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1

Ananthachar, Vinay. "DSM in the 2010 Connecticut Integrated Resource Plan (IRP)." Strategic Planning for Energy and the Environment 31, no. 4 (April 2012): 56–64. http://dx.doi.org/10.1080/10485236.2012.10491663.

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Li, Xin, Guodong Cheng, Shaomin Liu, Qing Xiao, Mingguo Ma, Rui Jin, Tao Che, et al. "Heihe Watershed Allied Telemetry Experimental Research (HiWATER): Scientific Objectives and Experimental Design." Bulletin of the American Meteorological Society 94, no. 8 (August 1, 2013): 1145–60. http://dx.doi.org/10.1175/bams-d-12-00154.1.

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A major research plan entitled “Integrated research on the ecohydrological process of the Heihe River Basin” was launched by the National Natural Science Foundation of China in 2010. One of the key aims of this research plan is to establish a research platform that integrates observation, data management, and model simulation to foster twenty-first-century watershed science in China. Based on the diverse needs of interdisciplinary studies within this research plan, a program called the Heihe Watershed Allied Telemetry Experimental Research (HiWATER) was implemented. The overall objective of HiWATER is to improve the observability of hydrological and ecological processes, to build a world-class watershed observing system, and to enhance the applicability of remote sensing in integrated ecohydrological studies and water resource management at the basin scale. This paper introduces the background, scientific objectives, and experimental design of HiWATER. The instrumental setting and airborne mission plans are also outlined. The highlights are the use of a flux observing matrix and an eco-hydrological wireless sensor network to capture multiscale heterogeneities and to address complex problems, such as heterogeneity, scaling, uncertainty, and closing water cycle at the watershed scale. HiWATER was formally initialized in May 2012 and will last four years until 2015. Data will be made available to the scientific community via the Environmental and Ecological Science Data Center for West China. International scientists are welcome to participate in the field campaign and use the data in their analyses.
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Sleasman, Katherine. "Analysis of wastewater management in the Florida Keys." Water Policy 13, no. 4 (November 29, 2010): 506–17. http://dx.doi.org/10.2166/wp.2010.138.

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Maintaining water quality in the Florida Keys is vital to the area’s economy. However, the lack of sewage infrastructure has degraded nearshore water quality. The Monroe County Year 2010 Comprehensive Plan outlines strategies to improve sewage infrastructure to meet the State of Florida’s 2010 effluent standards. This paper assesses the progress of the Monroe County Year 2010 Comprehensive Plan in the context of Integrated Coastal Management (ICM) by means of surveys, semi-structured interviews, and secondary data. Monroe County’s plan included aspects of ICM and emphasized a community-based approach for incorporated and unincorporated areas to meet effluent standards. However, areas throughout the Florida Keys faced financial constraints and lack of resources in executing public work initiatives. Variability in management plans developed by municipalities demonstrated the need for a top down approach. The State of Florida and Monroe County could have provided more guidance and resources, and facilitated communication between the various entities to help complete objectives by the 2010 deadline.
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Sharma, Sham Kumar, M. L. Kansal, and Aditya Tyagi. "Integrated water management plan for Shimla City in India using geospatial techniques." Water Supply 16, no. 3 (December 1, 2015): 641–52. http://dx.doi.org/10.2166/ws.2015.173.

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This study focuses on evolving an integrated water management plan (IWMP) for Shimla City (erstwhile summer capital of British India). Presently it is the state capital of Himachal Pradesh. Total water demand (2014) is 58.46 million litres per day (MLD) against system capacity of 54.54 MLD. The present deficit of 3.92 MLD (2014) may amplify to 59.01 MLD in 2051. Resource assessment in the related watersheds namely, Ashwani, Nauti, Giri and Pabbar accomplished using remote sensing techniques and geographic information system (GIS) based Arc-SWAT hydrological model. Average annual precipitation in all watersheds for 26 years (1984–2010) is about 1,005 mm, out of which about 34% flows as runoff, 8% as groundwater and about 58% as evapotranspiration. Being ungauged watersheds, water balance equation considered as the validation criteria, coefficient of correlation ‘R’ between observed rainfall and simulated runoff varies from 0.94–0.96. Results further validated through actual measurement of inflow in lean period in one of the major sources, i.e. Giri River, which has shown very good correlation (R = 0.95) between simulated and observed stream flow. The study establishes that existing sources are not sustainable. IWMP suggests, source augmentation coupled with rainwater harvesting and reuse of wastewater as long-term strategic measures.
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Johnson, Richard C., Amy L. Baribeau, and Patrick R. Michaud. "A 3-D Integrated Contingency Plan: Transitioning From Information Overload Into Selective Information Analysis1." International Oil Spill Conference Proceedings 2001, no. 1 (March 1, 2001): 699–703. http://dx.doi.org/10.7901/2169-3358-2001-1-699.

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ABSTRACT Contingency plans are designed to assist responders during a response and to meet regulatory requirements. More often, these plans are unusable by responders—overloaded with information or streamlined to the point of ineffectiveness. There is simply more information than can be organized into a usable paper plan. To successfully aid responders, plans must be transitioned from a paper to an electronic medium using a three-dimensional (3-D) Integrated Planning Model. This model uses the three core components found in every plan and structures them along a horizontal axis in a database. Then all individual plans are stacked on top of each other along a vertical axis to maximize information sharing. While the database configuration described above would improve search capabilities, the stringent and restrictive controls for plan submission to a single point centralized database would greatly reduce the number of entities that would be willing to participate. There are many initiatives underway throughout the country to develop electronically based plans. Several contain some or all of the components of a 3-D Integrated Planning Model. However, a common vision of a 3-D Integrated Planning Model and resource commitment is still needed at the national level to maximize the benefit. These ongoing efforts by individual entities typically represent the building blocks of much better response tools. What is needed is a 3-D Integrated Contingency Plan model that takes the synergy of these building blocks and puts them together to build a “house” of tools for responders to use. This house is a reality and is a project called “e-Plan.” The benefits of e-Plan are many including a significant cost saving to plan holders. This is a one-time opportunity to develop a national standard for collecting, moving, and archiving important contingency plan data, and the chance to make major strides in improving preparedness and ability to respond.
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Staehr, A. Edward. "Human resource risk and succession planning." Agricultural Finance Review 75, no. 1 (May 5, 2015): 133–39. http://dx.doi.org/10.1108/afr-02-2015-0008.

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Purpose – The purpose of this paper is to illustrate the benefits of utilizing teams of personal and financial consultants to work with farm families in New York State on issues affecting farm business performance. Design/methodology/approach – Program experience in implementing an integrated consulting model provides a framework for illustrating how such a model may be utilized on farms and other family businesses for succession planning. Findings – An integrated personal and financial consulting model is effective in producing lasting business results such as business growth, improved profitability, and reduced interpersonal conflict on farms in New York State. Originality/value – Farmers employ a multitude of risk management tools, such as crop insurance, to reduce various types of risk affecting their farm businesses in New York State, but an area often overlooked by farmers is managing human resource risk, namely succession risk. As the average age of farmers in the USA continues to increase, employing new tools and strategies is critical when developing an effective business succession plan for farmers.
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Yánez, Luis, Pamela Franco, Wellington Bastidas, and Verónica Córdova. "Resumen del plan nacional de gestión integrada e integral de los recursos hídricos y de las cuencas y microcuencas hidrográficas de Ecuador." Aqua-LAC 9, no. 2 (September 30, 2017): 124–32. http://dx.doi.org/10.29104/phi-aqualac/2017-v9-2-10.

