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1

Zahwa, Salsabila Arum, Titin Faridatun Faridatun Nisa', and Yulias Wulani Fajar. "Pengaruh Metode Bermain Peran Makro Terhadap Kemampuan Berpikir Simbolik Anak Kelompok B." Jurnal PG-PAUD Trunojoyo : Jurnal Pendidikan dan Pembelajaran Anak Usia Dini 5, no. 1 (April 14, 2018): 30–38. http://dx.doi.org/10.21107/pgpaudtrunojoyo.v5i1.3848.

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This research aims to investigate the influence of macro role playing method on the children’s symbolic thinking ability at group B, TK Seruni Perumnas Kamal. Symbolic thinking is the ability to use symbols such as numbers, letters and images. This study was focused on examining macro role playing method to stimulate the children on the ability of using symbols. This research utilized quantitative approach by using experimental method with Pre-experimental research design in form of one-group pretest posttest. The subject of this study are 13 children at group B, TK Seruni Perumnas Kamal. Data were collected through observation and documentation. Then, data were analyzed by using wilcoxon level test. The result of data analysis was revealed that t count value is 0 and T table value 17, as 0 17, then Ha was accepted. Based on the data analysis, it shows there is a significant influence on macro role playing method on the children’s symbolic thinking ability at group B, TK Seruni Perumnas Kamal
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Nazareian, Asghar, Kaveh Zalnejad, and Reza Mirzanejad. "Analysis of Effects of Tourism on Development Process of the Urban Villages Case: Serein County." Space Economy and Rural Development 4, no. 13 (November 1, 2015): 137–52. http://dx.doi.org/10.18869/acadpub.serd.4.13.137.

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3

Zahwa, Salsabila Arum, Titin Faridatun Faridatun Nisa', and Yulias Wulani Fajar. "Pengaruh Metode Bermain Peran Makro Terhadap Kemampuan Berpikir Simbolik Anak Kelompok B." Jurnal PG-PAUD Trunojoyo : Jurnal Pendidikan dan Pembelajaran Anak Usia Dini 5, no. 1 (April 14, 2018): 30. http://dx.doi.org/10.21107/jpgpaud.v5i1.3848.

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<p><em>This research aims to investigate the influence of macro role playing method on the children’s symbolic thinking ability at group B, TK Seruni Perumnas Kamal. Symbolic thinking is the ability to use symbols such as numbers, letters and images. This study was focused on examining macro role playing method to stimulate the children on the ability of using symbols. This research utilized quantitative approach by using experimental method with Pre-experimental research design in form of one-group pretest posttest. The subject of this study are 13 children at group B, TK Seruni Perumnas Kamal. Data were collected through observation and documentation. Then, data were analyzed by using wilcoxon level test. The result of data analysis was revealed that t <sub>count</sub> value is 0 and T <sub>table</sub> value 17, as 0 &lt;17, then Ha was accepted. Based on the data analysis, it shows there is a significant influence on macro role playing method on the children’s symbolic thinking ability at group B, TK Seruni Perumnas Kamal</em><strong><em></em></strong></p>
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4

Nuñez, Manuel, Buensuceso Fernandez Del Pozo, M. Asunción Rodríguez-Marin, Pilar Gaya, and Margarita Medina. "Effect of vegetable and animal rennet on chemical, microbiological, rheological and sensory characteristics of La Serena cheese." Journal of Dairy Research 58, no. 4 (November 1991): 511–19. http://dx.doi.org/10.1017/s0022029900030120.

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SummaryThe characteristics of La Serena cheese produced using animal rennet in place of the traditional vegetable rennet were evaluated. Total solids, fat and total N were higher in whey from animal rennet than in whey from vegetable rennet. Cheese produced using animal rennet had a higher moisture content and a lower pH. Proteolysis was more rapid in the cheese produced with vegetable rennet than in the cheese produced with animal rennet, but there was less lipolysis. Enterobacteriaceae and coliform counts were respectively 1·7 and 1·4 log units higher in 60 d vegetable rennet cheese than in 60 d animal rennet cheese. Softening of cheese texture was considerably more pronounced in vegetable rennet cheese, which also showed significantly higher flavour quality and intensity.
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Medina, Margarita, Buensuceso Fernandez Del Pozo, M. Asunción Rodríguez-Marin, Pilar Gaya, and Manuel Nuñez. "Effect of lactic starter inoculation on chemical, microbiological, rheological and sensory characteristics of La Serena cheese." Journal of Dairy Research 58, no. 3 (August 1991): 355–61. http://dx.doi.org/10.1017/s0022029900029939.

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SummaryThe influence of lactic starter inoculation on La Serena cheese characteristics was investigated in duplicate experiments, each consisting of a vat inoculated with 1%Lactococcus lactissubsp.lactisskim milk culture and a control vat without lactic starter.Lc. lactisinoculation achieved a significant pH decrease in the interior and on the surface of cheese, which ranged from 0·09 to 0·25 units throughout ripening. Breakdown of αs1- and β-casein and formation of soluble N fractions were retarded byLc. lactisinoculation. Levels of αs1-casein, β-casein and pH 4·6-soluble N after 60 d were respectively 30·4, 34·9 and 28·8% in cheese made with starter and 18·4, 23·0 and 34·2% in control cheese. More acidic conditions in the interior of cheese made with starter resulted in a reduction of Enterobacteriaceae, coliform and staphylococci counts, which after 60 d were respectively 2·55, 2·40 and 0·29 log units lower than in control cheese. The firmer texture obtained throughout maturation for cheese made with starter was attributed to retarded proteolysis and lower pH value. Cheese flavour quality and intensity were significantly impaired byLc. lactisinoculation.
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6

Supriani, Yani. "Pengaruh Experiential Learning dan Kreativitas Siswa SDN Pelamunan Kabupaten Serang Terhadap Hasil Belajar Matematika." GAUSS: Jurnal Pendidikan Matematika 1, no. 1 (May 31, 2018): 74. http://dx.doi.org/10.30656/gauss.v1i1.638.

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The main purpose of this research is to know the influence and interaction between experiential learning model and student creativity toward the result of mathematic learning.Population of this research is student of VIA and VIB class SDN Pelamunan Serang, 2017/2018 year. Sample of this research is taken by using Multi Stage Random Sampling. Research design used in this research is factorial design 2X2 with three variables which contains two independent variables are experiential learning model and student creativity; and one dependent variable is the result of mathematic learning.Collecting of the data is conducted by using test technique (the result of mathematic learning), questioner technique (student creativity) and document technique (experiential learning model). Data collected is analyzed by using ANAVA two sides and it is continued with the tukey test because there is influence between experiential learning models with student creativity toward the result of mathematic learning. Before the data is being analyzed, it is conducted descriptive statistical analysis and data testing (normality and homogeneity tests). Result of the research shows that: (1) experiential learning model gives influence to the result of mathematic learning, it is showed by the result of anava where F count is (11,589) more and F-table for the significance level 5% (4,00); (2) student creativity gives influence to the result of mathematic learning, it is showed by the result of anava where the F-count (33,362) more than F-table for the significance level 5% (4,00); (3) there is interaction between experiential learning model and student creativity toward the result of mathematic learning, it is showed by F count (4,627) more than F table for the significance level 5% (4,00); (4) there is influence of the result of mathematic learning with experiential learning concept for the student’s creativity, it is showed by the result of tukey test where the count test (17, 91) higher than t test.
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7

Brinkman, Donald B., David A. Eberth, M. J. Ryan, and Pei-ji Chen. "The occurrence of Psittacosaurus xinjiangensis Sereno and Chow, 1988 in the Urho area, Junggar Basin, Xinjiang, People's Republic of China." Canadian Journal of Earth Sciences 38, no. 12 (December 1, 2001): 1781–86. http://dx.doi.org/10.1139/e01-049.

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A partial specimen of Psittacosaurus xinjiangensis from the Urho locality in the Western Junggar basin, China, extends the known geographical range of P. xinjiangensis and documents the adult morphology in this species. Variation in the number of denticles on the dentary tooth crowns is documented, possibly representing a decrease in the number of denticles during growth, although a high denticle count remains a diagnostic feature of the species.
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Cersini, Antonella, Maria Celeste Martino, Irene Martini, Giacomo Rossi, and Maria Lina Bernardini. "Analysis of Virulence and Inflammatory Potential of Shigella flexneri Purine Biosynthesis Mutants." Infection and Immunity 71, no. 12 (December 2003): 7002–13. http://dx.doi.org/10.1128/iai.71.12.7002-7013.2003.

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ABSTRACT Several Shigella flexneri mutants with defects in aromatic amino acid and/or purine biosynthesis have been evaluated as vaccines in humans or in animal models. To be suitable as a vaccine, a mutant has to show virulence attenuation, minimal reactogenicity, and a good immunogenic potential in animal models. With this aim, we have constructed five S. flexneri 5 (wild-type strain M90T) mutants with inactivation of one or two of the loci purEK, purHD, and guaBA, governing early or late steps of purine biosynthesis. The mutants have been analyzed in vitro in cell cultures and in vivo in the Sereny test and in the murine pulmonary model of shigellosis. M90T guaBA, M90T guaBA purEK, M90T guaBA purHD, and M90T purHD purEK gave a negative result in the Sereny test. In contrast, in the murine pulmonary model all of the strains had the same 50% lethal dose as the wild type, except M90T guaBA purHD, which did not result in death of the animals. Nevertheless, bacterial counts in infected lungs, immunohistochemistry, and reverse transcription-PCR analysis of mRNAs for tumor necrosis factor alpha (TNF-α), gamma interferon (IFN-γ), interleukin-1β (IL-1β), IL-6, IL-12, and inducible nitric oxide synthase (iNOS) revealed significant differences among the strains. At 72 h postinfection, M90T guaBA purHD still induced proinflammatory cytokines and factors such as IL-1β, IL-6, TNF-α, and iNOS, along with cytokines such as IL-12 and IFN-γ. Moreover, in the absence of evident lesions in murine tissues, this mutant highly stimulated major histocompatibility complex class II expression, showing a significant ability to activate the innate immunity of the host.
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9

Yeh, Emily T. "Forest Claims, Conflicts and Commodification: The Political Ecology of Tibetan Mushroom-Harvesting Villages in Yunnan Province, China." China Quarterly 161 (March 2000): 264–78. http://dx.doi.org/10.1017/s0305741000004021.

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Villages scattered along the steep slopes of north-west Yunnan present a serene picture of colourful prayer flags fluttering from rooftops and only the occasional vehicle raising dust from dirt roads. But for the past few years, summers have been a time of intense and often violent conflict. In late July, neighbouring villages prepare to fight once again over access to forests which produce wild matsutake mushrooms, a high-value Japanese luxury food that has been harvested and exported from the region for the past 12 years. The quiet summer nightlife in the nearby county seat has been transformed to a bustling mushroom market busiest between midnight and dawn. Why has this market come into existence, and what have been its effects on access to and control over forest resources?
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10

Nurlaili, Fitri, and Sinta Terisnawati. "PENGARUH MINAT DAN MOTIVASI BERWIRAUSAHA TERHADAP JIWA WIRAUSAHA SISWA." Progress: Jurnal Pendidikan, Akuntansi dan Keuangan 3, no. 1 (February 17, 2020): 52–62. http://dx.doi.org/10.47080/progress.v3i1.775.

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This research aims to know whether the entrepreneurial interest and entrepreneurship motivation influence entrepreneurial spirit and how much interest and motivation of entrepreneurship influence on entrepreneurial spirit of students. This research conducted during Juni 2019 at SMK Negeri 7 Kota Serang. The population in this research were student of SMK Negeri 7 Kota Serang, sampling using simple random sampling. The data was obtained by distributing questionnaries to 109 respondents. Testing the hypothesis with multiple regression analysis, t-test, f-test, and coefficient of determination. The results of this study indicated that: (1) There was a positive and significant influence of interest in entrepreneurship on entrepreneurial spirit ,this was evidenced by having a regression coefficient t count> t table of (2.781> 1,982) and a significant value of 5%, (2) There was a positive and significant effect of entrepreneurial motivation on entrepreneurial spirit evidenced by having a regression coefficient t count> t table of (4,904> 1,982) and a significant value of 5%, (3) There was a positive and significant influence of interest and motivation in entrepreneurship together on entrepreneurial spirit. This was evidenced by having a regression coefficient fcount> ftabel of (50,478> 3.08) and a significant value of 5%, (4) the coefficient of determination (adjusted R2) obtained at 0.478 or 47.8%, while the rest is 52.2% Entrepreneurial spirit was influenced by variables other variables not examined in this study.
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11

Hamdan, Hamdan. "The Effect of Entrepreneurship Leadership and Motivation on Employees' Satisfaction at Serang Raya University." JURNAL TERAPAN MANAJEMEN DAN BISNIS 4, no. 2 (September 1, 2018): 171. http://dx.doi.org/10.26737/jtmb.v4i2.931.

