ltd. [source] Eliminating Catheter-Associated Urinary Tract Infections: Part I. Avoid Catheter UseJOURNAL FOR HEALTHCARE QUALITY, Issue 6 2009Melissa Winter Abstract: This article is the first in a two-part series focusing on catheter-associated urinary tract infections. There is a convergence of factors necessitating zero tolerance toward catheter-associated urinary tract infections, including the risks associated with patient safety and to a lesser extent the changes in reimbursement. Part I of this series focuses on the most significant modifiable risk factor, avoiding use of urethral catheters. A quality improvement case study is highlighted along with a practice bundle for evidence-based practice. Part II focuses on the second most significant risk factor, reducing urethral catheter-days. [source] Eliminating Catheter-Associated Urinary Tract Infections: Part II.JOURNAL FOR HEALTHCARE QUALITY, Issue 6 2009Limit Duration of Catheter Use Abstract: This article is the second in a two-part series focusing on catheter-associated urinary tract infections. Part I of the series focused on the most significant modifiable risk factor, avoiding use of urethral catheters. Part II focuses on the second major modifiable risk factor, reducing catheter-days. A quality improvement case is provided to illustrate the strategies for limiting the duration of catheter use. Together, these two articles provide important information on the two most significant risk facts for eliminating the incidence of catheter-associated urinary tract infections. [source] Collagenolytic (necrobiotic) granulomas: part 1 , the ,blue' granulomasJOURNAL OF CUTANEOUS PATHOLOGY, Issue 5 2004Jane M. Lynch A collagenolytic or necrobiotic non-infectious granuloma is one in which a granulomatous infiltrate develops around a central area of altered collagen and elastic fibers. The altered fibers lose their distinct boundaries and exhibit new staining patterns, becoming either more basophilic or eosinophilic. Within the area of altered collagen, there may be deposition of acellular substances such as mucin (blue) or fibrin (red), or there may be neutrophils with nuclear dust (blue), eosinophils (red), or flame figures (red). These color distinctions can be used as a simple algorithm for the diagnosis of collagenolytic granulomas, i.e. ,blue' granulomas vs. ,red' granulomas. Eight diagnoses are included within these two groupings, which are discussed in this two-part article. In this first part, the clinical presentation, pathogenesis, and histologic features of the ,blue' collagenolytic granulomas are discussed. These are the lesions of granuloma annulare, Wegener's granulomatosis, and rheumatoid vasculitis. In the subsequent half of this two-part series, the ,red' collagenolytic granulomas will be discussed; these are the lesions of necrobiosis lipoidica, necrobiotic xanthogranuloma, rheumatoid nodules, Churg,Strauss syndrome, and eosinophilic cellulitis (Well's syndrome). [source] Approaches for Quantifying the Metabolism of Physical Economies: A Comparative Survey: Part II: Review of Individual ApproachesJOURNAL OF INDUSTRIAL ECOLOGY, Issue 1 2002Peter L. Daniels Summary This article is the second of a two-part series that describes and compares the essential features of nine "physical economy" approaches for mapping and quantifying the material demands of the human economy upon the natural environ-ment. These approaches are critical tools in the design and implementation of industrial ecology strategies for greater eco-efficiency and reduced environmental impacts of human economic activity. Part I of the series provided an overview, meth-odological classification, and comparison of a selected set of major materials flow analysis (MFA) and related techniques. This sequel includes a convenient reference and overview of the major metabolism measurement approaches in the form of a more detailed summary of the key specific analytical and other features of the approaches introduced in part I. The surveyed physical economy related environmental analysis ap-proaches include total material requirement and output mod-els, bulk MFA (IFF (Department of Social Ecology, Institute for Interdiscplinary Studies of Austrian Universities) material flow balance model variant), physical input-output tables, substance flow analysis, ecological footprint analysis, environmental space, material intensity per unit service, life-cycle assessment (LCA), the sustainable process index, and company-level MFA. [source] Current status, future trends, and issues in human performance technology, part 2: Models, influential disciplines, and research and developmentPERFORMANCE IMPROVEMENT, Issue 2 2008James A. Pershing CPT In this second part of a two-part series, a panel of experts indicated that human performance technology (HPT) research is being adequately conducted but not properly used in practice. They stressed a need for more applied research and more extensive use of case studies. They also provided their perspectives about the influences of other fields on HPT, suggesting the need for HPT to align more closely with other disciplines that address issues of human and organizational performance. [source] Measuring the ROI of a coaching intervention, Part 2PERFORMANCE IMPROVEMENT, Issue 10 2007Jack J. Phillips This article, the second of a two-part series, describes a case study application of the ROI MethodologyŌ. In this case, a structured coaching program was implemented as part of a comprehensive performance improvement solution designed to improve efficiency, customer satisfaction, and revenue growth for Nations Hotel Corporation. This case study provides critical insights into how a project was systemically designed, delivered, and measured to create performance value, including a return on investment. [source] Show me the money: The use of ROI in performance improvement, part 1PERFORMANCE IMPROVEMENT, Issue 9 2007Jack J. Phillips This first of a two-part series presents the evolution of value, moving from activity-focused value to the ultimate value, return on investment (ROI). This feature clearly shows that the ROI methodology is not only appropriate for the performance improvement field, but is designed with a variety of performance improvement solutions in mind. The next article in this series will describe issues and challenges that those using this methodology face, along with a brief case study. [source] The quality of life for cancer children (QOLCC) for Taiwanese children with cancer (part II): Feasibility, cross-informants variance and clinical validityPSYCHO-ONCOLOGY, Issue 3 2004Chao-Hsing Yeh The quality of life in childhood cancer (QOLCC) is a research instrument that has been developed to assess the quality of life for children and adolescents who suffer from cancer in Taiwan. The current paper is the second of a two-part series of research reports. Part I is reported in this journal (Yeh et al., 2003). Part II describes the range of measurement, concordance of cross-informants reports, and clinical validity of Taiwanese pediatric cancer children (7,12 years) and adolescents (13,18 years) and their parents/caregivers. Due to the cognitive ability of children and adolescents, data were analyzed for children and adolescent separately. The validity of cross-referenced information between parent and child forms was subsequently examined using Pearson product correlation. The feasibility (percentage of missing values per item) and range of measurement [percentage of minimum (floor effect) and maximum (ceiling effect) possible scores] was calculated for the five QOLCC and the total scale score. The findings of medium to high correlation of the patient/parent responses strongly imply that relevant information might be obtainable through parents when children are unable or unwilling to complete the assessment instrument. Feasibility for the QOLCC was very good. Copyright © 2003 John Wiley & Sons, Ltd. [source] Advanced Statistics: Missing Data in Clinical Research,Part 1: An Introduction and Conceptual FrameworkACADEMIC EMERGENCY MEDICINE, Issue 7 2007Jason S. Haukoos MD Missing data are commonly encountered in clinical research. Unfortunately, they are often neglected or not properly handled during analytic procedures, and this may substantially bias the results of the study, reduce study power, and lead to invalid conclusions. In this two-part series, the authors will introduce key concepts regarding missing data in clinical research, provide a conceptual framework for how to approach missing data in this setting, describe typical mechanisms and patterns of censoring of data and their relationships to specific methods of handling incomplete data, and describe in detail several simple and more complex methods of handling such data. In part 1, the authors will describe relatively simple approaches to handling missing data, including complete-case analysis, available-case analysis, and several forms of single imputation, including mean imputation, regression imputation, hot and cold deck imputation, last observation carried forward, and worst case analysis. In part 2, the authors will describe in detail multiple imputation, a more sophisticated and valid method for handling missing data. [source] |