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El gobierno del Ecuador planteó disposiciones y requisitos para el desarrollo sostenible de los recursos hídricos, tomando como marco legal la Constitución del Ecuador (2008) Art. 318 estableciendo “El agua es patrimonio nacional…”, las políticas nacionales de recursos hídricos propuestas en la Ley Orgánica de Recursos Hídricos, Usos y Aprovechamiento del Agua (LORHUYA 2014), El Plan Nacional del Buen Vivir (2013-2017); Objetivo 3: “Mejorar la calidad de vida de la población” y Objetivo 7: “Garantizar los derechos de la naturaleza y promover la sostenibilidad ambiental territorial y global” y El Plan Nacional de Desarrollo (2007-2010); Objetivo 4: “Promover un ambiente sano y sustentable, y garantizar el acceso al agua, aire y suelo seguros”. Siguiendo estas disposiciones se realizó El Plan Nacional de Gestión Integrada e Integral de los Recursos Hídricos de las Cuencas y Microcuencas Hidrográficas del Ecuador (PNGIRH), en el cual se realiza el análisis por 9 Demarcaciones Hidrográficas (Continente), y un análisis específico en las Islas Galápagos, con el objeto de resolver el conflicto entre oferta y demanda de los recursos hídricos, salvaguardando la vida de las personas, la soberanía alimentaria y garantizando el consumo de agua industrial, estableciendo años horizonte; que consta de un año base (2010), año horizonte de corto plazo Fase I (2015-2025); horizonte medio Fase II (2026-2030); y de largo plazo Fase III (2031-2035). Para la resolución de problemas se han planteado medidas estructurales y no estructurales para el control de inundaciones y alivio de desastres; suministro y uso de agua de buena calidad, protección y conservación de agua y suelo, así como la planificación de un sistema eficaz de gestión de los recursos hídricos, los cuales se han planteado bajo condiciones de desarrollo económico normal con un total de: 176 proyectos de asignación de recursos hídricos, 13 sistemas de control de inundaciones, 265 áreas de protección para fuentes de agua potable, 7,834.65 km2 para el control de erosión, planificados para todo el país. Después de la ejecución de los proyectos de asignación de recursos hídricos, se espera que los resultados del análisis del balance de oferta y demanda muestran que la probabilidad de suministro de agua cumple con el valor objetivo establecido en este Plan con el porcentaje de déficit hídrico nacional que no deberá superar el 10%.
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8

Plani, F. "(A219) Development of a Hospital Disaster Plan for Countries with Limited Resources." Prehospital and Disaster Medicine 26, S1 (May 2011): s60. http://dx.doi.org/10.1017/s1049023x11002093.

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The Chris Hani Baragwanath Hospital (CHBH) in South Africa is the largest in the world, with 2,900 beds. Its trauma unit boasts 15 resuscitation bays, while the triage area has space for 40 stretchers. There are 5,000 trauma resuscitations performed yearly, out of 50,000 patients seen in the Trauma Emergency Department. There is an eight-bed Trauma Intensive Care Unit (ICU) and a 56-bed Trauma Ward. There also are 25 stepdown beds, 70 outlying beds, a six-bed Burn ICU, 20-bed ward, and a 24-bed shortstay ward. There are about 80 resuscitations and 70 trauma emergency operations weekly. However, the hospital is severely limited in financial and human resources, with only 2–3 interns, two registrars, and one trauma consultant on-call. The hospital is at > 130% bed occupancy. The CHBH was designated as the main disaster hospital for the 2010 FIFA World Cup, due to its proximity to the 96,000-seat Soccer City. Nominal disaster plans existed, but there were no resources, preparations, or knowledge, as was the case with most other government hospitals. The Trauma Directorate developed a new plan for the World Cup, future mass-casualty incidents at CHBH, and for other resource limited hospitals. The plans are centered on four critical issues: (1) preparedness of hospital structure and staff; (2) dissemination of the plan; (3) disaster training; and (4) the development of “Disaster Bags” for 350 casualties A free disaster course trained > 400 staff members on in-hospital triage and trauma management. All hospital staff were allocated specific functions in case of disasters. This is the first time the CHBH has had an integrated disaster plan, with separate equipment allocation, through private funding, and involving all disciplines.
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Jokiel, P. L., K. S. Rodgers, W. J. Walsh, D. A. Polhemus, and T. A. Wilhelm. "Marine Resource Management in the Hawaiian Archipelago: The Traditional Hawaiian System in Relation to the Western Approach." Journal of Marine Biology 2011 (2011): 1–16. http://dx.doi.org/10.1155/2011/151682.

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Over a period of many centuries the Polynesians who inhabited Hawai‘i developed a carefully regulated and sustainable “ahupua‘a” management system that integrated watershed, freshwater and nearshore marine resources based on the fundamental linkages between all ecosystems from the mountain tops to the sea. This traditional scheme employed adaptive management practices keyed to subtle changes in natural resources. Sophisticated social controls on resource utilization were an important component of the system. Over the past two centuries a “Western system” gradually replaced much of the traditional Hawaiian system. There are major differences between the two systems in the areas of management practices, management focus, knowledge base, dissemination of information, resource monitoring, legal authority, access rights, stewardship and enforcement. However, there is a recent shift toward incorporating elements of the traditional scheme using methods and terminology acceptable and appropriate to present day realities. This trend is exemplified by the management plan for the newly formed Papahānaumokuākea Marine National Monument in the Northwestern Hawaiian Islands. This is one of the largest protected areas in the world and is being managed with a focus on Native Hawaiian cultural values in relation to conservation, ecological, historical, scientific, and educational resource protection.
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10

Doke, Arjun. "Delineation of the Groundwater Potential Using Remote Sensing and GIS: A Case Study of Ulhas Basin, Maharashtra, India." Archives of Photogrammetry, Cartography and Remote Sensing 31, no. 1 (December 1, 2019): 49–64. http://dx.doi.org/10.2478/apcrs-2019-0004.

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Abstract Groundwater is one of the most valuable natural resources which is essential for the environmental, biological and socio-economic activities. The present paper aims to delineate groundwater potential of Ulhas basin in India through remote sensing and geographical information system. Several groundwater influencing factors such as geology, geomorphology, slope, landuse, rainfall, lineaments are mapped in GIS environment. Later, these factors were ranked on the basis of their influence on the groundwater potential of a region. After that all these factors were integrated together in GIS environment to prepare the groundwater potential map of Ulhas basin. By implementing influencing factor, it is observed that about 21%, 50% and 29% areas are falling under high, moderate, and low groundwater potential zones, correspondingly. The present study is highly valuable to the policymakers, administrative bodies, engineers for management of groundwater and preparing sustainable water resource plans in Ulhas basin. Additionally, the present paper will help to construct artificial groundwater recharge plan in the study area.
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Morita, Yuichi, Eisuke Fujita, Mitsuhiro Nakagawa, and Setsuya Nakada. "Special Issue on Integrated Program for Next Generation Volcano Research and Human Resource Development." Journal of Disaster Research 14, no. 4 (June 1, 2019): 569–70. http://dx.doi.org/10.20965/jdr.2019.p0569.

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The phreatic eruption of the Ontake volcano in 2014 reminded us that even moderately active volcanoes, most of which are tourist attractions in Japan, can sometimes exhibit unpredictable and hazardous behaviors, taking away the lives of those who do not fully recognize their threat. With this adding momentum, the Japanese people want volcanology and its applications to be developed to further improve the precision of volcanic eruption alerts. To meet this expectation, a comprehensive program, the “Integrated program for next-generation volcano research and human resource development,” sponsored by the Ministry of Education, Culture, Sports, Science and Technology, was started in November 2016 on a 10-years plan. The most stunning aspect of this program is the integration of (1) a research project and (2) a human resource development program to mitigate volcanic disasters in Japan from long-term point of view. Both of these are collaboratively supported by many researchers from almost all Japanese universities and national institutions related to volcanology. This special issue compiles several topics in this research project to demonstrate its present stage of development and to indicate its anticipated future destination. The target of the research project is to develop, using multi-disciplinary scientific methods, new ways of evaluating volcanic hazards. Specifically, four research groups jointly (A) construct a data archive and exchange system connecting all Japanese volcanologists, (B) develop new geophysical and geochemical observation techniques and methods of analyzing data, (C) evolve methods of predicting volcanic eruptions based on eruption history from precise geological survey and numerical simulations, and (D) propose the provision of technologies for volcanic disasters. We hope that this program will greatly help to mitigate volcanic disasters in Japan, and we will strive to realize this through the research project.
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Duncan, Albert Ebo, Nanne de Vries, and Kwabena Biritwum Nyarko. "The effectiveness of water resources management in Pra Basin." Water Policy 21, no. 4 (April 8, 2019): 787–805. http://dx.doi.org/10.2166/wp.2019.123.