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A leader who has an entrepreneurial spirit or entrepreneurial leadership and motivation is absolutely necessary as an intangible culture, a non-physical structural capability that is able to move a physical figure, dare to take risks and prioritize work performance. so this study aims to determine the Effect of Entrepreneurship Leadership and Motivation on Employee Job Satisfaction at Serang Raya University. This study uses a descriptive method and in the form of a questionnaire distributed to 77 respondents who were the samples of this study, the data came from populations that were normally distributed and had the same variance. The technique of collecting data using a questionnaire with a Likert scale measurement. correlation coefficient R = 0.723, while the coefficient of determination seen from R Square = 0.522 which means that entrepreneurial leadership and motivation of independent variables in explaining the dependent variable by 52.2% the remaining 47.8% is influenced by other factors such as work culture, employee discipline, environment work, etc. which were not included in this study. And there is a significant influence between entrepreneurial leadership and motivation on employee job satisfaction at Serang Raya University in the t test, the results obtained t count&gt; t table (4,281&gt; 1,992), it can be concluded that there is a significant influence between entrepreneurial leadership (X<sub>1</sub>) and motivation (X<sub>2</sub>) on employee job satisfaction (Y) at Serang Raya University.
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12

Hayat, Fauzul, and Darusmini Darusmini. "ANALISIS FAKTOR PENGGUNAAN FORMALIN PADA PEDAGANG TAHU DI PASAR TRADISONAL KOTA SERANG." Jurnal Surya Muda 3, no. 2 (August 24, 2021): 121–32. http://dx.doi.org/10.38102/jsm.v3i2.82.

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Formalin is known as a disinfectant, germicide and non-food preservative. For this reason, useing formalin in tofu food products is strictly prohibited. The importance of preventing the use of formalin in tofu traders has an impact on human health so it is safe for consumption. The purpose of this study was to determine of formaldehyde used among tofu traders in the traditional market of Serang City. Cross-sectional study with total sampling technique. The research sample was 43 tofu traders and 43 tofu samples were taken. Questionnaire instrument to obtain data on the variables of knowledge, attitudes and supervision variables that had previously been tested for validity (r count > r table) and reliability with Cronbach's alpha (α) value of 0.947 > 0.60. Tofu formalin content examination was carried out by the Regional Health Laboratory (Labkesda) Serang City using the Schiff reagent test. The results showed that there were (67.4%) tofu trader were positive formalin. There is no relationship between attitudes and use of formaldehyde in tofu traders (p=1,000). There is a relationship between knowledge (p=0.016) and supervision (p=0.004) with the use of formalin in tofu traders. Application of regulations, supervision traders and producers to prevent the use of formaldehyde in food.
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James, Carolyn. "Courts and Courtly Cultures in Early Modern Italy and Europe: Models and Languages. Simone Albonico and Serena Romano, eds. Studi lombardi 8. Rome: Viella, 2016. 504 pp. €60." Renaissance Quarterly 70, no. 3 (2017): 1092–93. http://dx.doi.org/10.1086/695186.

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14

Lutfiyah, Lutfiyah, Rumbang Sirojudin, and Rd Hidayatullah. "HUBUNGAN PEMBELAJARAN KITAB RIYADUL BADI’AH DENGAN PRESTASI BELAJAR SISWA PADA MATA PELAJARAN FIQIH." Geneologi PAI: Jurnal Pendidikan Agama Islam 6, no. 1 (June 28, 2019): 35. http://dx.doi.org/10.32678/geneologipai.v6i1.1941.

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Secara formal, pembelajaran diterapkan agar siswa mendapat prestasi belajar. Salah satu permasalahan yang dihadapi yaitu daya tangkap siswa terhadap materi berbeda-beda, sedangkan jam pelajaran yang diberikan di dalam kelas sangat terbatas, sehingga pencapaian prestasi belajar tidak merata. Oleh karena itu, dibutuhkan usaha atau inovasi untuk menyelesaikan masalah tersebut, salah satunya dengan mengikuti pembelajaran kitab Riyadul Badi’ah. Belajar merupakan proses perubahan perilaku sebagai hasil dari pengalaman yang dialami. Kitab Riyadul Badi’ah merupakan kitab yang membahas tentang masalah-masalah fiqih. Dengan mempelajari kitab Riyadul Badi’ah diharapkan mampu mengantarkan siswa kepada pemahaman yang lebih baik dalam keilmuan Fiqih. Dengan begitu, siswa diharapkan akan memiliki prestasi belajar yang baik. Tujuan penelitian ini adalah untuk mengetahui pembelajaran kitab Riyadul Badi’ah di MTs Ashhabul Maimanah Susukan Tirtayasa Kab. Serang, mengetahui prestasi belajar siswa MTs Ashhabul Maimanah Sususkan Tirtayasa Kab. Serang pada mata pelajaran Fiqih, dan mengetahui hubungan antara pembelajaran kitab Riyadul Badi’ah dengan prestasi belajar siswa MTs Ashhabul Maimanah Sususkan Tirtayasa Kab. Serang pada mata pelajaran Fiqih. Metode yang digunakan yaitu kuantitatif korelasional. Teknik pengambilan sampel yang digunakan berupa purposive sampling, yaitu pengambilan sampel berdasarkan tujuan tertentu, dan didapatkan 30 siswa sebagai sampel. Instrumen penelitian yang digunakan meliputi observasi, dokumentasi, wawancara, dan angket. Hasil penelitian menunjukkan bahwa indeks koefisien korelasi (rxy) sebesar 0,70. Setelah dikonsultasikan dengan tabel interpretasi “r” product moment diketahui bahwa angka 0,70 berada di antara 0,60 – 0,80 dengan interpretasi variabel X dan Variabel Y terdapat korelasi yang tinggi. Selanjutnya, berdasarkan hasil uji signifikansi diketahui t hitung = 5,18 (> t tabel = 1,70), dengan interpretasi terdapat korelasi yang positif antara pembelajaran kitab Riyadul Badi’ah dengan prestasi belajar siswa pada Mata Pelajaran Fiqih. Adapun kontribusi variabel X dan Y dengan menggunakan koefisien determinasi sebesar 49%, sedangkan sisanya 51% dapat dipengaruhi oleh faktor lain. Kata kunci: Fiqih, Pembelajaran, kitab Riyadul Badi’ah, prestasi Abstract. Formally, learning is applied so that students get learning achievements. One of problems faced is the students' capture of material is different, while the lessons given in the class are very limited so that learning achievement is uneven. Therefore, it takes effort or innovation to solve the problem,one of them is by participating in the learning of Book Riyadul Badi'ah. Learning is a process of behavior change as a result of experience experienced. Book Riyadul Badi'ah is a book that discusses the issues of fiqh. By studying the Book of Riyadul Badi'ah, it is expected to be able to deliver students to a better understanding of Fiqh. That way, the students are expected to have good learning achievements. The purpose of this study were to find out the learning of Kitab Riyadul Badi'ah at MTs Ashhabul Maimanah Susukan Tirtayasa Serang District, to determine the learning achievements of students at MTs Ashhabul Maimanah Sususkan Tirtayasa Serang District on Fiqh subject, and to find out the relationship between the learning of Kitab Riyadul Badi'ah and the learning achievements of MTs Ashhabul Maimanah Sususkan Tirtayasa students in Serang District on Fiqh subject. The method used was a quantitative correlation. The sampling technique used was a purposive sampling, namely sampling based on specific objectives, and it was used 30 students as samples. The research instruments used included observation, documentation, interview, and questionnaires. The results showed that the correlation coefficient index (rxy) was 0.70. After consulting the interpretation table "r" product moment, it was known that the number 0.70 is between 0.60-0.80, with the interpretation of variables X and Y, there was a high correlation. Furthermore, based on the results of the significance test, it was known that t count = 5.18 (> t table = 1.70), with the interpretation there was a positive correlation between the learning of Kitab Riyadul Badi'ah and the student achievement in Fiqh subject. The contribution of variables X and Y using the determination coefficient of 49%, while the remaining 51% can be influenced by other factors. Keywords: Fiqh, learning achievement, learning of Riyadul Badi’ah
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15

Martindale, Jane. "The Nun Immena and the Foundation of the Abbey of Beaulieu: a Woman’s Prospects in the Carolingian Church." Studies in Church History 27 (1990): 27–42. http://dx.doi.org/10.1017/s0424208400011992.

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To our daughter Immena whom we give to God and to be clothed as a nun (sanctimonialis)… for the fear of God, and so that souls fighting for Christ can receive a remedy for their sins through our intermission …’. An aristocratic couple decide to give two of their children (a boy, as well as this girl) to the religious life, and their intention is recorded in a private charter. Lands which have been set aside for the economic support of Immena and her brother are listed at length; then the document concludes with the statement that the two donors, Count Rodulf and Aiga, his wife, ‘requested this concession to be made in the month of November in the tenth year of the reign of our most serene lord Louis, Emperor Augustus’ (that is, the Emperor Louis the Pious, AD 823). A girl is being given to God. Her entry into this new way of life is solemnized by a ceremony in which she will be dressed in clothes appropriate for her withdrawal from the ‘profane’ world: she will almost certainly be veiled in black or purple—although at this time that was a matter for debate in ecclesiastical legislation. The charter may also be interpreted as recording a ‘rite of passage’ which seems to signal Immena’s ‘aggregation’ into a new sacred community, and her separation from the social world of her kin.
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Permatasari, Siska, Rahmawati, and Raudah Zaimah Dalimunthe. "The Influence of “Ubrug” Sociodrama Technique toward Students Self-Efficacy." Journal of Family Sciences 5, no. 1 (July 22, 2020): 57–70. http://dx.doi.org/10.29244/jfs.5.1.57-70.

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The study's purpose is to know the effects of the 'ubrug' sociodrama technique 'on a student's self-efficacy and the effectiveness or failure of a given technique. This type of research is a pre-experimental study using one group pre-post test design. The population taken as many as 112 students with the characteristics of class IX students (a, b, and c), aged 14-16 years, have low self-efficacy with a lack of self-confidence and slightly more closed behavior, are willing to take the time to fill out the questionnaire given, and students must be committed to the "Ubrug" sociodrama treatment. Obtained a sample of 15 students with a purposive sampling technique. The data collection method uses a self-efficacy questionnaire consisting of 34 statement items with a reliability value (count) of 0.896. The results of giving a post-test prove that there is an increase in the results obtained by students significantly. It can be concluded that the Sociodrama Technique "Ubrug" can increase the self-efficacy of IX grade students at SMPN 5 Kota Serang.
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Fitrianti, Fitrianti, and Supardi U.S. "MODEL PEMBELAJARAN TWO STAY TWO STRAY DAN HASIL BELAJAR KOGNITIF." Social Sciences, Humanities and Education Journal (SHE Journal) 2, no. 1 (January 31, 2021): 38. http://dx.doi.org/10.25273/she.v2i1.8549.

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This study aims to analyze the effect of the Two Stay Two Stray learning model on cognitive learning outcomes for the Diversity of Living Things and Their Conservation Efforts. The research was conducted by using a quasi-experimental method on seventh grade students of SMPN in Serang Regency, Banten Province. The research data were analyzed using statistics of descriptive and t-test inferential. The results showed that the cognitive learning outcomes who were taught using conventional learning models had an average score of 71.7; while for students who used the Two Stay Two Stray learning model obtained an average score of 78.8. The results of inferential analysis obtained t-count = 3.694 higher than t-table = 1.729 so that it can be concluded that there is a significant effect of the Two Stay Two Stray learning model on the cognitive learning outcomes of the Diversity of Living Things and Their Conservation Efforts. In order to improve student cognitive learning outcomes, teachers should use the Two Stay Two Stray model in the learning process in the classroom.
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Nurlely, Ledy, Sutrisno Sadji Evenddy, and Arlini Arlini. "THE INFLUENCE OF USING VISUAL PICTURE SEQUENCE TOWARDS STUDENTS’ ABILITY IN WRITING PROCEDURE TEXT." Education and Human Development Journal 6, no. 1 (April 30, 2021): 52–61. http://dx.doi.org/10.33086/ehdj.v6i1.1871.