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Abstract Integrated water resources management (IWRM) has been criticized yet it is the dominant approach to water resources management in developing countries. The criticism emanates from the manifold unfounded assumptions made during implementation on issues such as availability of technology and infrastructure, privatization and sustainable financing, human resource capacity, government interference, etc. The Pra Basin has been implementing IWRM since 2011. The basin houses nine out of the 17 artificial reservoirs constructed in Ghana for drinking water supply. It is therefore prudent that the basin's water resources are given extra management care to ensure sustainable water quality and quantity for growth and development. However, much uncertainty still exists about whether the best water management system is being practiced, whether the system is working well, or needs improvement. This study examines the effectiveness of water resources management in the Pra Basin of Ghana. This study used interviews, field observations, and documents such as Pra Basin IWRM plan, the national IWRM plan, etc., to assess the effectiveness of IWRM in the Pra Basin. The result of the study showed that IWRM although appropriate for the basin had implementation gaps. These gaps are potential contributors to deteriorating water quality.
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Almeida, Lia de Azevedo, Lucas Braga da Silva, and Luana Ferreira da Silva. "MOBILIZATION OF POLITICAL-RELATIONAL CAPACITIES BY STATE GOVERNMENTS: an analysis of the formulation of the state plan for solid waste in Tocantins." Revista Observatório 6, no. 4 (July 1, 2020): a16en. http://dx.doi.org/10.20873/uft.2447-4266.2020v6n4a16en.

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The National Solid Waste Policy provides for the elaboration of national, state, micro-regional, intermunicipal and municipal plans for integrated waste management (Brasil, 2010). Therefore, the objective was to analyze the political-relational capacities mobilized by the network formed by the actors/ participants in the Technical Workshop for the elaboration of the State Plan for Solid Waste of Tocantins (PERS/TO), which took place in October 2015 in Palmas. Reports were collected from the Secretariat of Environment and Water Resources (Semarh) and a questionnaire was applied to the participants of the technical workshop, which sought to identify the interests of the various actors and investigate the structure and function of the network. The data were analyzed with the support of the Visone 2.7 software.
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Psiwa, Jane Tipitip, Duncan Irungu, and Samuel Muriithi. "ASSESSMENT OF CHALLENGES FACING THE IMPLEMENTATION OF THE COUNTY INTEGRATED DEVELOPMENT PLAN: A CASE STUDY OF NAROK COUNTY GOVERNMENT." Journal of Strategic Management 1, no. 2 (January 17, 2017): 1. http://dx.doi.org/10.47672/jsm.151.

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Purpose: The purpose of this study was to assess challenges facing the implementation of the County Integrated Development Plan (CIDP) in Narok County Government.Methodology: The study utilized a descriptive survey research design. The target population comprised of 10 County Executive Committee Members, 22 County Chief Officers who report to CECs and 62 directorates of the respective functional sections or units of the government in Narok County. The study utilized a census technique of data collection meaning the target population was studied.Results: The major findings of the study were that NCG employees were involved in the formulation of the CIDP, the CIDP had been implemented to a moderate extent, NCG had met less than 50% of the performance targets as well as less than 50% CIDP development projects or interventions, the CIDP of NCG is comprehensive as per the requirements of the constitution of Kenya 2010, NCG indeed experienced financial-related challenges, human resource-related challenges and leadership-related challenges in the process of implementing the CIDP. The findings also revealed that national government policies and legislation and organization culture influenced the implementation of the CIDP.Unique contribution to theory, practice and policy: the study recommends that the national government of Kenya should disburse funds to the county governments regularly and on time, NCG should review their style of leadership to a transformational and consultative style, and that the national government should review the national legislations and policies that govern the operations of county governments.
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Gauché, Paul, Theodor W. Von Backström, and Alan C. Brent. "A concentrating solar power value proposition for South Africa." Journal of Energy in Southern Africa 24, no. 1 (February 1, 2013): 66–76. http://dx.doi.org/10.17159/2413-3051/2013/v24i1a3122.

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Concentrating solar power (CSP) offers the potential for a high degree of localization and an alternative strategy to meet electricity demand for South Africa in a future of uncertain conventional resources. The integrated resource plan (IRP) makes strides to introduce renewables to the electricity generation system by 2030, but we argue that the proposed energy mix is too reliant on resources that are not only unsustainable but also at risk in the short to medium term. Coal and other conventional resources may be more limited than originally anticipated, which if true, requires action to be taken soon. CSP is currently the only sustainable and dispatchable energy technology that could domestically supply a significant portion of South Africa’s electricity needs. A balanced mix of PV, wind and CSP can provide the energy supply needed in South Africa, but steps are required soon to take advantage of the localization potential and excellent sustainable energy resources.
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Gauthier, Genevieve, Annie Guerin, Amy Styles, Eric Q. Wu, Melissa G. Brammer, and Deepa Lalla. "Comparison of treatment patterns and outcomes in metastatic breast cancer (MBC) patients initiated on trastuzumab versus lapatinib: A retrospective analysis." Journal of Clinical Oncology 30, no. 15_suppl (May 20, 2012): e11076-e11076. http://dx.doi.org/10.1200/jco.2012.30.15_suppl.e11076.

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e11076 Background: The National Comprehensive Cancer Network (NCCN) guidelines recommend trastuzumab- or lapatinib-based therapies as the preferred agents for metastatic HER2-positive breast cancer. Few studies have compared treatment patterns and outcomes in MBC patients (pts) treated with trastuzumab vs. lapatinib. The objective of this study is to compare rates of new metastatic sites, discontinuation, healthcare resource utilization, and costs in MBC pts initiated on lapatinib vs trastuzumab. Methods: Adult women with MBC initiated on trastuzumab or lapatinib on or after 03/13/2007 (lapatinib FDA-approval date) were selected in the PharMetrics® Integrated Database (2000-2011). Pts were followed from trastuzumab or lapatinib initiation date up to the end of continuous healthcare plan enrollment/data availability, whichever occurred first. New metastatic sites and discontinuation rates (gap ≥45 consecutive days) were compared among trastuzumab and lapatinib pts using multivariate Cox proportional-hazards models. Incremental healthcare resource utilization and monthly costs (2010 USD; measured from a payer perspective) were estimated using multivariate generalized linear models. Results: Among the643 pts selected, 381 and 262 pts were initiated on trastuzumab and lapatinib, respectively. After multivariate adjustment, compared to trastuzumab pts, lapatinib pts had a higher rate of new metastases (hazard ratio [HR]=1.65; p<.001) and treatment discontinuation (HR=1.57; p<.001). There was no statistically significant difference in total healthcare cost between lapatinib and trastuzumab pts (p=.397). The incidence of medical visits associated with treatment administration was lower in lapatinib pts (Incidence rate ratio [IRR]=0.34; p<.001), however, the incidence of other outpatient visits was significantly higher in lapatinib pts (IRR=1.19; p<.001). Conclusions: Whileboth cohorts presented similar healthcare costs, pts initiated on lapatinib showed higher rates of new metastatic sites, discontinuation, more outpatient visits (non treatment-related), but fewer medical visits associated with treatment administration.
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Smith Stegen, Karen. "Understanding China’s global energy strategy." International Journal of Emerging Markets 10, no. 2 (April 20, 2015): 194–208. http://dx.doi.org/10.1108/ijoem-04-2014-0059.