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Abstract: This research is aimed to find out whether there is a significant influence of using Visual Picture Sequence towards students’ ability in writing procedure text. This research used quantitative method and quasi experimental design, conducted by using pre-test – treatment - post test design. The instrument used in this research was test (pre-test and post-test). This research was conducted in two classes; experimental class and control class, exactly in English classroom. The population of this research was the twelfth grade of MAN 2 KOTA SERANG in academic year 2020/2021. The samples of this research were XII IPS 2 as experimental class and XII IPS 3 as control class both consisted 33 students. The experimental class was taught by using Visual Picture Sequence and the control class without using Visual Picture Sequence. The data of this research was collected by giving the writing test about procedure text in pre-test and post-test. The post test mean score of control class was 79,75 and the post-test mean score of experimental class was 84,75. The collected data were analyzed by using t-test. The result of data analysis showed that the value of t-count was higher than the value of t-table (11,2 ≥ 2.00) at the level of significant of a 0.05 and degree of freedom is 64. It means that the alternative hypothesis (Ha) was accepted and null hypothesis (H0) was rejected. From those findings, it could be concluded that there was significant influence of using Visual Picture Sequence towards students’ ability in writing procedure text. Keywords: Procedure Text;Visual Picture Sequence; Writing Skill Abstrak: Penelitian ini bertujuan untuk mengetahui apakah ada pengaruh signifikan dari penggunaan Visual Picture Sequence terhadap kemampuan siswa dalam menulis teks prosedur. Penelitian ini menggunakan metode kuantitatif dengan desain kuasi eksperimen, yang dilakukan dengan menggunakan desain pre test - treatment - post test. Instrumen yang digunakan dalam penelitian ini adalah tes (pre-test dan post-test). Penelitian ini dilakukan di dua kelas; kelas eksperimen dan kelas kontrol, tepatnya di kelas bahasa Inggris. Populasi penelitian ini merupakan kelas XII MAN 2 KOTA SERANG tahun akademik 2020/2021. Sampel penelitian ini adalah XII IPS 2 sebagai kelas eksperimen dan XII IPS 3 sebagai kelas kontrol. Keduanya terdiri dari 33 siswa. Kelas eksperimen diajarkan dengan menggunakan Visual Picture Sequence dan kelas kontrol tanpa menggunakan Visual Picture Sequence. Data penelitian ini dikumpulkan dengan mengadakan tes tulis tentang teks prosedur dalam pre-test dan post-test. Skor post-test kelas kontrol adalah 79,75 dan skor rata-rata post-test kelas eksperimen adalah 84,75. Data yang dikumpulkan, dianalisis dengan menggunakan t-test. Hasil analisis data menunjukkan bahwa nilai t-count lebih tinggi dari nilai t-table (11.2 ≥ 2,00) pada tingkat signifikan dari 0,05 dan tingkat kebebasan adalah 64. Ini berarti bahwa hipotesis alternatif (Ha) diterima dan hipotesis null (H0) ditolak. Dari temuan tersebut, dapat disimpulkan bahwa ada pengaruh signifikan dari penggunaan Visual Picture Sequence terhadap kemampuan siswa dalam menulis teks prosedur. Kata Kunci: Teks prosedur, visual picture sequence, keterampilan menulis
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KITLV, Redactie. "Book Reviews." New West Indian Guide / Nieuwe West-Indische Gids 59, no. 1-2 (January 1, 1985): 73–134. http://dx.doi.org/10.1163/13822373-90002078.

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-Stanley L. Engerman, B.W. Higman, Slave populations of the British Caribbean, 1807-1834. Baltimore: The Johns Hopkins University Press, Johns Hopkins Studies in Atlantic History and Culture, 1984. xxxiii + 781 pp.-Susan Lowes, Gad J. Heuman, Between black and white: race, politics, and the free coloureds in Jamaica, 1792-1865. Westport CT: Greenwood Press, Contributions in Comparative Colonial Studies No. 5, 1981. 20 + 321 pp.-Anthony Payne, Lester D. Langley, The banana wars: an inner history of American empire, 1900-1934. Lexington KY: University Press of Kentucky, 1983. VIII + 255 pp.-Roger N. Buckley, David Geggus, Slavery, war and revolution: the British occupation of Saint Domingue, 1793-1798. New York: The Clarendon Press, Oxford University Press, 1982. xli + 492 pp.-Gabriel Debien, George Breathett, The Catholic Church in Haiti (1704-1785): selected letters, memoirs and documents. Chapel Hill NC: Documentary Publications, 1983. xii + 202 pp.-Alex Stepick, Michel S. Laguerre, American Odyssey: Haitians in New York City. Ithaca and London: Cornell University Press, 1984. 198 pp-Andres Serbin, H. Michael Erisman, The Caribbean challenge: U.S. policy in a volatile region. Boulder CO: Westview Press, 1984. xiii + 208 pp.-Andres Serbin, Ransford W. Palmer, Problems of development in beautiful countries: perspectives on the Caribbean. Lanham MD: The North-South Publishing Company, 1984. xvii + 91 pp.-Carl Stone, Anthony Payne, The politics of the Caribbean community 1961-79: regional integration among new states. Oxford: Manchester University Press, 1980. xi + 299 pp.-Evelyne Huber Stephens, Michael Manley, Jamaica: struggle in the periphery. London: Third World Media, in association with Writers and Readers Publishing Cooperative Society, 1982. xi + 259 pp.-Rhoda Reddock, Epica Task Force, Grenada: the peaceful revolution. Washington D.C., 1982. 132 pp.-Rhoda Reddock, W. Richard Jacobs ,Grenada: the route to revolution. Havana: Casa de Las Americas, 1979. 157 pp., Ian Jacobs (eds)-Jacqueline Anne Braveboy-Wagner, Andres Serbin, Geopolitica de las relaciones de Venezuela con el Caribe. Caracas: Fundación Fondo Editorial Acta Cientifica Venezolana, 1983.-Idsa E. Alegria-Ortega, Jorge Heine, Time for decision: the United States and Puerto Rico. Lanham MD: North-South Publishing Co., 1983. xi + 303 pp.-Richard Hart, Edward A. Alpers ,Walter Rodney, revolutionary and scholar: a tribute. Los Angeles: Center for Afro-American Studies and African Studies Center, University of California, 1982. xi + 187 pp., Pierre-Michel Fontaine (eds)-Paul Sutton, Patrick Solomon, Solomon: an autobiography. Trinidad: Inprint Caribbean, 1981. x + 253 pp.-Paul Sutton, Selwyn R. Cudjoe, Movement of the people: essays on independence. Ithaca NY: Calaloux Publications, 1983. xii + 217 pp.-David Barry Gaspar, Richard Price, To slay the Hydra: Dutch colonial perspectives on the Saramaka wars. Ann Arbor MI: Karoma Publishers, 1983. 249 pp.-Gary Brana-Shute, R. van Lier, Bonuman: een studie van zeven religieuze specialisten in Suriname. Leiden: Institute of Cultural and Social Studies, ICA Publication no. 60, 1983. iii + 132 pp.-W. van Wetering, Charles J. Wooding, Evolving culture: a cross-cultural study of Suriname, West Africa and the Caribbean. Washington: University Press of America 1981. 343 pp.-Humphrey E. Lamur, Sergio Diaz-Briquets, The health revolution in Cuba. Austin: University of Texas Press, 1983. xvii + 227 pp.-Forrest D. Colburn, Ramesh F. Ramsaran, The monetary and financial system of the Bahamas: growth, structure and operation. Mona, Jamaica: Institute of Social and Economic Research, University of the West Indies, 1984. xiii + 409 pp.-Wim Statius Muller, A.M.G. Rutten, Leven en werken van de dichter-musicus J.S. Corsen. Assen, The Netherlands: Van Gorcum, 1983. xiv + 340 pp.-Louis Allaire, Ricardo E. Alegria, Ball courts and ceremonial plazas in the West Indies. New Haven: Department of Anthropology of Yale University, Yale University Publications in Anthropology No. 79, 1983. lx + 185 pp.-Kenneth Ramchand, Sandra Paquet, The Novels of George Lamming. London: Heinemann, 1982. 132 pp.
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Hadiyanti, Renita, and Maya Setiawardani. "Pengaruh Pelaksanaan Program Keselamatan dan Kesehatan Kerja Terhadap Produktivitas Kerja Karyawan." Jurnal Riset Bisnis dan Investasi 3, no. 3 (January 12, 2018): 12. http://dx.doi.org/10.35697/jrbi.v3i3.941.

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Human resources is a living asset owned by an organization that has an important role for the success of an organization. The success of human resource management as one of the benchmarks is in terms of employee productivity. The needs of employees in carrying out their work in order to achieve optimal work productivity need to be protected with a safe working environment, comfortable and serene, because it will cause the desire to work well. This research was conducted with the aim to know how the implementation of occupational safety and health program, how the productivity of employees work, and how much influence the implementation of occupational safety and health program on employees work productivity at PT Papyrus Sakti Paper Mill. The data collection tool in this research is by distributing questionnaires to 125 employees of production department. Analytical techniques used in the form of descriptive analysis techniques with quantitative approach. The result of descriptive statistical analysis for both variables shows the safety and health variables with employee productivity are in good category. Based on the results of testing on the implementation of occupational safety and health have a positive and significant effect on work productivity of employees. It can be proven from the calculation t count = 6.359> t table = 1.979 with the percentage of influence of 24.7%.Sumber daya manusia merupakan aset hidup yang dimiliki oleh organisasi yang memiliki peranan penting bagi keberhasilan suatu organisasi. Keberhasilan manajemen sumber daya manusia yang dijadikan salah satu tolak ukur adalah dalam hal produktifitas karyawan. Kebutuhan karyawan dalam melaksanakan pekerjaannya agar dapat mencapai produktifitas kerja yang optimal perlu mendapat perlindungan dengan adanya lingkungan kerja yang aman, nyaman dan tenteram, karena akan menimbulkan keinginan untuk bekerja dengan baik. Penelitian ini dilakukan dengan tujuan untuk mengetahui bagaimana pelaksanaan program keselamatan dan kesehatan kerja, bagaimana produktivitas kerja karyawan, dan seberapa besar pengaruh pelaksanaan program keselamatan dan kesehatan kerja terhadap produktivitas kerja karyawan di PT Papyrus Sakti Paper Mill. Alat pengumpulan data dalam penelitian ini adalah dengan menyebarkan kuesioner kepada 125 orang karyawan bagian produksi. Teknik analisis yang digunakan berupa teknik analisis deskriptif dengan pendekatan kuantitatif. Hasil analisis statistik deskriptif untuk kedua variabel menunjukkan variabel keselamatan dan kesehatan kerja dengan produktivitas kerja karyawan berada pada kategori baik. Berdasarkan hasil pengujian mengenai pelaksananaan keselamatan dan kesehatan kerja berpengaruh positif dan signifikan terhadap produktivitas kerja karyawan. Hal itu dapat dibuktikan dari hasil perhitungan t hitung = 6,359 > t tabel = 1,979 dengan pengaruh sebesar 24,7%.
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Riechers, E., U. Kiltz, J. Brandt-Juergens, P. Kästner, D. Peterlik, and H. P. Tony. "AB0817 DOES SMOKING AFFECT SECUKINUMAB TREATMENT OUTCOMES AND SAFETY IN PATIENTS WITH PSORIATIC ARTHRITIS? - REAL WORLD DATA FROM THE GERMAN AQUILA STUDY." Annals of the Rheumatic Diseases 79, Suppl 1 (June 2020): 1711.1–1711. http://dx.doi.org/10.1136/annrheumdis-2020-eular.365.

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Background:Several studies have shown a negative association between smoking status and psoriatic arthritis (PsA) clinical outcomes.1,2The German non-interventional study AQUILA provides real-world data on the influence of smoking on therapeutic effectiveness and safety issues under secukinumab (SEC), a fully human monoclonal antibody that selectively inhibits interleukin-17A.Objectives:The aim of this interim analysis is to describe selected baseline (BL) demographics, to evaluate SEC effectiveness on disease activity and depressive mood and to report the safety profile depending on smoking status of PsA patients.Methods:AQUILA is an ongoing, multi-center study including up to 2700 patients with active PsA or ankylosing spondylitis. Patients were observed from BL up to week (w) 52. Real-world data was assessed prospectively and analyzed as observed. In addition to the assessment of C-reactive protein (CRP), data was collected on patient´s disease activity (tender/swollen joint counts, TJC/SJC), skin disease activity (Psoriasis Area and Severity Index, PASI) and depressive mood (Beck´s Depression Inventory version II, BDI-II). For calculation of the proportion of patients who experienced (serious) adverse events ((S)AEs), all PsA patients were included who received at least one dose of SEC irrespective of further documentation of any study visit. This interim analysis focuses on subgroups non-smoker (NS) and smoker (S).Results:At BL, 641 PsA patients were included: 49.8% (n=319) non-smokers (NS) and 24.3% (n=156) smokers (S). 17.5% (n=112) were ex-smoker and 8.4% (n=54) of unknown smoking status. In both, NS and S, the proportion of women was higher (58.0% in NS and 67.3% in S). NS were slightly older than S (mean age: 53.8/49.7 years). There were no significant differences between NS and S in mean CRP within the 52 weeks (Fig. 1A). Both TJC and SJC improved over time and were similar between NS and S (Fig. 1B). Although mean absolute PASI value was worse in S at BL, a similar temporal improvement was seen in both groups (NS: 7.0 at BL to 1.0 at w52; S: 9.2 at BL to 1.0 at w52). BDI-II scores decreased in both groups with overall higher values in S (NS: 10.9 at BL to 9.1 at w52; S: 12.8 at BL and 10.8 at w52). Regarding the occurrence of AEs and SAEs with or without suspected relationship to SEC, NS had percentagewise less events than S (Table 1). In addition, percentage of PsA patients who discontinued SEC treatment due to an AE was lower for NS compared to S.Table 1.Overview of AEs (and SAEs) under SEC treatment depending on smoking status in PsA patientsNumber of patients withNS (N=333), n (%)S (N=161),n (%)P valueAE233 (70.0)118 (73.3)0.11AE with suspected relationship to SEC129 (38.7)72 (44.7)0.10SAE74 (22.2)45 (28.0)0.06SAE with suspected relationship to SEC29 (8.7)18 (11.2)0.37Figure 1.Disease activity in PsA patients treated with SEC depending on the smoking status**CRP data/ACR joint counts were documented not for all PsA patients at BL and subsequent visits.Conclusion:In a real-world setting, SEC improved disease activity and depressive mood of PsA patients with no obvious differences between NS and S. Overall, this interim analysis shows that SEC is an effective and reliable treatment, irrespective of the PsA patients’ smoking status. Further progress of the AQUILA study as well as long-term data from other real-world observational studies with SEC, such as SERENA, will reveal whether this trend will continue.References:[1]Hojgaard P et al, Ann Rheum Dis 2015; 74:2130-6; 2. Eder L et al, Arthritis Care Res 2011 Aug; 63:1091-7Disclosure of Interests:Elke Riechers Grant/research support from: AbbVie, Chugai, Lilly, Janssen, Novartis, Pfizer, Roche, UCB, Consultant of: AbbVie, Chugai, Novartis, UCB, Uta Kiltz Grant/research support from: AbbVie, Amgen, Biogen, Novartis, Pfizer, Consultant of: AbbVie, Biocad, Eli Lilly and Company, Grünenthal, Janssen, Novartis, Pfizer, UCB, Speakers bureau: AbbVie, MSD, Novartis, Pfizer, Roche, UCB, Jan Brandt-Juergens: None declared, Peter Kästner Consultant of: Chugai, Novartis, Daniel Peterlik Employee of: Novartis Pharma GmbH, Hans-Peter Tony Consultant of: AbbVie, Astra-Zeneca, BMS, Chugai, Janssen, Lilly, MSD, Novartis, Pfizer, Roche, Sanofi
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D’onofrio, B., L. De Stefano, B. L. Palermo, B. Xoxi, A. Manzo, C. Montecucco, and S. Bugatti. "POS1258 MISSING THE WINDOW OF OPPORTUNITY: EARLY ARTHRITIS CLINICS IN TIMES OF COVID-19." Annals of the Rheumatic Diseases 80, Suppl 1 (May 19, 2021): 913.1–913. http://dx.doi.org/10.1136/annrheumdis-2021-eular.3893.

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Background:The outcomes of patients with chronic inflammatory arthritis (IA), such as rheumatoid arthritis (RA), have dramatically improved over the past 20 years. Earlier identification of IA and prompter treatment institution have been key advancements, promoted by the constitution of Early Arthritis Clinics (EAC) and the development of more sensitive classification criteria for RA. The outbreak of new COronaVIrus Disease 2019 (COVID-19) has quickly become a global health emergency and has forced a rearrangement in the management of other non-COVID-19 diseases. The impact of the lock-down of the healthcare systems on chronic inflammatory diseases such as RA is expected to be significant but is at present unknown.Objectives:To assess the effects of the lock-down imposed by the COVID-19 pandemic on the referral and clinical presentation of patients with new-onset RA.Methods:Data were retrieved from the Pavia EAC inception cohort, established in 2005 for the early identification of patients with new-onset IA. Referral criteria to the EAC include: ≥3 swollen joints (SJ) and/or <3 SJ and positive squeeze test and/or <3 SJ and morning stiffness >30 min. Demographic and clinical characteristics of the patients are assessed at baseline and regularly over follow-up.At 31 Dec 2020, the Pavia EAC collects information on 2.508 patients. For this study, baseline characteristics of the patients referred in the semester following the COVID-19 lock-down (Jul-Dec 2020) were compared with: (i) patients referred in the semester immediately preceding the lock-down (Jul-Dec 2019); (ii) patients referred in the semester following the publication of the 2010 RA classification criteria (Jan-Jun 2011); (iii) patients referred in the semester preceding the publication of the 2010 criteria (Jul-Dec 2009).Results:In the semester following the lock-down imposed by the COVID-19 pandemic, there was a decrease in the referral of patients with new-onset suspected IA compared with previous periods (n=71 vs n=91 in the semester before the lock-down, n=96 in the first semester of 2011, n=101 in the second semester of 2009). Furthermore, fewer of the referred patients fulfilled RA criteria at presentation (36.6% vs 44.3%, 46.5% and 42.9% in the other semesters). Among patients with RA, more were autoantibody-positive (72% vs 50%, 49.1% and 52.2%). There was a trend for increased diagnostic delay in the overall cohort of RA after the COVID-19 lock-down (Figure 1A). The delay was particularly longer in autoantibody-positive patients, returning to the values seen before the introduction of the 2010 RA criteria (Figure 1B). In contrast, the few autoantibody-negative patients were referred earlier (Figure 1C). Disease activity at presentation was significantly higher in RA patients presenting after the lock-down compared with the progressive trend for reduction observed over the previous years, irrespective of the autoantibody status (Figure 1D-F). Such increase was determined by an inversion of the trend towards lower levels of objective parameters of inflammation, such as the swollen joint count (Figure 1G-I) and acute phase reactants, and a further increase in the secular trend towards worsening of patient-derived measures, such as the tender joint count and patient global assessment (Figure 1J-L).Figure 1.Effects of COVID-19 lock-down on new-onset RA at presentation.Conclusion:The COVID-19 pandemic is posing unprecedented challenges in the management of patients suffering from chronic diseases. RA has returned to be diagnosed outside the window of opportunity, with a significantly higher inflammatory burden at presentation. The many benefits of early diagnosis, which have dramatically changed the outcomes of autoantibody-positive RA, are at risk of vanishing in short times. Equally important, autoantibody-negative RA is at risk of further under-diagnosis and under-treatment.Disclosure of Interests:Bernardo D’Onofrio: None declared, Ludovico De Stefano: None declared, Bianca Lucia Palermo: None declared, Blerina Xoxi: None declared, Antonio Manzo: None declared, Carlomaurizio Montecucco Speakers bureau: BMS, Lilly, Sanofi, Pfizer, Galapagos, Roche, Novartis, Serena Bugatti Speakers bureau: BMS, Lilly, Sanofi, Pfizer, Galapagos
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Falter, Rolf. "Verkiezingen en kiesstelsels." Res Publica 27, no. 4 (December 31, 1985): 485–507. http://dx.doi.org/10.21825/rp.v27i4.19202.

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Nineteenth-century literature on electoral systems and elections in Belgium was generally made of political pamphlets. Politicians were the most interested in the subject, which seems quite logical for the elections, butis also true for the electoral legislation, because this bas almost continuously been a topic in the political fights in Belgium between 1830 and 1914. Therefore, a lot of research-work on electoral legislation and data was done in the discreet study-roms of local party-offices, as can be learned from the archives of nineteenth-century politicians.The valuable information resulting from this research was usually kept secret for the outside world, for which the politicians reserved their more propagandistic tracts. Nevertheless, out of the bulk of pamphlets on electoral systems and elections, a few books deserve some special attention. Like those aiming to gather the existing electoral data needed for further research : large compilations of vast amounts of jurisprudence on the rather loose electoral laws, or first and timid attempts to make electoral statistics available for the larger public. Analysing just held elections seems on the other hand to have been a sart of monopoly of the politicians themselves. Even if they tried in the first place to fit in the verdict of the electors into their propagandistic schemes, it should be stressed that they also gave timid evidence of trying to respect at least the statistical facts (cf. abstract 1, which is an analysis by the catholic leader Charles Woeste of the part the introduction of the secret ballot in 1877 played in the defeat of bis party one year later).It was only when, from 1890 to 1893, the Belgian constitution was revised, that the subject of electoral systems and elections became also a matter of interest for academic circles. University-professors then began to publish voluminous blue-prints for a new constitution, thereby usually replacing their scientific detachment by politica! engagement. An exception to this is the remarkably serene «mathematical tract» of Victor D'hondt, a law-professor at Ghent University, who in 1882 gave his name to what was to become the most applicated system of proportional representation in the world (cf. abstract 3).After 1900 the first more or less scientific works on the subject, based on critical research, were published: one written by the law-professor of Louvain, Leon Dupriez ( who, in abstract 4, fries to explain why in Liège the workers generally had fewer votes in the plural system than their colleagues of Hainaut), the other one by his French colleague of Montpellier, Joseph Barthélemy, who wrote a voluminous history of the Belgian electoral systems since 1830 (and, in abstract 5, examines the application of proportional representation in the politically motivated nominations at the Belgian courts). Bath in the first place seem to have wanted to improve the knowledge on the subject. Their research and analysis for the first time was not subordinated to their personal political engagement.
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Долґунсоз, Емраг, and Аріф Сарісобан. "Word Skipping in Reading English as a Foreign Language: Evidence from Eye Tracking." East European Journal of Psycholinguistics 3, no. 2 (December 22, 2016): 22–31. http://dx.doi.org/10.29038/eejpl.2016.3.2.dol.

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During reading, readers never fixate on all words in the text; shorter words sometimes gain zero fixation and skipped by the reader. Relying on E-Z Reader Model, this research hypothesized that a similar skipping effect also exists for a second language. The current study examined word skipping rates in EFL (English as a Foreign Language) with 75 EFL learners by using eye tracking methodology. The results showed that word skipping was affected by EFL reading proficiency significantly and articles (a, an, the) were skipped more than content words. Furthermore, more skilled learners were observed to have less fixation count and skipped more words during reading while less skilled learners employed more fixations and skipped less words. Eye tracking as a novel method to observe learner development and progress in EFL reading was also discussed. References Altarriba, J., Kroll, J. F., Sholl, A.. & Rayner, K. (1996). The influence of lexical andconceptual constraints on reading mixed-language sentences: Evidence from eye fixations andnaming times. Memory & Cognition, 24, 477–492. Balota, D. A., Pollatsek, A., & Rayner, K. (1985). The interaction of contextual constraints andparafoveal visual information in reading. Cognitive Psychology, 17, 364–388. Binder, K. S., Pollatsek, A., & Rayner, K. (1999). Extraction of information to the left of thefixated word in reading. Journal of Experimental Psychology: Human Perception andPerformance, 25, 1162–1172. Brysbaert, M., & Vitu, F. (1998). Word Skipping: Implications for Theories of Eye MovementControl in Reading. In: Eye Guidance in Reading and Scene Perception. (pp. 125–147).G. Underwood, (Ed.). Oxford: Elsevier. Carpenter, P. A., & Just, M. A. (1983). What your eyes do while your mind is reading. In: EyeMovements in Reading: Perceptual and Language processes , (pp. 275–307), K. Rayner (ed.).New York: Academic Press. Djamasbi, S., Siegel, M., Skorinko, J., & Tullis, T. (2011). Online viewing and aestheticpreferences of generation y and the baby boom generation: Testing user web site experiencethrough eye tracking. International Journal of Electronic Commerce, 15(4), 121–158. Dolgunsöz, E. (2015). Measuring Attention in Second Language Reading Using Eye-tracking:The Case of the Noticing Hypothesis. Journal of Eye Movement Research, 8(5). Drieghe, D., Brysbaert, M., Desmet, T., & De Baecke, C. (2004). Word skipping in reading: Onthe interplay of linguistic and visual factors. European Journal of Cognitive Psychology,16(1–2), 79–103. Godfroid, A., Boers, F., & Housen, A. (2013). An eye for words: Gauging the role of attentionin incidental L2 vocabulary acquisition by means of eye-tracking. Studies in Second languageAcquisition, 35(3), 483–517. Henderson, J. M., & Ferreira, F. (1993). Eye movement control during reading: Fixationmeasures reflect foveal but not parafoveal processing difficulty. Canadian Journal ofExperimental Psychology, 47, 201–221. Joe, A. (1995). Text based tasks and incidental vocabulary learning. Foreign languageResearch, 11(2), 95–111. Just, M. A., & Carpenter, P. (1980). A theory of reading: From eye fixations tocomprehension. Psychological Review, 85, 109–130. Liu, P. L. (2014). Using eye tracking to understand the responses of learners to vocabularylearning strategy instruction and use. Computer Assisted Language Learning, 27(4), 330–343. McNeill, A. (1996). Vocabulary Knowledge profiles: Evidence from Chinese speaking ESLspeakers. Hong Kong Journal of Applied Linguistics 1(1), 39–63. Pollatsek, A., Reichle, E., & Rayner, K. (2003). Modeling eye movements in reading. In: TheMind’s Eyes: Cognitive and Applied Aspects of Eye Movement Research. (pp. 361–390).J. Hyona, R. Radach, & H. Deubel, (Eds.). Amsterdam: Elsevier. Radach, R., & Kempe, V. (1993). An individual analysis of initial fixation positions inreading. In: Perception and cognition: Advances in eye movement research (pp. 213–226). G.d’Ydewalle & J. Van Rensbergen (Eds.). Amsterdam: North Holland. Rayner, K. (1998). Eye Movements in Reading and Information Processing: 20 Years ofResearch, Psychological Bulletin, 124 (3), 372–422 Rayner, K., & Fischer, M. H. (1996). Mindless reading revisited: eye movements duringreading and scanning are different. Perception & Psychophysics, 58(5), 734–747. Rayner, K., & Well, A. D. (1996). Effects of contextual constraint on eye movements duringreading: a further examination. Psychonomic Bulletin & Review, 3, 504–509. Rayner, K., Binder, K. S., Ashby, J., & Pollatsek, A. (2001). Eye movement control inreading: word predictability has little influence on initial landing positions in words. VisionResearch, 41(7), 943–954. Rayner, K., Reichle, E. D., & Pollatsek, A. (2005). Eye movement control in reading and theE-Z Reader model. In: Cognitive Processes in Eye Guidance (pp. 131-162). G. Underwood(Ed.),. Oxford: Oxford University Press. Rayner, K., Sereno, S. C., & Raney, G. E. (1996). Eye movement control in reading: acomparison of two types of models. Journal of Experimental Psychology: Human Perceptionand Performance, 22, 1188–1200. Reichle, E., Pollatsek, A., Fisher, D. L., & Rayner, K. (1998). Toward a model of eyemovement control in reading. Psychological Review, 105, 125–157. Scarcella, R. & C. Zimmerman (1998). ESL student performance on a text of academiclexicon. Studies in Second language Acquisition, 20(1), 27–49. Schilling, H. E., Rayner, K., & Chumbley, J. I. (1998). Comparing naming, lexical decision,and eye fixation times: Word frequency effects and individual differences. Memory &Cognition, 26(6), 1270–1281. Schroeder, S., Hyönä, J., & Liversedge, S. P. (2015). Developmental eye-tracking research inreading: Introduction to the special issue. Journal of Cognitive Psychology, 27(5), 500–510. Smith, B. (2012). Eye tracking as a measure of noticing: A study of explicit recasts in SCMC.Language Learning & Technology, 16(3), 53–81. Wesche, M. & T. Paribakht (1996). Assessing vocabulary knowledge: depth vs. breadth.Canadian Modern Language Review, 53(1), 13–40. Winke, P., Gass, S., & Sydorenko, T. (2013). Factors Influencing the Use of Captions byForeign Language Learners: An Eye‐Tracking Study. The Modern Language Journal, 97(1),254–275.
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Anufrieva, L. P. "Following up the Discussion on the stricto sensu ‘Principles’ in Modern International Law, and Beyond the Same …." Moscow Journal of International Law, no. 2 (July 9, 2021): 6–34. http://dx.doi.org/10.24833/0869-0049-2021-2-6-34.