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Purpose – As China’s economy has expanded, so has its need for energy. Consequently, China has increased its domestic energy capacities and developed import strategies for oil and gas. In its international energy activities, China has progressed through a series of stages. The purpose of this paper is to focus on China’s latest stage: creating an overland energy network, supplied primarily by Central Asia’s Kazakhstan, Turkmenistan and Uzbekistan, and becoming the energy hub of an integrated Asian market – China’s recent “Silk Road” proposal. This paper also examines the impact of Chinese energy investments on the prospects of Central Asian energy producers transitioning to emerging markets. Design/methodology/approach – The author delineate four stages of China’s international engagement and introduce the concept of the Chinese energy cooperation model: capital-intensive energy investments combined with the opening of local markets to Chinese goods. To assess the impact of this model on Central Asia, the author apply insights gained from analyzing the experience of resource-exporters in Latin America and Sub-Saharan Africa. Findings – The author findings are twofold: China has secured the energy resources of several Central Asian states for its “Silk Road” plan; and the Chinese energy cooperation model brings rapid growth, but has effects deleterious to the attainment of emerging market status. Originality/value – This paper contributes to the limited knowledge on China’s “Silk Road” plan and on China’s impact on resource-rich developing countries and is useful for researchers, academics and policymakers.
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Sandulache, Vlad, Anita Sabichi, George Chen, and Scott Charnitsky. "QIM19-142: Development of a Low Resource Tool for Improving Head and Neck Cancer Treatment Delivery Within an Integrated Health Care Delivery System." Journal of the National Comprehensive Cancer Network 17, no. 3.5 (March 8, 2019): QIM19–142. http://dx.doi.org/10.6004/jnccn.2018.7128.

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Background: The Veterans Health Administration (VHA) is the only nationally integrated healthcare delivery system in the United States. The vertical and horizontal integration of the VHA make it an ideal environment for development of tools designed to streamline cancer diagnosis and treatment. Head and neck cancer (HNC) remains a difficult disease to diagnose and treat. Delivery of multimodality treatment for advanced HNC is challenging at both academic centers and in the community setting. This problem is magnified by the increased incidence of HNC, powered by an epidemic increase in the incidence of human papilloma virus (HPV)–associated oropharyngeal cancer (OPC). Objective: To develop a non–resource-intensive approach to improving: (1) time to treatment initiation and (2) compliance with optimal treatment package time for HNC patients. Methods: Retrospective analysis of 300 patients with a diagnosis of HNC from the Michael E. DeBakey VA Medical Center (MEDVAMC) was used to generate baseline data (2000–2010) for: (1) time to treatment (surgery, 24 days; radiation, 48 days) and (2) treatment package time <100 days compliance (68%). We developed a tool available to providers and clinic staff to prospectively track patients from initial referral, through diagnosis and treatment, along with completion of ancillary studies (modified barium swallow) and completion of the survivorship care plan. Between June 2016 and October 2018, 350 patients were tracked using this tool; 275 patients were new HNC diagnoses. Results: Implementation of the tracking tool reduced diagnosis to treatment start (mean, 44 days; median, 26 days). Compliance with treatment package time <100 days was increased to 95%; compliance with initiation of adjuvant radiation within 6 weeks of surgery was increased to 75%. Utilization of the tool allowed for streamlined surgical care, particularly through integration of dental extractions into the oncologic resection, and facilitated timely initiation of adjuvant radiation for advanced HNC. Conclusions: It is possible to improve: (1) time to diagnosis, (2) time to treatment initiation, and (3) treatment completion rates for complex HNC requiring multimodality treatment without additional resource utilization. However, appropriate implementation requires a robust multidisciplinary treatment team, with appropriate “buy in” from all participants and is facilitated by the presence of a fully integrated health care delivery system.
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Bhuiya, MSU, MM Karim, and SMA Hossain. "Study on integrated farming systems model development." Journal of the Bangladesh Agricultural University 12, no. 2 (July 12, 2016): 325–36. http://dx.doi.org/10.3329/jbau.v12i2.28692.

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Study on Integrated Farming Systems Model Development was conducted by the Livelihood Improvement of Farming Community in Haor area through System approach Project of the Department of Agronomy, Bangladesh Agricultral University, Mymensigh worked in Purbo Tethulia village of Moahjganj upazilla, Netrakona district from April 2010 to June 2013 with the financial assistance from the National Agricultural Technology Project, SPGR subproject, Bangladesh Agricultural Council with the following objectives i. Increase productivity of field crops, vegetables, livestock and fishes in a household through the use of appropriate technogies and techniques devised/developed/ designed/refined by the farmers for ensuring household food security and nutritional upliftment and raising income ii. Diversify enterprises, mobilize resources and intensify farming and non farming activities for in situ employment generation iii. Conserve farm environment through efficient mobilization and management of natural resource for sustainable production sysyems iv. Develop human resoures for capacity building of the participants and improve their livelihood through system approach. Research programme was finalized in the Bench Mark Survey Workshop. Farmer selection for different research acivities was done as per plan for defferent five components. The crop and agroforestry component conducted experiments both in the homestead land and crop land. In the homestead area, year round vegetables were intervened through community trial for three years. Production of timber trees like mahogany, lambu and fruit trees like mango, guave, jujube, litchi, lemon papaya and jackfruit was also practiced. Timber trees are now at growing stage and among the fruit trees some like papaya, jujube and lemon are at bearing stage. African dhaincha was introduced around homestead fallow/waste land to protect homestead area from wave thrust and to produce biomass fuel. Field trials on rice, vegetables, spices and oil crops were conducted to intensify and diversify the cropping pattern and as well as to utilize the fallow/ waste land of the research site. Under livestock component, experiments were conducted on rearing of egg producing hen, duck, fattening of animals, milching cow, artificial insemination and chemical evaluation of available feedstuffs. A continuous vaccination programme against common diseases of poultry was maintained throughout the study period. Farmers’ response was very positive towards the experimental results. In the fisheries component, experiment on cage culture in open water, perennial and seasonal pond culture, dry fish and pickle were conducted/done. Among the experiments cage culture in open water proved to be a promising technology and fish pickle was highly appreciated in panel test. For the rural hydrology and mechanization component four studies were conducted. The physico-chemical properties of farm land and homestead soils were determined. Additional application of sulphur and zinc fertilizers were found not required. Both the surface and groundwater characteristics were studied. The maximum flood water depth was found around 3.0 m at farm land. Irrigation facilities developed by installing a shallow tubewell (STW) resulted higher crop production and motivated farmers to install four new STWs by their own capital. All the households (462) of Purbo Tethulia were intervened from the project. The interventions were crop, vegetable, livestock, poultry and fish farming. It was observed that as the number of enterprises increased in the farming systems, the income also increased. The evidence also showed that the training of the beneficiaries increased their knowledge and skill.J. Bangladesh Agril. Univ. 12(2): 325-336, December 2014
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Ramisetty-Mikler, PhD, MPH, Suhasini, Armin R. Mikler, PhD, Martin O’Neill, PhD, and Jared Komatz, MPH, CPH, GISS. "Conceptual framework and quantification of population vulnerability for effective emergency response planning." Journal of Emergency Management 13, no. 3 (May 1, 2015): 227. http://dx.doi.org/10.5055/jem.2015.0236.