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INTRODUCTION. The situation in domestic legal science of Russia in the field of research of the subject of principles in international law may be ascertained in general terms as a fairly static picture that inspires a serene belief in the immutability of the existing position and further stable sustainability thereof. Such state of things consists in the illusion of the non-availability of difficulties or problems – a person starts from the point of a binary opposition in the values of principles / norms, as well as the unchangeable existence of the dichotomy of basic and sectoral principles. At the same time, let’s take note, that sectoral principles are alternatively and in most cases equivalently treated as special ones [Chernichenko 2014:101-102]. The implications of the said assumption are ideas relevant to sectoral principles as based on the presumption of their similarity in essence and function, based only on the name and place in the regulatory system (branch of law). Undoubtedly, the general tendencies for the sectoral principles of the International Law (IL) are those, which, firstly, appear like basic ones, objectively, and, secondly, the lists and scope thereof depend from specific relations immune to particular branches of law. At the same time, with due account to the submissions afore-referred, the affected area is in many aspects significantly various, not simple and can give rise to many differing views, discussions, objections, rejection or support, etc., because it is conditioned by the real fact of availability in international law of a greater variety of substances/ other phenomena in the matter of principles. Due to the above, a more meticulous view of the principles in international law shall be required: on the one hand, revealing the rationale for the fact that they are not a chaotic phenomenon within the system of international law, and, on the other hand, providing a substantive analysis of them, taking into account the differentiation and identification of objects that claim to be placed under the head of principles, construing the typology thereof, etc. Such an approach is not only assumed as logical, but prima facie due by time and, therefore, fully justified.MATERIALS AND METHODS. The article is based on the provisions of international treaties, materials of codification of international law norms by the UN International Law Commission, judicial decisions, acts of law enforcement of the International Court of Justice or other international courts, and documents embodying the positive international law, as well as the teachings of the most highly qualified publicists in the field of theory and practice of international law. The research operates with various general and particular methods of analysis: dialectical materialism, structural and system analysis, formal logic, deduction and induction, comparative law, historical and retrospective approach, formal legal analysis, legal modeling, “techniques of evidence” (legal reasoning), as well as various methods of legal interpretation, etc., adopted in domestic and expatriate jurisprudence.RESARCH RESULTS. The purpose of this publication is to endeavor certain clarification of theoretical data related to such a fundamental category as “the principle of international law”, which is deemed to canbe achieved through proper identification of various constructions that operate with the element “principles” or similar terms, by way of systematization and delineation thereof from other phenomena available in the framework of international legal reality. Therefore, it is not occasional that the title of the article operates with such a formula to designate the discourse: “…. on the stricto sensu ‘principles’ in modern international law and beyond...”. To ensure the better links of the scope and objectives of the research in terms of highlighting the system of principles and smooth functioning both of international law itself and the entirety of its principles and norms, as well as to clarify and streamline the basic terminology and conceptual basis of international legal science in the matter of principles, the typology of concepts that form the legal backgrounds for contemporary regulation of interstate relationships has been commissioned herein, since there is heterogeneity of various heads of items that claim to be the principles of international law, even with no normative nature in some of them, etc. The same appears to be quite obvious facts. In witness of the same, there are, on the one hand, diversification of the normative principles expressed in modern international law, which determines the identifying features for each of existing heads of principles, and as an outcome of the latter, the need to build up the respective system, on the other hand. However, the grounds for “stratification”, i.e. the distribution of the principles per separate groups (for example, the subdivision into basic and sectoral principles or differentiation between the system-wide and special principles), are far from being exhaustively revealed as yet, and need in better targeted efforts of scholars. Due to the above, the author held differentiating sectoral and special principles inter se, having substantiated the segregation of the specific head of principles within the latter group – “principles of autonomous (self-contained) legal regimes”.DISCUSSION AND CONCLUSIONS. It seems that there is a serious substantive distinction between the formula “principles of modern international law” and “principles in modern international law”. The discourse outlined as “principles in international law”, having a broader sense and destination, in the absence of an unambiguous understanding of the term ‘the principle’, is more diligent to reflect the state of things in the field of principles in so far the legal science / international law science is concerned regarding the essence, features, and functional qualities of any particular type of objects, sometimes referred to as ‘principles’. In case, if it comes to “principles of international law”, they are to be identified primarily as the fundamental, guiding, hierarchically high norms within the system of international law, bearing the burden of the most important components of this system, and are classified according to generic and specific characteristics, which depend on their salient features. The formula “principles in international law” assumes a view of of the subject that has a broader and less structured range of options for qualifications.
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Helmholz, P., S. Zlatanova, J. Barton, and M. Aleksandrov. "GEOINFORMATION FOR DISASTER MANAGEMENT 2020 (GI4DM2020): PREFACE." ISPRS Annals of Photogrammetry, Remote Sensing and Spatial Information Sciences VI-3/W1-2020 (November 17, 2020): 1–2. http://dx.doi.org/10.5194/isprs-annals-vi-3-w1-2020-1-2020.

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Abstract. Across the world, nature-triggered disasters fuelled by climate change are worsening. Some two billion people have been affected by the consequences of natural hazards over the last ten years, 95% of which were weather-related (such as floods and windstorms). Fires swept across large parts of California, and in Australia caused unprecedented destruction to lives, wildlife and bush. This picture is likely to become the new normal, and indeed may worsen if unchecked. The Intergovernmental Panel on Climate Change (IPCC) estimates that in some locations, disaster that once had a once-in-a-century frequency may become annual events by 2050.Disaster management needs to keep up. Good cooperation and coordination of crisis response operations are of critical importance to react rapidly and adequately to any crisis situation, while post-disaster recovery presents opportunities to build resilience towards reducing the scale of the next disaster. Technology to support crisis response has advanced greatly in the last few years. Systems for early warning, command and control and decision-making have been successfully implemented in many countries and regions all over the world. Efforts to improve humanitarian response, in particular in relation to combating disasters in rapidly urbanising cities, have also led to better approaches that grapple with complexity and uncertainty.The challenges however are daunting. Many aspects related to the efficient collection and integration of geo-information, applied semantics and situational awareness for disaster management are still open, while agencies, organisations and governmental authorities need to improve their practices for building better resilience.Gi4DM 2020 marked the 13th edition of the Geoinformation for Disaster Management series of conferences. The first conference was held in 2005 in the aftermath of the 2004 Indian Ocean earthquake and tsunami which claimed the lives of over 220,000 civilians. The 2019-20 Australian Bushfire Season saw some 18.6 million Ha of bushland burn, 5,900 buildings destroyed and nearly three billion vertebrates killed. Gi4DM 2020 then was held during Covid-19 pandemic, which took the lives of more than 1,150,000 people by the time of the conference. The pandemic affected the organisation of the conference, but the situation also provided the opportunity to address important global problems.The fundamental goal of the Gi4DM has always been to provide a forum where emergency responders, disaster managers, urban planners, stakeholders, researchers, data providers and system developers can discuss challenges, share experience, discuss new ideas and demonstrate technology. The 12 previous editions of Gi4DM conferences were held in Delft, the Netherlands (March 2005), Goa, India (September 2006), Toronto, Canada (May 2007), Harbin, China (August 2008), Prague, Czech Republic (January 2009), Torino, Italy (February 2010), Antalya, Turkey (May 2011), Enschede, the Netherlands (December, 2012), Hanoi, Vietnam (December 2013), Montpellier, France (2015), Istanbul, Turkey (2018) and Prague, Czech Republic (2019). Through the years Gi4DM has been organised in cooperation with different international bodies such as ISPRS, UNOOSA, ICA, ISCRAM, FIG, IAG, OGC and WFP and supported by national organisations.Gi4DM 2020 was held as part of Climate Change and Disaster Management: Technology and Resilience for a Troubled World. The event took place through the whole week of 30th of November to 4th of December, Sydney, Australia and included three events: Gi4DM 2020, NSW Surveying and Spatial Sciences Institute (NSW SSSI) annual meeting and Urban Resilience Asia Pacific 2 (URAP2).The event explored two interlinked aspects of disaster management in relation to climate change. The first was geo-information technologies and their application for work in crisis situations, as well as sensor and communication networks and their roles for improving situational awareness. The second aspect was resilience, and its role and purpose across the entire cycle of disaster management, from pre-disaster preparedness to post-disaster recovery including challenges and opportunities in relation to rapid urbanisation and the role of security in improved disaster management practices.This volume consists of 16 peer-reviewed scientific papers. These were selected on the basis of double-blind review from among the 25 full papers submitted to the Gi4DM 2020 conference. Each paper was reviewed by three scientific reviewers. The authors of the papers were encouraged to revise, extend and adapt their papers to reflect the comments of the reviewers and fit the goals of this volume. The selected papers concentrate on monitoring and analysis of forest fire (3), landslides (3), flood (2), earthquake, avalanches, water pollution, heat, evacuation and urban sustainability, applying a variety of remote sensing, GIS and Web-based technologies. Figure 1 illustrates the scope of the covered topics though the word count of keywords and titles.The Gi4DM 2020 program consisted of scientific presentations, keynote speeches, panel discussions and tutorials. The four keynotes speakers Prof Suzan Cutter (Hazard and Vulnerability Research Institute, USC, US), Jeremy Fewtrell (NSW Fire and Rescue, Australia), Prof Orhan Altan (Ad-hoc Committee on RISK and Disaster Management, GeoUnions, Turkey) and Prof Philip Gibbins (Fenner School of Environment and Society, ANU, Australia) concentrated on different aspects of disaster and risk management in the context of climate change. Eight tutorials offered exciting workshops and hands-on on: Semantic web tools and technologies within Disaster Management, Structure-from-motion photogrammetry, Radar Remote Sensing, Dam safety: Monitoring subsidence with SAR Interferometry, Location-based Augmented Reality apps with Unity and Mapbox, Visualising bush fires datasets using open source, Making data smarter to manage disasters and emergency situational awareness and Response using HERE Location Services. The scientific sessions were blended with panel discussions to provide more opportunities to exchange ideas and experiences, connect people and researchers from all over the world.The editors of this volume acknowledge all members of the scientific committee for their time, careful review and valuable comments: Abdoulaye Diakité (Australia), Alexander Rudloff (Germany), Alias Abdul Rahman (Malaysia), Alper Yilmaz (USA), Amy Parker (Australia), Ashraf Dewan (Australia), Bapon Shm Fakhruddin (New Zealand), Batuhan Osmanoglu (USA), Ben Gorte (Australia), Bo Huang (Hong Kong), Brendon McAtee (Australia), Brian Lee (Australia), Bruce Forster (Australia), Charity Mundava (Australia), Charles Toth (USA), Chris Bellman (Australia), Chris Pettit (Australia), Clive Fraser (Australia), Craig Glennie (USA), David Belton (Australia), Dev Raj Paudyal (Australia), Dimitri Bulatov (Germany), Dipak Paudyal (Australia), Dorota Iwaszczuk (Germany), Edward Verbree (The Netherlands), Eliseo Clementini (Italy), Fabio Giulio Tonolo (Italy), Fazlay Faruque (USA), Filip Biljecki (Singapore), Petra Helmholz (Australia), Francesco Nex (The Netherlands), Franz Rottensteiner (Germany), George Sithole (South Africa), Graciela Metternicht (Australia), Haigang Sui (China), Hans-Gerd Maas (Germany), Hao Wu (China), Huayi Wu (China), Ivana Ivanova (Australia), Iyyanki Murali Krishna (India), Jack Barton (Australia), Jagannath Aryal (Australia), Jie Jiang (China), Joep Compvoets (Belgium), Jonathan Li (Canada), Kourosh Khoshelham (Australia), Krzysztof Bakuła (Poland), Lars Bodum (Denmark), Lena Halounova (Czech Republic), Madhu Chandra (Germany), Maria Antonia Brovelli (Italy), Martin Breunig (Germany), Martin Tomko (Australia), Mila Koeva (The Netherlands), Mingshu Wang (The Netherlands), Mitko Aleksandrov (Australia), Mulhim Al Doori (UAE), Nancy Glenn (Australia), Negin Nazarian (Australia), Norbert Pfeifer (Austria), Norman Kerle (The Netherlands), Orhan Altan (Turkey), Ori Gudes (Australia), Pawel Boguslawski (Poland), Peter van Oosterom (The Netherlands), Petr Kubíček (Czech Republic), Petros Patias (Greece), Piero Boccardo (Italy), Qiaoli Wu (China), Qing Zhu (China), Riza Yosia Sunindijo (Australia), Roland Billen (Belgium), Rudi Stouffs (Singapore), Scott Hawken (Australia), Serene Coetzee (South Africa), Shawn Laffan (Australia), Shisong Cao (China), Sisi Zlatanova (Australia), Songnian Li (Canada), Stephan Winter (Australia), Tarun Ghawana (Australia), Ümit Işıkdağ (Turkey), Wei Li (Australia), Wolfgang Reinhardt (Germany), Xianlian Liang (Finland) and Yanan Liu (China).The editors would like to express their gratitude to all contributors, who made this volume possible. Many thanks go to all supporting organisations: ISPRS, SSSI, URAP2, Blackash, Mercury and ISPRS Journal of Geoinformation. The editors are grateful to the continued support of the involved Universities: The University of New South Wales, Curtin University, Australian National University and The University of Melbourne.
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Fitri, Ria Nurul, Soedwiwahjono Soedwiwahjono, and Rufia Andisetyana Putri. "STUDI KESESUAIAN PENERAPAN STANDAR LINGKUNGAN PERUMAHAN SEDERHANA SEHAT DI KOTA SERANG." ARSITEKTURA 13, no. 2 (November 8, 2017). http://dx.doi.org/10.20961/arst.v13i2.15654.

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<p><em>Serang city is the Capital City of Banten Province. As the time goes by, the population increases and the poor people needs an access to have a home. There are two housing environments, which is called “simple healthy housing environment” to help the poor people ,which are Banten Indah Permai and Bumi Serang Timur, but the condition is the housing environments are lack of infrastructures and facilities. This problem makes a question how the suitability of simple healthy housing environment in Kota Serang is. The suitability study of simple healthy housing environment in Serang city is done by using scoring method analysis to count the suitability of the simple healthy housing environment standards as the output and perception of the people inside the housing environment as the outcome of this simple healthy housing environment. Descriptive comparative analysis is used also to know how output and outcome can match each other in the housing environment. Final scoring result obtained that Banten Indah Permai has been classified as suit in output because of the 58 score , but Bumi Serang Timur is not suit in output because it has 55 score. In outcome scoring, Banten Indah has been classified as suit in outcome for the 76,94 score, and also for Bumi Serang Timur has 75,68 for the outcome score. With comparative analyisis, this study also obtained that there are many infrastructure and facilities in housing environment which are not give the outcome as usual the housing environment gives.</em></p><p><strong><em> </em></strong></p><p><strong><em>Keywords:</em></strong><em> simple healthy housing, suitability, scoring, environment, </em></p>
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Gallagher, Shannon K., Kayla Frisoli, and Amanda Luby. "Opening up the court: analyzing player performance across tennis Grand Slams." Journal of Quantitative Analysis in Sports, July 6, 2021. http://dx.doi.org/10.1515/jqas-2019-0015.

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Abstract In tennis, the Australian Open, French Open, Wimbledon, and US Open are the four most prestigious events (Grand Slams). These four Grand Slams differ in the composition of the court surfaces, when they are played in the year, and which city hosts the players. Individual Grand Slams come with different expectations, and it is often thought that some players achieve better results at some Grand Slams than others. It is also thought that differences in results may be attributed, at least partially, to surface type of the courts. For example, Rafael Nadal, Roger Federer, and Serena Williams have achieved their best results on clay, grass, and hard courts, respectively. This paper explores differences among Grand Slams, while adjusting for confounders such as tour, competitor strength, and player attributes. More specifically, we examine the effect of the Grand Slam on player performance for matches from 2013 to 2019. We take two approaches to modeling these data: (1) a mixed-effects model accounting for both player and tournament features and (2) models that emphasize individual performance. We identify differences across the Grand Slams at both the tournament and individual player level.
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Tatar, Dursun, Gunes Senol, Ceyda Anar, and Gultekin Tibet. "Markers of lower respiratory tract infections in emergency departments." Multidisciplinary Respiratory Medicine 8 (March 15, 2013). http://dx.doi.org/10.4081/mrm.2013.494.

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Background: Acute respiratory tract infections are the common causes for admission to emergency department. Appropriate diagnosis and initiating treatment on time are important for reducing morbidity and mortality rate due to lower respiratory tract infection (LRTI). The aim of this study is to determine if C-reactive protein (CRP) levels and white blood cells (WBC) count are considerable markers to help rapid diagnosis and prediction of antibiotic need for lower respiratory infections in emergency departments. The relationships between infectious agents and those markers have also been evaluated. Methods: Study subjects and control group were selected by defined criteria. Patients were analyzed and assessed for CRP and WBC, sputum Gram stain and culture besides routine laboratory tests and chest X-Rays. Results: One hundred and ninety four episodes out of 175 patients were evaluated for the study. CRP level and WBC count were detected significantly higher in patients ofstudy group than in those of control group. Pseudomonas aeruginosa and Haemophilus influenzae were the pathogens most often isolated. Conclusion: In conclusion, CRP and WBC sputum are important markers for diagnosis of LRTI at the emergency departments and results of microbiological analysis of respiratory specimens were correlated with these markers. Trial registration: Registation number of ethic committee of Dr. Suat Seren Chest Diseases and Surgery Training and Research Hospital: 28.04.2006/114
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Alhamd, Laode. "ECOLOGICAL STUDY OF THE ARROWROOT (Tacca leontopetaloides (L.) Kuntze) AT KARIMUNJAWA NATIONAL PARK, CENTRAL JAVA." REINWARDTIA 17, no. 2 (December 18, 2018). http://dx.doi.org/10.14203/reinwardtia.v17i2.3513.

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ALHAMD, L. 2018. Ecological study of the arrowroot (Tacca leontopetaloides (L.) Kuntze) at Karimunjawa National Park, Central Java. Reinwardtia 17(2): 87–96. — An ecological study of arrowroot (Tacca leontopetaloides (L.) Kuntze) at Karimunjawa National Park (Karimunjawa NP), Central Java, was conducted at six islands, namely Kumbang, Nyamuk, Katang, Seruni, Cendikia and Sintok islands. A sampling plot of 10 × 50 m2 was established on each island. The results showed that the arrowroot population in Katang island was greater than those of other islands, with a density of 0.74 m-2, a frequency of 0.8 and an abundance of 23.1. The arrowroot density of all samplings ranged from 137 to 370 per 0.05 ha. The occurrence of 30 species surrounding arrowroot was observed and only five species, Sida acuta (Chi-square count (cs)>Chi-square table cs=5.71, P<0.05) and Scaevola taccada (cs=7.94, P<0.01) in Kumbang island, Imperata cylindrica (cs=18.81, P<0.01) in Nyamuk island, Morinda citrifolia (cs=9.47, P<0.01) in Sintok island, and Carica papaya (cs=3.95, P<0.05) in Cendikia island, had significant associations with arrowroot. For habitat characteristics, soil textures were dominated by sandy types ranging from 90 to 95%, whilst other soil properties such as pH, N, P, K, Mg and CEC did not significantly affect the presence of arrowroot.
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Feisst, Debbie. "Everything Dinosaurs by B. Hoena." Deakin Review of Children's Literature 4, no. 1 (July 22, 2014). http://dx.doi.org/10.20361/g27g8p.

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Hoena, Blake. Everything Dinosaurs. Illus. Franco Tempesta. Washington: National Geographic Society, 2014. Print.This colourful, glossy and magazine-like title in the National Geographic Kids’ Everything series will please almost any young would-be paleontologist. Written specifically for the 8-12 year old audience, it is chock full of photographs, images, facts, maps and activities expertly compiled by a large team of National Geographic staff. It has boldly designed graphics and as a high-interest non-fiction title, will appeal to reluctant readers.Children will enjoy the appealing images, beautifully created by artist and illustrator Franco Tempesta who specializes in naturalistic illustration, and in particular, realistic images of dinosaurs and prehistoric mammals. Included are “Explorer’s Corners,” information from the field from an expert. In this case, University of Chicago professor Paul Sereno, who in his photograph and cartoon image looks a lot like Indiana Jones! Real photographs of fossilized dino eggs, meteorites, dinosaur theme parks and paleontologists add a touch of authenticity. Especially fun are the infographics and quizzes, on topics ranging from how dinosaur names are chosen, dinosaurs in Hollywood films and the ‘rock stars’ of the paleontological world.As with other titles in the series, Everything Dinosaurs contains a table of contents, diagrams, definitions and an index. This title and the series will appeal to upper middle and upper elementary readers interested in non-fiction. It would be a fine addition to elementary school libraries and public libraries.Recommended: 3 stars out of 4 Reviewer: Debbie FeisstDebbie is a Public Services Librarian at the H.T. Coutts Education Library at the University of Alberta. When not renovating, she enjoys travel, fitness and young adult fiction.
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Gaffney, Karl, Nicola Gullick, Uta Kiltz, Petros Sfikakis, Athina Theodoridou, Jan Brandt-Jürgens, Eric Lespessailles, et al. "P186 Secukinumab effectiveness and safety in patients with active psoriatic arthritis or ankylosing spondylitis: interim analysis of an observational study in the real-world setting." Rheumatology 60, Supplement_1 (April 1, 2021). http://dx.doi.org/10.1093/rheumatology/keab247.181.