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Objective: The study focused on the methodological advancement and analytical approach of using multilevel data to define population vulnerability and risk in bioemergency disaster planning.Methods: The authors considered two types of vulnerabilities, transportation vulnerability that stems from lack of access to transportation (public or private) and communication vulnerability that stems from unavailability of needed language-specific communication resources. The authors used Transit Authority general transit feed data and the American Community Survey 5-year estimate data (2006-2010 summary files) to quantify these vulnerabilities. These data were integrated with Topologically Integrated Geographic Encoding and Referencing (TIGER) data for spatial analysis. A response plan was generated for Tarrant County, TX, and deemed feasible before consideration of vulnerable populations.Results: The results point to the importance of integrating geographical and population demographic features that represent potential barriers to the optimum distribution and utilization of resources into the analysis of response plans. An examination of transportation vulnerabilities indicate that, of those vulnerable in Tarrant County, nearly 23,000 individuals will be at-risk of not being able to reach the Point Of Dispensing (POD) to obtain services as they are beyond walking distance to the POD and lack access to transportation resources. The analysis of language vulnerability depicts an uneven distribution resulting in nonuniform demand at PODs for translation resources. There are more than 11,000 at-risk households in the South East region of Tarrant County alone that are truly in need of translation services.Conclusions: The authors demonstrated that multiple vulnerabilities at each POD can be quantified by aggregating the vulnerability at the available granularity (ie, all blocks or block groups) in a given service area. The quantification of vulnerability at each service area facilitates a POD-based at-risk analysis for the response plan. Disparities stemming from social, behavioral, cultural, economic, and health characteristics of diverse subpopulations could induce the need for additional targeted resources to support emergency response efforts.
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Tarei, Pradeep Kumar, Jitesh J. Thakkar, and Barnali Nag. "Benchmarking the relationship between supply chain risk mitigation strategies and practices: an integrated approach." Benchmarking: An International Journal 27, no. 5 (April 28, 2020): 1683–715. http://dx.doi.org/10.1108/bij-12-2019-0523.

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PurposeThe purpose of this paper is to explore the relationship between various risk management strategies and risk management practices in order to design and hence enact a suitable supply chain risk mitigation (RM) plan. Additionally, this study proposes a hierarchical framework to explain the mutual relationship between supply chain risk management (SCRM) practices and strategies by considering the underlying dimensions between them.Design/methodology/approachAn amalgamation of systematic literature analysis (SLA) and correspondence analysis (CA) has been performed to develop the conceptual framework. A real-life case of Indian petroleum supply chain has been considered to validate and explain the proposed model.FindingsThe results reveal three underlying dimensions, which associate the relationship between RM strategies. They are, risk adaptability of SC managers with a variance of 34.71%, followed by resource capability of the firm and the degree of sophistication of RM practices, with variances of 27.72 and 20.35%, respectively. Risk avoidance strategy comprises of practices such as supplier evaluation, technology adaption, flexible process and information security. On the other extreme, the risk sharing strategy includes revenue sharing, insurance, collaboration, public–private partnership and so on as essential RM practices.Research limitations/implicationsThe study not only focuses on the distinction between RM strategies and practices, which were used interchangeably in the prior literature, but also provides an association between the same by exploring the underlying dimensions. These underlying dimensions perform a crucial role while developing a risk management plan. This study explicitly focuses on the RM step of SCRM process. Pre and post risk mitigation phases of SCRM process, such as risk assessment and risk monitoring, are beyond the scope of the current research.Originality/valueThe paper develops a framework for mapping various RM strategies with their corresponding practices by considering the Indian petroleum supply chain as a viable case study. Various theoretical and business implications are derived in the context of the developing country.
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Isnaini, Mohammad Mi’radj, and Keiichi Shirase. "Review of Computer-Aided Process Planning Systems for Machining Operation – Future Development of a Computer-Aided Process Planning System –." International Journal of Automation Technology 8, no. 3 (May 5, 2014): 317–32. http://dx.doi.org/10.20965/ijat.2014.p0317.

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The need to integrate the design and machining stages has become an important issue since the introduction of the Computer-Integrated Manufacturing (CIM) concept. The development of the Computer-Aided Process Planning (CAPP) system has been recognized to have made a significant contribution toward fulfilling the requirement for an integrated planning system. This paper reviews the development of the CAPP system, particularly for the metal removal process. Previous reviews on CAPP are gathered and discussed to show the evolution stage of CAPP in general. Main research topics that contribute to the CAPP system development are shown. Six elements of the CAPP system are identified as the most important tasks in generating a process plan. These elements consist of: (1) model convention, (2) manufacturing operation selection, (3) manufacturing resource selection, (4) cutting condition selection, (5) tool path selection, and (6) setup selection. Six elements for the development of CAPP that contribute to process planning for metal removal process are discussed. The evolution stages of each element easily show the involvement of several tools in order to support the corresponding element. For further guidance, the methods of comprehending the involvement of manufacturing information in CAPP are discussed. Knowledge structuring and logic reasoning are the main organizational steps that can be used to describe the CAPP data architecture of manufacturing information. Further, the examples of full-scale CAPP in actualizing machining process planning are presented. Finally, key technologies for future development of CAPP are discussed.
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Merino del Río, R., M. Linares Gómez del Pulgar, and A. Tejedor Cabrera. "METHODOLOGICAL APPROACH TO INTEGRATE A GIS-BASED ANALYSIS INTO THE DESIGN OF CULTURAL ITINERARIES IN THE FRAMEWORK OF AN INTEGRATED PLAN FOR TERRITORY." ISPRS - International Archives of the Photogrammetry, Remote Sensing and Spatial Information Sciences XLIV-M-1-2020 (July 24, 2020): 271–78. http://dx.doi.org/10.5194/isprs-archives-xliv-m-1-2020-271-2020.

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Abstract. The historical concept of heritage, which mostly comprised physical architectural and archaeological evidences, has been extended to the surrounding landscape in the last decades. This tendency has been corroborated by a series of International Charters and the European Landscape Convention of 2000. Landscape, understood as the perceptible part of territory that supports the contingencies throughout history, is subject to protection, management and planning. However, some inherent aspects of territory have been disregarded because of the frantic enlargement of cities throughout the twentieth century at the expense of the rural areas. Territorial heritage, which is fundamental to cultural landscape formation, is currently considered a strategic resource able to guarantee self-sustaining development of peri-urban and rural zones. In many cases, urban investments and planning associated to the enlargement of the metropolitan areas have overlooked this fruitful territorial heritage, making cultural landscapes illegible. This is the case of the cultural landscapes in the buffer zones of the archaeological sites, which are part of a diffuse territorial heritage that requires to be assessed by means of some innovative approaches. Cultural itineraries are presented as a landscape architecture strategy for valorising territorial heritage. Well-targeted design of these itineraries can also contribute to restore the dynamics of cultural landscape formation and to regenerate peri-urban and rural areas by promoting its self-sustaining development. To that end, the conceptualisation and hypotheses posed by some authors of the Società dei Territorialisti/e are used as references. A work methodology to design cultural itineraries is suggested in line with the presumptions of an integrated plan for territory aimed to valorise the territorial heritage. This paper explores in which way a GIS-based analysis can be integrated into the design of a landscape architecture like the cultural itinerary.
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Wallerstein, Robert, Andrea Jelks, and Matthew J. Garabedian. "A New Model for Providing Cell-Free DNA and Risk Assessment for Chromosome Abnormalities in a Public Hospital Setting." Journal of Pregnancy 2014 (2014): 1–7. http://dx.doi.org/10.1155/2014/962720.