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Abstract Background/Aims SERENA is an ongoing, non-interventional study involving ∼400 European sites with an observation period of ≤ 5 years to evaluate retention, effectiveness, safety/tolerability and quality of life with secukinumab (SEC) in patients with moderate-to-severe plaque psoriasis, active psoriatic arthritis (PsA) or active ankylosing spondylitis (AS) in the real world. We present effectiveness and safety data through 1 year in the 577 PsA and 507 AS patients enrolled, of which 533 PsA and 461 AS patients comprised the target study population (fulfilling all eligibility criteria). Methods Patients (aged ≥18 years) with active PsA or AS who were treated for at least 16 weeks with SEC were enrolled. Effectiveness assessments included 78 tender joint count/76 swollen joint count, PGA, total pain (VAS, 0-100 mm), presence of enthesitis/dactylitis and PASI75/90/100 in patients with PsA, and BASDAI, PtGA, C-reactive protein, ASDAS and total spinal pain in patients with AS. Results Mean disease duration from diagnosis to enrolment was 8.6 and 9.8 years for PsA and AS patients. Patients received SEC for a mean duration of 1 year prior to enrolment (range: 0.90-1.00). In total, 64.7% (N = 533) of PsA and 60.7% (N = 461) of AS patients received other biologic drugs prior to SEC treatment, with 59.7% and 52.7% of PsA and AS patients receiving at least two different biologic drugs. Most patients pre-treated with biologics discontinued biologic treatment due to lack of efficacy (88.0% PsA; 86.8% AS). Retention rates for SEC after 1 year were 85.9% and 86.5% in PsA and AS patients. Responses across all effectiveness assessments in both cohorts were maintained or improved after 1 year of observation (Table 1). No new or unexpected safety signals were reported. P186 Table 1:Effectiveness outcomes in patients with PsA or AS at enrolment and Year 1Characteristic, mean±SD (M), unless otherwise specifiedPsA (N = 533)PsA (N = 533)AS (N = 461)AS (N = 461)EnrolmentYear 1EnrolmentYear 1Total pain (VAS 0-100 mm)31.80±24.28a (432)30.77±24.57a (322)34.68±24.23b (350)34.16±24.49b (228)Presence of tender or swollen joint, n/M (%)280/520 (53.8%)158/373 (42.4%)--Tender joint count, mean [min-max] (m)6.5 [0-68] (203)6.8 [0-78] (140)--Swollen joint count, mean [min-max] (m)3.3 [0-38] (203)2.8 [0-23] (140)--Presence of dactylitis, n/M (%)33/516 (6.4%)13/370 (3.5%)--Enthesitis index0.4±1.0c (276)c0.3±0.9c (243)c0.7±1.70d (246)0.6±1.7d (170)HAQ-DI0.83±0.70 (398)0.83±0.72 (268)--BASDAI--3.20±2.28 (436)3.24±2.36 (270)ASDAS-CRP--2.25±0.94 (229)2.27±0.97 (173)hsCRP, mg/L--8.53±13.42 (285)8.10±14.72 (218)PtGA (NRS) (VAS 0-10 cm)--4.18±2.32 (366)4.07±2.37 (246)aTotal pain;bTotal back pain;cLeeds enthesitis index;dMaastricht Ankylosing Spondylitis Enthesitis Score. AS, ankylosing spondylitis; ASDAS-CRP, Ankylosing Spondylitis Disease Activity Score-C-reactive protein; BASDAI, Bath Ankylosing Spondylitis Disease Activity Index; HAQ-DI, Health Assessment Questionnaire Disability Index; hsCRP, high sensitivity C-reactive protein; m, number of patients with detailed assessments of tender or swollen joints; M, number of patients with evaluation; n, number of patients with a positive response; N, number of patients in the study population; NRS, numeric rating scale; PsA, psoriatic arthritis; PtGA, Patient’s Global Assessment; SD, standard deviation; VAS, visual analogue scale. Conclusion Patients in SERENA had long-standing disease with more than half previously treated with biologics, most of whom had discontinued treatment due to lack of efficacy. SEC showed sustained effectiveness, a high retention rate and favourable safety profile in PsA and AS patients in the real world over 1 year of observation. Incomplete data due to lack of rigorous monitoring (an intrinsic weakness of observational studies) must be considered when interpreting real-world findings. Disclosure K. Gaffney: Grants/research support; Research grants, consultancy fees and/or speaker fees from AbbVie, Celgene, Lilly, Pfizer, Gilead, MSD, Novartis and UCB. N. Gullick: Grants/research support; Research support, consultancy fees and/or speakers fees from AbbVie, Celgene, Eli Lilly, Izana, Janssen, Novartis, UCB. U. Kiltz: Grants/research support; Research grants, support and/or consultancy fees from AbbVie, Biocad, Biogen, Chugai, Eli Lilly, Grünenthal, Janssen, MSD, Novartis, Pfizer, Roche and UCB. P. Sfikakis: Grants/research support; Research grants, support and consultancy fees from AbbVie, Amgen, Boehringer Ingelheim, Celgene, Eli Lilly, Janssen, Novartis and Pfizer. A. Theodoridou: Honoraria; Consultancy fees from UCB, Amgen, Novartis. J. Brandt-Jürgens: Honoraria; Consultancy fees and speaker honoraria from AbbVie, Pfizer, Roche, Sanofi-Aventis, Novartis, Lilly, MSD, UCB, BMS, Janssen and Medac. E. Lespessailles: Honoraria; Received speaker and consultant fees from Amgen, Expanscience, Lilly and MSD, and research grants from AbbVie, Amgen, Lilly, MSD and UCB. C. Perella: Other; Novartis employee. E. Pournara: Shareholder/stock ownership; Novartis shareholder. Other; Novartis employee. B. Schulz: Other; Novartis employee. J. Veit: Other; Novartis employee.
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Feisst, Debbie. "The Calling by K. Armstrong." Deakin Review of Children's Literature 2, no. 4 (April 9, 2013). http://dx.doi.org/10.20361/g2vp56.

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Armstrong, Kelley. The Calling. Toronto: Doubleday Canada, 2012. Print. Ontario writer, Kelley Armstrong, author of the New York Times and Globe and Mail bestselling Darkest Powers young adult urban fantasy trilogy, brings us the second offering of her Darkness Rising trilogy. The first in the trilogy, 2011’s The Gathering, was previously reviewed in the inaugural issue of Deakin, Vol. 1 No 1. This book is not recommended as a standalone, as The Calling starts immediately where we left off with The Gathering and the author’s recap on events and characters is minimal, which for fans of series is refreshing. Sixteen-year-old Maya Delaney and her friends have been forced to flee from their community of Salmon Creek, a small town on Vancouver Island, during a forest fire that was surely deliberately set. After their rescue helicopter makes an emergency landing in the remote wilderness, the group is on the run and forced to survive using nothing but their wits and their supernatural abilities that begin to unfold as they find themselves in danger. Through this we learn more about Maya’s friends as well as the circumstances surrounding the death of her best friend, Serena, in a bizarre swimming accident the previous year. Maya also learns a lot about her own powers but perhaps the most mysterious event is the introduction of Calvin Antone, a man who is pursuing Maya, and who admits to being her biological father. Teen readers will certainly delight in the run-and-hide action as well as the intensifying romance, but I couldn’t help feeling a little let down by The Calling. After the adrenaline-fuelled and plot-driven action of The Gathering, the lack of storyline and character development in this book was disappointing. With that said, however, we don’t have long to wait to see how things turn out for Maya - the final title in the trilogy, The Rising, is set for release in April 2013. As such, I am giving it three stars out of four on the promise of the final book. Recommended: 3 out of 4 stars Reviewer: Debbie Feisst Debbie is a Public Services Librarian at the H.T. Coutts Education Library at the University of Alberta. When not renovating, she enjoys travel, fitness and young adult fiction.
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Feisst, Debbie. "The Gathering by K. Armstrong." Deakin Review of Children's Literature 1, no. 1 (July 3, 2011). http://dx.doi.org/10.20361/g2059s.

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Armstrong, Kelley. The Gathering. Toronto: Doubleday Canada, 2011. Print. Rural Ontario-based writer Kelley Armstrong is the author of over 15 novels, mostly fantasy, including the #1 New York Times and Globe and Mail bestselling Darkest Powers young adult urban fantasy trilogy. The Gathering is the first in her new Darkness Rising trilogy, a sequel series to Darkest Powers, and is interrelated but with a new set of characters. Sixteen-year-old Maya Delaney lives in Salmon Creek, a small Vancouver Island town of less than two-hundred people which exists solely to serve the needs of a medical research facility owned by the St. Cloud Corporation. In fact, the St. Cloud Corporation owns the entire town including homes, the school and other world-class facilities that have been built for its resident employees and their families. Maya has an affinity for animals and healing and enjoys spending time in the wildlife rehabilitation centre her father runs as the town’s park ranger. Adopted from birth from parents of an unknown First Nations background, Maya has a generally happy life and loving and responsible parents but is haunted by the bizarre drowning death of her best friend Serena, the captain of the swim team, a year previous. Maya’s life and those of the town’s close-knit residents, changes drastically after a reporter arrives and begins to ask questions about the St. Cloud Corporation and life in Salmon Creek. Maya is led to believe that this reporter may have information on Serena’s mysterious death. Other strange occurrences such as: mountain lions gathering around her home, the appearance of the town’s new ‘bad boy’ Rafe Martinez, and being called a ‘witch’ during a visit to a Nanaimo tattoo shop, cause Maya to question who she is and where she comes from. The Gathering is a quick, easy read and a good start to what looks like will be another intriguing trilogy. The characters are believable and of note is the involvement of Maya’s likeable parents in her life which is so often missing from other books in this genre. A Native Canadian protagonist and a unique Canadian setting also make for interesting reading as does the move beyond vampires and werewolves. Do not expect a neat and tidy ending; this trilogy is structured as one story rather than three separate stand-alone volumes and leaves you wanting more. Readers will have to wait, however, until April 2012 when the second book in the series, currently titled The Calling, is set to release. Recommended: 3 stars out of 4 Reviewer: Debbie Feisst Debbie is a Public Services Librarian at the H.T. Coutts Education Library at the University of Alberta. When not renovating, she enjoys travel, fitness and young adult fiction.
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Kerasidou, Xaroula (Charalampia). "Regressive Augmentation: Investigating Ubicomp’s Romantic Promises." M/C Journal 16, no. 6 (November 7, 2013). http://dx.doi.org/10.5204/mcj.733.