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Objective. Cell-free DNA (cfDNA) offers highly accurate noninvasive screening for Down syndrome. Incorporating it into routine care is complicated. We present our experience implementing a novel program for cfDNA screening, emphasizing patient education, genetic counseling, and resource management.Study Design. Beginning in January 2013, we initiated a new patient care model in which high-risk patients for aneuploidy received genetic counseling at 12 weeks of gestation. Patients were presented with four pathways for aneuploidy risk assessment and diagnosis: (1) cfDNA; (2) integrated screening; (3) direct-to-invasive testing (chorionic villus sampling or amniocentesis); or (4) no first trimester diagnostic testing/screening. Patients underwent follow-up genetic counseling and detailed ultrasound at 18–20 weeks to review first trimester testing and finalize decision for amniocentesis.Results. Counseling and second trimester detailed ultrasound were provided to 163 women. Most selected cfDNA screening (69%) over integrated screening (0.6%), direct-to-invasive testing (14.1%), or no screening (16.6%). Amniocentesis rates decreased following implementation of cfDNA screening (19.0% versus 13.0%,P<0.05).Conclusion. When counseled about screening options, women often chose cfDNA over integrated screening. This program is a model for patient-directed, efficient delivery of a newly available high-level technology in a public health setting. Genetic counseling is an integral part of patient education and determination of plan of care.
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Rashid, Nazia, Yi-Lin Wu, Yun Su, and Elizabeth Fong. "Burden Of Illness and Treatment Patterns For Patients With Multiple Myeloma In a US Integrated Healthcare System." Blood 122, no. 21 (November 15, 2013): 3228. http://dx.doi.org/10.1182/blood.v122.21.3228.3228.

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Abstract Introduction Multiple myeloma (MM) is the 2nd most common hematological malignancy. The objective of this study was to evaluate the burden of illness within the MM population and describe the patient characteristics, healthcare resource utilization, and 1st and 2nd line treatment patterns for patients diagnosed with MM in Kaiser Permanente Southern California (KPSC) region and ineligible for stem cell transplant (SCT) in an integrated system in the US. Methods A retrospective database analysis was conducted using data between 1/1/2006 to 12/31/2010 from KPSC to identify incident MM patients. Patients ≥18 years, with a diagnosis of incident MM from the KPSC cancer registry and with no record of SCT, and who had continuous membership and drug benefit eligibility 6 months prior to the index date were selected into our study cohort. Index date was defined as the start date of the 1st line systemic agent. Baseline characteristics, such as comorbidities, related conditions, concomitant therapies, and healthcare resource use were captured within 6 months prior to and post the index date for all patients. Patients were followed until death, disenrollment from the health plan, or study end date (12/31/2011), whichever came first. Lab data, diagnosis codes, and chart review were used to establish disease progression using the IMWG criteria. A multivariate stepwise logistic regression model was used to evaluate characteristics such as age, gender, race, comorbid conditions, and concomitant medications associated with 1st and 2nd line treatment choices. Lines of therapies were identified based on disease progression and change of regimen. Regimens were categorized into bortezomib containing regimens (BCR), lenalidomide containing regimens (LCR), thalidomide containing regimens (TCR), novel combination regimens (NCR) containing at least one proteasome inhibitor (PI), eg, bortezomib and one immunomodulatory drug (IMiD) (eg, thalidomide or lenalidomide), and other regimens containing no novel agent (OTHs). Results 920 patients were identified with incident MM in the KPSC region during our study time period. 599 patients meeting the inclusion criteria were followed for a mean of 29 months (2.41 yrs); 53% were males; the mean age at index date was 70 years old. Majority of the patients had chronic kidney disease (CKD) stage 2 or 3 (34% and 29%, respectively). The most common comorbidities were anemia (61.8%), some form of fracture (17.4%), bone metastasis (5.18%), hypercalcemia (8.68%), pneumonia (15%), diabetes (26%), and chronic pulmonary disease (29%) in the prior 6 months. First-line therapy in the 599 patients included BCR (n=80, 13.3%), LCR (n=97, 16.1%), TCR (n=232, 39%), NCR (n=4, 0.67%), or other (n=186, 31%). A total of 238 patients (40%) continued to 2nd line therapy: 57 patients were prescribed with BCR, 105 patients with LCR, 36 with TCR, 9 patients with NCR, and 31 with OTH. Overall use of TCR declined from 46% in 2006 to 11% in 2010, while the use of BCR and LCR increased from 17% and 8%, respectively, in 2006 to 37% and 30%, respectively, in 2010. Patients who initiated BCR at 1st line were more likely to be on bisphosphonate therapies (OR: 5.12, CI 2.26-11.6) for deep vein thrombosis or pulmonary embolism (OR: 2.81, CI 1.15-6.89) also had more outpatient visits versus patients on other therapies (OR: 1.05, CI 1.01-1.09). Patients who initiated NCR were less likely to have anemia versus patients initiating other therapies (OR: 0.56, CI 0.39-0.82). Patients who initiated TCR were less likely to have prior fractures (OR: 0.54, CI 0.34-0.88) and chronic pulmonary diseases (OR: 0.44, CI 0.28-0.71) versus patients initiating other therapies as 1st line. Patients initiating LCR as 1st line therapy were more likely to be anemic and have bone metastases, and less likely to have renal disease or MM specific hospitalizations versus other 1st line therapies. Patients initiating BCR as 2nd line therapy were generally younger (age <65 yrs; OR: 0.97, CI 0.95-1.00). Conclusions The burden of illness for patients newly diagnosed with MM is high. Our study found that factors such as age and comorbidities, such as anemia, fractures, bone metastases, chronic pulmonary disease, and renal disease might be associated with the use of different 1st and 2nd line therapies. Further investigation of these factors and their impact on treatment outcome and resource utilization could help optimize management of MM patients. Disclosures: Rashid: Kaiser Permanente Southern California: Employment. Wu:Kaiser Permanente Southern California: Employment. Su:BMS: Employment, Equity Ownership. Fong:Kaiser Permanente Southern California: Employment.
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Steyn, Nelia P., and Xikombiso G. Mbhenyane. "Workforce development in South Africa with a focus on public health nutrition." Public Health Nutrition 11, no. 8 (August 2008): 792–800. http://dx.doi.org/10.1017/s1368980008001961.

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AbstractObjectivesThe present paper aims to review and report on the current and predicted future public health nutrition workforce in South Africa. Additionally, it examines ways in which the Department of Health (DOH) is striving to meet the increasing burden of nutrition-related diseases in South Africa.MethodsThe primary sources of data used for the review were reports from the Census office, South African health reviews, mortality and morbidity statistics, and documents from the Health Professions Council of South Africa.ResultsThere are fewer than 2000 registered dietitians in South Africa and fewer than 600 of them work in the public health sector. Furthermore, professional nurses – who are the backbone of the primary health-care system and deliver the rudiments of basic nutritional care – are not being trained in sufficient numbers to meet population growth; in 2004 there was only one nurse per 4000 persons. This situation is aggravated by the growing burden of conditions associated with both overnutrition and undernutrition, as well as the enormous demands of the HIV/AIDS epidemic. The DOH is striving to meet these increasing needs by means of the Integrated Nutrition Programme as well as a National Human Resources Plan which includes numerous strategies to improve the quantity and quality of health professionals’ training, including dietitians and nutritionists. This plan includes the objective of increasing the public health nutrition workforce to more than 250 newly trained dietitians and nutritionists per annum by 2010.
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Syafarudi, Dadang. "KAJIAN EVALUASI KINERJA INVESTASI KABUPATEN GARUT." Eqien: Jurnal Ekonomi dan Bisnis 6, no. 2 (September 9, 2019): 110–18. http://dx.doi.org/10.34308/eqien.v6i2.100.

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Based on the National Spatial Planning and Spatial Planning of West Java Province in 2010, the role of Garut Regency is related to the spatial structure policy of the West Java region which sets two regional categories, namely the main area and the supporting area, in this case the Garut Regency as the central supporting region support economic growth in the main region together with the regions of Sukabumi and Cianjur Regencies. In the Provincial Spatial Planning plan that shows the dominant allocation of economic activity, Garut Regency is allocated for dry land agriculture activities, production forests, plantations, and fisheries. Investment Development Policy in Garut Regency is stipulated in the Regional Regulation of Garut Regency Number 14 of 2012 Regarding Investment Chapter III Direction of Investment Policy in the Region. The purpose of the Garut Regency Regional Investment Performance Evaluation Study is to provide convenience for the Regional Government in this case the Integrated Investment and Licensing Office and various other parties such as the general public, prospective investors in determining the choice of various alternative investment opportunities. the methodology to be carried out in the Garut Regency Investment Performance Evaluation Study, carried out several analyzes. These analyzes can be seen from the potential conditions (natural resources, human resources), supporting infrastructure, policies and economic conditions in the area around the Garut Regency Investment Area.
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Ye, Gan (Grace), and Sally Bryant. "Streamlined request services: the integration of ILS, ILL and Consortia borrowing systems." OCLC Systems & Services: International digital library perspectives 31, no. 3 (August 10, 2015): 144–52. http://dx.doi.org/10.1108/oclc-12-2014-0036.

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Purpose – This paper aims to study streamlined request services based on discrete systems’ integration in an academic library. The integration of discrete systems allows patrons to use the library’s online public access catalog to send requests and have the requests automatically transferred to the local integrated library system (ILS), the consortia borrowing system, and an interlibrary loan system. The integration of discrete systems also allows adding the consortia service without adding any library staff. Design/methodology/approach – The authors introduce library holdings behind the search interface, the discrete library systems and the authentication system. The paper illustrates how patron requests can be automatically transferred to discrete library systems. Findings – Resource sharing has become a hot topic in the library world where libraries are facing budget cuts, space limits and employee shortage challenges. Systems’ integration will help libraries to add new services without adding staff. Practical implications – The consortia borrowing system can be seamlessly integrated into discrete library systems and a campus authentication system. Pepperdine University’s experience can serve as an example for libraries which have a plan to implement consortia borrowing systems or want to streamline their workflows. Originality/value – This paper takes a fresh look at the traditional request services using cloud-based systems.
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Breuer, Erica, Prasansa Subba, Nagendra Luitel, Mark Jordans, Mary De Silva, Bruno Marchal, and Crick Lund. "Using qualitative comparative analysis and theory of change to unravel the effects of a mental health intervention on service utilisation in Nepal." BMJ Global Health 3, no. 6 (December 2018): e001023. http://dx.doi.org/10.1136/bmjgh-2018-001023.

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BackgroundThe integration of mental health services into primary care is essential to improve the coverage of mental health services in low resource settings, but the evaluation of this remains challenging. We used a programme’s Theory of Change (ToC) as a conceptual framework to determine what combination(s) of conditions at facility and community level influenced the mental health service utilisation as a result of a district mental healthcare plan (MHCP) implemented in Chitwan, Nepal. In addition, we show how qualitative comparative analysis can be used to provide an integrated analysis of data from a ToC.MethodsWe conducted a longitudinal case study of 10 health facilities where the MHCP was implemented. We collected data from all facilities at baseline (October to December 2013) and quarterly following the implementation of the intervention (March 2014 to November 2016). The data were analysed using pooled qualitative comparative analysis in fsQCA V.2.5.ResultsThe following conditions were necessary for high mental health service utilisation: presence of basic and advanced psychosocial care, evidence-based identification and treatment guidelines (WHO mhGAP), referral to tertiary services and the presence of trained female community health volunteers . Two additional combinations of conditions were also identified as sufficient for a high mental health service utilisation: high medication supply, trained facility staff and either the use of a community informant detection tool or having a larger proportion of the community attend community awareness activities.ConclusionsBoth supply-side interventions (formalised approaches to health worker detection and treatment, training of health workers, supervision) and demand-side interventions (community awareness and case finding) are important to integrate mental health in primary care. ToC can be used to provide an integrated analysis of data from a ToC, therefore helping to shed light on the black box of complex multilevel interventions.
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Gunawardana, Indika, Kees Leendertse, and Wibisono Handoko. "Monitoring outcomes and impacts of capacity development in the water sector: a Cap-Net UNDP experience." Water Policy 15, S2 (November 1, 2013): 226–41. http://dx.doi.org/10.2166/wp.2013.121.

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Cap-Net UNDP is an international capacity development network for integrated water resources management (IWRM). Cap-Net's approach of working through regional and country networks is an effective method of drawing together various experts from different disciplines, fostering local ownership for capacity development and scaling-up implementation of IWRM. This paper discusses the lessons drawn from outcome monitoring of Cap-Net capacity development courses for 2 consecutive years 2010–12. Cap-Net follows the Monitoring, Evaluation and Learning Plan that it developed and this helps Cap-Net to learn about progress towards its objectives. It also allows for corrective measures to the on-going process in capacity development program delivery. Lessons from the outcome monitoring exercises provided guidance for revision of monitoring approaches in order to capture the outcomes and impacts and to contribute to the overall goal of Cap-Net. It was realized that interest and involvement of partner networks, continuous follow-up of the courses and standardized processes are important for successful monitoring.
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Bhattacharyya, Som Sekhar. "International business strategy: development of an integrated framework and typology." Review of International Business and Strategy 30, no. 3 (May 7, 2020): 345–73. http://dx.doi.org/10.1108/ribs-10-2019-0138.

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Purpose The purpose of this study is international business strategy (IBS) has evolved into a complex and vast domain of study. Given this fact, the author first proposed a set of screens that a firm’s IBS manager was required to assess before venturing into a foreign country. Then the author developed an integrated IBS framework to secure a holistic view regarding IBS. Finally, the author proposed a typology to classify IBS archetypes. Design/methodology/approach The author undertook a systematic and integrated literature review of IBS literature. The literature review was carried out with a conceptual perspective in mind. Incremental and argumentative logic was applied to develop the integrated IBS framework from a wide domain of literature. Furthermore, the typology on IBS initiatives was also developed based upon a classification scheme developed in the framework. Findings The author developed the integrated conceptual framework based upon six building blocks which were conceptual elements. The framework consisted of the antecedent variable as internationally deployable organizational resources and capabilities (IDORC), the mediating variables as internationally implementable organizational process (IIOP), internationally executable practices and activities (IEPA) and international market product service offerings (IMPSO). The moderating variable was international initiatives management direction and control (IIMDC), while the dependent variable was international market performance assessment (IMPA). Thus, IDORC, IIOP, IEPA, IMPSA, IIMDC and IMPA were the building blocks of IBS framework. There were 12 types of IBS typologies based upon the dominant role played by the home and host countries in the six building block elements of IBS mentioned. The 12 typologies were domestic reproduction (DR), foreign country centric offerings (FCCO), international offerings perspective (IOP), foreign country-driven activities (FCDA), international-driven activities (IDA), foreign country-driven process (FCDP), international-driven process (IDP), foreign country initiatives domestically controlled (FCIDC), international initiatives domestically controlled (IIDC), international initiatives home-dominant foreign dyad controlled (IIHDFDC), international independent initiative (III) and international coordinated network approach (ICNA). Research limitations/implications In this study, an integrated framework on IBS was developed. In the theoretical framework, antecedent (DORC), mediating (IIOP, IEPA and IMPSA), moderating (IIMDC) and dependent variables (IMPA) have been incorporated. This was the first theoretical contribution of this paper toward IBS theorization. Second contribution of this paper was toward typology development regarding IBS initiatives archetypes. The 12 typologies were DR, FCCO, IOP, FCDA, IDA, FCDP, IDP, FCIDC, IIDC, IHDFDC, III and ICNA. The IBS typology is based upon the six constituent concepts developed from literature. Practical implications Managers who are responsible for the planning and execution of IBS initiatives could from the integrated IBS framework comprehend what would be the steps required to plan and execute an IBS strategy in its entirety for success in foreign markets. Furthermore, managers could understand the various mediation and moderation roles regarding the IBS factors present in any firm internationalization effort. This would help managers not only to amplify the mediating effects but also to tweak the efforts of moderation so as to arrive at better internationalization performance. The section on typology on IBS initiatives would help managers to secure a better fit for the IBS initiative of the firm. The typology would anchor managerial perspectives regarding how the home country firm organizational contributions on resources and capabilities, processes, practice activities and products and services need to be offered in foreign countries. Originality/value To the best of author’s knowledge, this is one of the first frameworks regarding an integrated perspective on IBS and a typology on IBS based upon a set of antecedent (resources and capabilities), mediation (process, activities and market offerings), moderation (management control) and dependent (performance) variables building on firm resource-based view perspectives.
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Temurçin, Kadir, and Gizem Uluşar. "Analysis of Spatial Development in and Around the City of Isparta through Remote Sensing and Geographic Information Systems." Studies of the Industrial Geography Commission of the Polish Geographical Society 22 (June 1, 2013): 120–32. http://dx.doi.org/10.24917/20801653.22.9.