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Machines that fit the human environment instead of forcing humans to enter theirs will make using a computer as refreshing as taking a walk in the woods. Mark Weiser on ubiquitous computing (21st Century Computer 104) In 2007, a forum entitled HCI 2020: Human Values in a Digital Age sought to address the questions: What will our world be like in 2020? Digital technologies will continue to proliferate, enabling ever more ways of changing how we live. But will such developments improve the quality of life, empower us, and make us feel safer, happier and more connected? Or will living with technology make it more tiresome, frustrating, angst-ridden, and security-driven? What will it mean to be human when everything we do is supported or augmented by technology? (Harper et al. 10) The forum came as a response to, what many call, post-PC technological developments; developments that seek to engulf our lives in digital technologies which in their various forms are meant to support and augment our everyday lives. One of these developments has been the project of ubiquitous computing along with its kin project, tangible computing. Ubiquitous computing (ubicomp) made its appearance in the late 1980s in the labs of Xerox’s Palo Alto Research Center (PARC) as the “third wave” in computing, following those of the mainframe and personal computing (Weiser, Open House 2). Mark Weiser, who coined the term, along with his collaborators at Xerox PARC, envisioned a “new technological paradigm” which would leave behind the traditional one-to-one relationship between human and computer, and spread computation “ubiquitously, but invisibly, throughout the environment” (Weiser, Gold and Brown 693). Since then, the field has grown and now counts several peer-reviewed journals, conferences, and academic and industrial research centres around the world, which have set out to study the new “post-PC computing” under names such as Pervasive Computing, Ambient Intelligence, Tangible Computing, The Internet of Things, etc. Instead of providing a comprehensive account of all the different ubicomp incarnations, this paper seeks to focus on the early projects and writings of some of ubicomp’s most prominent figures and tease out, as a way of critique, the origins of some of its romantic promises. From the outset, ubiquitous computing was heavily informed by a human-centred approach that sought to shift the focus from the personal computer back to its users. On the grounds that the PC has dominated the technological landscape at the expense of its human counterparts, ubiquitous computing promised a different human-machine interaction, with “machines that fit the human environment instead of forcing humans to enter theirs” (104, my italics) placing the two in opposite and antagonistic terrains. The problem comes about in the form of interaction between people and machines … So when the two have to meet, which side should dominate? In the past, it has been the machine that dominates. In the future, it should be the human. (Norman 140) Within these early ubicomp discourses, the computer came to embody a technological menace, the machine that threatened the liberal humanist value of being free and in control. For example, in 1999 in a book that was characterized as “the bible of ‘post-PC’ thinking” by Business Week, Donald Norman exclaimed: we have let ourselves to be trapped. … I don’t want to be controlled by a technology. I just want to get on with my life, … So down with PC’s; down with computers. All they do is complicate our lives. (72) And we read on the website of MIT’s first ubicomp project Oxygen: For over forty years, computation has centered about machines, not people. We have catered to expensive computers, pampering them in air-conditioned rooms or carrying them around with us. Purporting to serve us, they have actually forced us to serve them. Ubiquitous computing then, in its early incarnations, was presented as the solution; the human-centred, somewhat natural approach, which would shift the emphasis away from the machine and bring control back to its legitimate owner, the liberal autonomous human subject, becoming the facilitator of our apparently threatened humanness. Its promise? An early promise of regressive augmentation, I would say, since it promised to augment our lives, not by changing them, but by returning us to a past, better world that the alienating PC has supposedly displaced, enabling us to “have more time to be more fully human” (Weiser and Brown). And it sought to achieve this through the key characteristic of invisibility, which was based on the paradox that while more and more computers will permeate our lives, they will effectively disappear. Ubicomp’s Early Romantic Promises The question of how we can make computers disappear has been addressed in computer research in various ways. One of the earliest and most prominent of these is the approach, which focuses on the physicality of the world seeking to build tangible interfaces. One of the main advocates of this approach is MIT’s Tangible Media Group, led by Professor Hiroshi Ishii. The group has been working on their vision, which they call “Tangible Bits,” for almost two decades now, and in 2009 they were awarded the “Lasting Impact Award” at the ACM Symposium on User Interface Software and Technology (UIST) for their metaDesk platform, presented in 1997 (fig.1), which explores the coupling of everyday physical objects with digital information (Ullmer and Ishii). Also, in 2004 in a special paper titled “Bottles: A Transparent Interface as a Tribute to Mark Weiser”, Ishii presented once again an early project he and his group developed in 1999, and for which they were personally commented by Weiser himself. According to Ishii, bottles (fig. 2)—a system which comprises three glass bottles “filled with music” each representing a different musical instrument, placed on a Plexiglas “stage” and controlled by their physical manipulation (moving, opening or closing them)—no less, “illustrates Mark Weiser’s vision of the transparent (or invisible) interface that weaves itself into the fabric of everyday life” (1299). Figure 1: metaDesk platform (MIT Tangible Media Group) Figure 2: musicBottles (MIT Tangible Media Group) Tangible computing was based on the premise that we inhabit two worlds: the physical world and cyberspace, or as Ishii and Ullmer put it, the world of atoms and the world of bits claiming that there is gap between these two worlds that left us “torn between these parallel but disjoint spaces” (1). This agreed with Weiser’s argument that cyberspace, and specifically the computer, has taken centre stage leaving the real world—the real people, the real interactions—in the background and neglected. Tangible computing then sought to address this problem by "bridging the gaps between both cyberspace and the physical environment" (1). As Ishii and Ullmer wrote in 1997: The aim of our research is to show concrete ways to move beyond the current dominant model of GUI [Graphic User Interface] bound to computers with a flat rectangular display, windows, a mouse, and a keyboard. To make computing truly ubiquitous and invisible, we seek to establish a new type of HCI that we call "Tangible User Interfaces" (TUIs). TUIs will augment the real physical world by coupling digital information to everyday physical objects and environments. (2) “Our intention is to take advantage of natural physical affordances to achieve a heightened legibility and seamlessness of interaction between people and information” (2). In his earlier work computer scientist Paul Dourish turned to phenomenology and the concept of embodiment in order to develop an understanding of interaction as embodied. This was prior to his recent work with cultural anthropologist Bell where they examined the motivating mythology of ubiquitous computing along with the messiness of its lived experience (Dourish and Bell). Dourish, in this earlier work observed that one of the common critical features early tangible and ubiquitous computing shared is that “they both attempt to exploit our natural familiarity with the everyday environment and our highly developed spatial and physical skills to specialize and control how computation can be used in concert with naturalistic activities” (Context-Aware Computing 232). They then sought to exploit this familiarity in order to build natural computational interfaces that fit seamlessly within our everyday, real world (Where the Action Is 17). This idea of an existing set of natural tactile skills appears to come hand-in-hand with a nostalgic, romantic view of an innocent, simple, and long gone world that the early projects of tangible and ubiquitous computing sought to revive; a world where the personal computer not only did not fit, an innocent world in fact displaced by the personal computer. In 1997, Ishii and Ullmer wrote about their decision to start their investigations about the “future of HCI” in the museum of the Collection of Historic Scientific Instruments at Harvard University in their efforts to get inspired by “the aesthetics and rich affordances of these historical scientific instruments” concerned that, “alas, much of this richness has been lost to the rapid flood of digital technologies” (1). Elsewhere Ishii explained that the origin of his idea to design a bottle interface began with the concept of a “weather forecast bottle;” an idea he intended to develop as a present for his mother. “Upon opening the weather bottle, she would be greeted by the sound of singing birds if the next day’s weather was forecasted to be clear” (1300). Here, we are introduced to a nice elderly lady who has opened thousands of bottles while cooking for her family in her kitchen. This senior lady; who is made to embody the symbolic alignment between woman, the domestic and nature (see Soper, Rose, Plumwood); “has never clicked a mouse, typed a URL, nor booted a computer in her life” (Ishii 1300). Instead, “my mother simply wanted to know the following day’s weather forecast. Why should this be so complicated?” (1300, my italics). Weiser also mobilised nostalgic sentiments in order to paint a picture of what it would be to live with ubiquitous computing. So, for example, when seeking a metaphor for ubiquitous computing, he proposed “childhood – playful, a building of foundations, constant learning, a bit mysterious and quickly forgotten by adults” (Not a Desktop 8). He viewed the ubicomp home as the ideal retreat to a state of childhood; playfully reaching out to the unknown, while being securely protected and safely “at home” (Open House). These early ideas of a direct experience of the world through our bodily senses along with the romantic view of a past, simple, and better world that the computer threatened and that future technological developments promised, could point towards what Leo Marx has described as America’s “pastoral ideal”, a force that, according to Marx, is ingrained in the American view of life. Balancing between primitivism and civilisation, nature and culture, the pastoral ideal “is an embodiment of what Lovejoy calls ‘semi-primitivism’; it is located in a middle ground somewhere ‘between’, yet in a transcendent relation to, the opposing forces of civilisation and nature” (Marx 23). It appears that the early advocates of tangible and ubiquitous computing sought to strike a similar balance to the American pastoral ideal; a precarious position that managed to reconcile the disfavour and fear of Europe’s “satanic mills” with an admiration for the technological power of the Industrial Revolution, the admiration for technological development with the bucolic ideal of an unspoiled and pure nature. But how was such a balance to be achieved? How could the ideal middle state be achieved balancing the opposing forces of technological development and the dream of the return to a serene pastoral existence? According to Leo Marx, for the European colonisers, the New World was to provide the answer to this exact question (101). The American landscape was to become the terrain where old and new, nature and technology harmonically meet to form a libertarian utopia. Technology was seen as “‘naturally arising’ from the landscape as another natural ‘means of happiness’ decreed by the Creator in his design of the continent. So, far from conceding that there might be anything alien or ‘artificial’ about mechanization, technology was seen as inherent in ‘nature’; both geographic and human” (160). Since then, according to Marx, the idea of the “return” to a new Golden Age has been engrained in the American culture and it appears that it informs ubiquitous computing’s own early visions. The idea of a “naturally arising” technology which would facilitate our return to the once lost garden of security and nostalgia appears to have become a common theme within ubiquitous computing discourses making appearances across time and borders. So, for example, while in 1991 Weiser envisioned that ubiquitous technologies will make “using a computer as refreshing as taking a walk in the woods” (21st Century Computer 11), twelve years later Marzano writing about Philip’s vision of Ambient Intelligence promised that “the living space of the future could look more like that of the past than that of today” (9). While the pastoral defined nature in terms of the geographical landscape, early ubiquitous computing appeared to define nature in terms of the objects, tools and technologies that surround us and our interactions with them. While pastoral America defined itself in contradistinction to the European industrial sites and the dirty, smoky and alienating cityscapes, within those early ubiquitous computing discourses the role of the alienating force was assigned to the personal computer. And whereas the personal computer with its “grey box” was early on rejected as the modern embodiment of the European satanic mills, computation was welcomed as a “naturally arising” technological solution which would infuse the objects which, “through the ages, … are most relevant to human life—chairs, tables and beds, for instance, … the objects we can’t do without” (Marzano 9). Or else, it would infuse the—newly constructed—natural landscape fulfilling the promise that when the “world of bits” and the “world of atoms” are finally bridged, the balance will be restored. But how did these two worlds come into existence? How did bits and atoms come to occupy different and separate ontological spheres? Far from being obvious or commonsensical, the idea of the separation between bits and atoms has a history that grounds it to specific times and places, and consequently makes those early ubiquitous and tangible computing discourses part of a bigger story that, as documented (Hayles) and argued (Agre), started some time ago. The view that we inhabit the two worlds of atoms and bits (Ishii and Ullmer) was endorsed by both early ubiquitous and tangible computing, it was based on the idea of the separation of computation from its material instantiation, presenting the former as a free floating entity able to infuse our world. As we saw earlier, tangible computing took the idea of this separation as an unquestionable fact, which then served as the basis for its research goals. As we read in the home page of the Tangible Media Group’s website: Where the sea of bits meets the land of atoms, we are now facing the challenge of reconciling our dual citizenship in the physical and digital worlds. "Tangible Bits" is our vision of Human Computer Interaction (HCI): we seek a seamless coupling of bits and atoms by giving physical form to digital information and computation (my italics). The idea that digital information does not have to have a physical form, but is given one in order to achieve a coupling of the two worlds, not only reinforces the view of digital information as an immaterial entity, but also places it in a privileged position against the material world. Under this light, those early ideas of augmentation or of “awakening” the physical world (Ishii and Ullmer 3) appear to be based on the idea of a passive material world that can be brought to life and become worthy and meaningful through computation, making ubiquitous computing part of a bigger and more familiar story. Restaging the dominant Cartesian dualism between the “ensouled” subject and the “soulless” material object, the latter is rendered passive, manipulable, and void of agency and, just like Ishii’s old bottles, it is performed as a mute, docile “empty vessel” ready to carry out any of its creator’s wishes; hold perfumes and beverages, play music, or tell the weather. At the same time, computation was presented as the force that could breathe life to a mundane and passive world; a free floating, somewhat natural, immaterial entity, like oxygen (hence the name of MIT’s first ubicomp project), like the air we breathe that could travel unobstructed through any medium, our everyday objects and our environment. But it is interesting to see that in those early ubicomp discourses computation’s power did not extend too far. While computation appeared to be foregrounded as a powerful, almost magic, entity able to give life and soul to a soulless material world, at the same time it was presented as controlled and muted. The computational power that would fill our lives, according to Weiser’s ubiquitous computing, would be invisible, it wouldn’t “intrude on our consciousness” (Weiser Not a Desktop 7), it would leave no traces and bring no radical changes. If anything, it would enable us to re-establish our humanness and return us to our past, natural state promising not to change us, or our lives, by introducing something new and unfamiliar, but to enable us to “remain serene and in control” (Weiser and Brown). In other words, ubiquitous computing, as this early story goes, would not be alienating, complex, obtrusive, or even noticeable, for that matter, and so, at the end of this paper, we come full circle to ubicomp’s early goals of invisibility with its underpinnings of the precarious pastoral ideal. This short paper focused on some of ubicomp’s early stories and projects and specifically on its promise to return us to a past and implicitly better world that the PC has arguably displaced. By reading these early promises of, what I call, regressive augmentation through Marx’s work on the “pastoral ideal,” this paper sought to tease out, in order to unsettle, the origins of some of ubicomp’s romantic promises. References Agre, P. E. Computation and Human Experience. New York: Cambridge University Press, 1997. Dourish, P. “Seeking a Foundation for Context-Aware Computing.” Human–Computer Interaction 16.2-4 (2001): 229-241. ———. Where the Action Is: The Foundations of Embodied Interaction. Cambridge: MIT Press, 2001. Dourish, P. and Genevieve Bell. Divining a Digital Future: Mess and Mythology in Ubiquitous Computing. Cambridge, Massachusetts: MIT Press, 2011.Grimes, A., and R. Harper. “Celebratory Technology: New Directions for Food Research in HCI.” In CHI’08, Proceedings of the SIGCHI Conference on Human Factors in Computing Systems. New York: ACM, 2008. 467-476. Harper, R., T. Rodden, Y. Rogers, and A. Sellen (eds.). Being Human: Human-Computer Interaction in the Year 2020. Microsoft Research, 2008. 1 Dec. 2013 ‹http://research.microsoft.com/en-us/um/Cambridge/projects/hci2020/downloads/BeingHuman_A3.pdf›. Hayles, K. How We Became Posthuman: Virtual Bodies in Cybernetics, Literature, and Informatics. Chicago: University of Chicago Press, 1999. Ishii, H. “Bottles: A Transparent Interface as a Tribute to Mark Weiser.” IEICE Transactions on Information and Systems 87.6 (2004): 1299-1311. Ishii, H., and B. Ullmer. “Tangible Bits: Towards Seamless Interfaces between People, Bits and Atoms.” In CHI ’97, Proceedings of the ACM SIGCHI Conference on Human Factors in Computing Systems. New York: ACM, 1997. 234-241. Marx, L. The Machine in the Garden: Technology and the Pastoral Ideal in America. 35th ed. New York: Oxford University Press, 2000. Marzano, S. “Cultural Issues in Ambient Intelligence”. In E. Aarts and S. Marzano (eds.), The New Everyday: Views on Ambient Intelligence. Rotterdam: 010 Publishers, 2003. Norman, D. The Invisible Computer: Why Good Oroducts Can Fail, the Personal Computer Is So Complex, and Information Appliances Are the Solution. Cambridge, Mass.: MIT Press, 1999. Plumwood, V. Feminism and the Mastery of Nature. London, New York: Routledge, 1993. Rose, G. Feminism and Geography. Cambridge: Polity, 1993. Soper, K. “Naturalised Woman and Feminized Nature.” In L. Coupe (ed.), The Green Studies Reader: From Romanticism to Ecocriticism. London: Routledge, 2000. Ullmer, B., and H. Ishii. “The metaDESK: Models and Prototypes for Tangible User Interfaces.” In UIST '97, Proceedings of the 10th Annual ACM Symposium on User Interface Software and Technology. New York: ACM, 1997. 223-232. Weiser, M. “The Computer for the 21st Century." Scientific American 265.3 (1991): 94-104. ———. “The Open House.” ITP Review 2.0, 1996. 1 Dec. 2013 ‹http://makingfurnitureinteractive.files.wordpress.com/2007/09/wholehouse.pdf›. ———. “The World Is Not a Desktop." Interactions 1.1 (1994): 7-8. Weiser, M., and J.S. Brown. “The Coming Age of Calm Technology.” 1996. 1 Dec. 2013 ‹http://www.johnseelybrown.com/calmtech.pdf›. Weiser, M., R. Gold, and J.S. Brown. “The Origins of Ubiquitous Computing at PARC in the Late 80s.” Pervasive Computing 38 (1999): 693-696.
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