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Remote Sensing is a method of examination used in the study of resources on earth without any physical contact. It is a method by which the characteristics of the land below are recorded from space and sky. Determining the characteristics of natural and cultural resources of earth, sustainable exploitation of these resources in the most effective ways and continuous monitoring of the changes in these resources are fundamental to being a developed country. For a sustainable land use and urbanization, data about the unstable natural environment must be collected and monitored at regular intervals, and in order to do these, Remote Sensing (RS) and Geographical Information Systems (GIS) are employed. Images obtained through RS method can be analyzed for the accurate use of the data available. This study seeks to determine the spatial development in and around the city of Isparta through digital imaging processing techniques on different satellite images which belong to different years. Images from satellites ASTER and LANDSAT; information on the quarters in Isparta and the city plan and ERDAS IMAGINE 9.1 program were used in the study. The spatial development of the city of Isparta was studied on the basis of the satellite images obtained in the years 1987, 2000 and 2010 and this study was integrated into GIS. Having analyzed how much change occurred and which way it trended, important information was collected which will be used as source for future studies to be carried out on Isparta. It was observed that while residential areas increased, amount of forested land, and agricultural areas decreased during the periods studied.
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Moeinedini, Mina, Sadigh Raissi, and Kaveh Khalili-Damghani. "A fuzzy fault tree analysis based risk assessment approach for enterprise resource planning projects." International Journal of Quality & Reliability Management 35, no. 5 (May 8, 2018): 1115–41. http://dx.doi.org/10.1108/ijqrm-03-2016-0037.

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Purpose Enterprise resource planning (ERP) is assumed as a commonly used solution in order to provide an integrated view of core business processes, including product planning, manufacturing cost, delivery, marketing, sales, inventory management, shipping and payment. Selection and implementation of a suitable ERP solution are not assumed a trivial project because of the challenging nature of it, high costs, long-duration of installation and customization, as well as lack of successful benchmarking experiences. During the ERP projects, several risk factors threat the successful implementation of the project. These risk factors usually refer to different phases of the ERP projects including purchasing, pilot implementation, teaching, install, synchronizing, and movement from old systems toward new ones, initiation and utilization. These risk factors have dominant effects on each other. The purpose of this paper is to explore the hybrid reliability-based method is proposed to assess the risk factors of ERP solutions. Design/methodology/approach In this regard, the most important risk factors of ERP solutions are first determined. Then, the interactive relations of these factors are recognized using a graph based method, called interpretive structural modeling. The resultant network of relations between these factors initiates a new viewpoint toward the cause and effect relations among risk factors. Afterwards, a fuzzy fault tree analysis is proposed to calculate Failure Fuzzy Possibility (FFP) for the basic events of the fault tree leading to a quantitative evaluation of risk factors. Findings The whole proposed method is applied in a well-known Iranian foodservice distributor as a case study. The most impressive risk factors are identified, classified and prioritized. Moreover, the cause and effect diagram between the risk factors are identified. So, the ERP leader can plan a low-risk project and increase the chance of success. Originality/value According to the authors’ best knowledge, such approach was not reported before in the literature of ERP risk assessments.
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Lenahan, Jennifer L., Giovanni Volpicelli, Alessandro Lamorte, Fyezah Jehan, Quique Bassat, and Amy Sarah Ginsburg. "Multicentre pilot study evaluation of lung ultrasound for the management of paediatric pneumonia in low-resource settings: a study protocol." BMJ Open Respiratory Research 5, no. 1 (December 2018): e000340. http://dx.doi.org/10.1136/bmjresp-2018-000340.

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IntroductionPneumonia is the leading infectious cause of death among children under 5 years of age worldwide. However, pneumonia is challenging to diagnose. Lung ultrasound (LUS) is a promising diagnostic technology. Further evidence is needed to better understand the role of LUS as a tool for the diagnosis of childhood pneumonia in low-resource settings.Methods and analysisThis study aims to pilot LUS in Mozambique and Pakistan and to generate evidence regarding the use of LUS as a diagnostic tool for childhood pneumonia. Children with cough <14 days with chest indrawing (n=230) and without chest indrawing (n=40) are enrolled. World Health Organization Integrated Management of Childhood Illness assessment is performed at enrolment, along with a chest radiograph and LUS examination. Respiratory and blood specimens are collected for viral and bacterial testing and biomarker assessment. Enrolled children are followed for 14 days (in person) and 30 days (phone call) post-enrolment with LUS examinations performed on Days 2, 6 and 14. Qualitative and quantitative data are also collected to assess feasibility, usability and acceptability of LUS among healthcare providers and caregivers. The primary outcome is LUS findings at enrolment with secondary outcomes including patient outcomes, repeat LUS findings, viral and bacterial test results, and patient status after 14 and 30 days of follow-up.Ethics and disseminationThis trial was approved by the Western Institutional Review Board as well as local ethics review committees at each site. We plan to disseminate study results in peer-reviewed journals and international conferences.Trial registration numberNCT03187067.
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Yadav, Pramod Kumar, Subhajit Saha, Ashish Kumar Mishra, Mohnish Kapoor, Manendra Kaneria, Manish Kaneria, Sabyasachi Dasgupta, and Uttam Babu Shrestha. "Yartsagunbu: transforming people's livelihoods in the Western Himalaya." Oryx 53, no. 2 (December 18, 2018): 247–55. http://dx.doi.org/10.1017/s0030605318000674.

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AbstractRural communities in developing countries extract provisioning ecosystem services from the natural environment to meet their subsistence needs, generate cash income and create employment opportunities. Caterpillar fungus Ophiocordyceps sinensis, known as yartsagunbu in Tibet and in the literature on this subject, is a medicinal resource extracted by the mountain communities of the Himalaya. Studies of the contribution of the fungus to local livelihoods in the Indian Himalaya are scarce. We investigated trade and harvest and analysed the contribution of caterpillar fungus to household economies in 32 villages in Dhauliganga Valley, Nanda Devi Biosphere Reserve, in the Western Himalaya. Caterpillar fungus harvesting has become an integral part of local livelihoods in the study area, and on average contributes c. 74% of household cash income. The majority of harvesters perceived that harvesting had become more difficult during 2010–2015 as a result of competition and a decline in abundance of the species. The mean annual per capita harvest declined by 54 pieces during 2011–2015. Increasing harvesting and trade, coupled with the dependency of local communities on the fungus, may result in greater extraction of the resource for short-term economic benefits, and could eventually lead to depletion and ecological damage. Harvesting of the fungus has already created environmental, legal and social challenges, although it has become a lucrative livelihood opportunity. The ongoing decline of the fungus threatens local livelihoods. Good governance and livelihood security should be integrated with biodiversity conservation when devising government policies and plans for sustainable management of the caterpillar fungus.
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Shiau, Yan Chyuan, I. Ta Lu, Chen I. Tsai, and Chih Ying Lee. "Research on the Green Building Revolution - Solar Energy Research and Development in Taiwan." Applied Mechanics and Materials 214 (November 2012): 505–9. http://dx.doi.org/10.4028/www.scientific.net/amm.214.505.

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Taiwan is located in the West Pacific Earthquake Zone. Fulda Nuclear power plant disaster caused by March 11, 2011 earthquake not only impact Japan, all countries around this area have been forced to face the radiation threaten. This event strengthens advanced organizations to search the green energy. Solar energy and wind power that utilizes the nature to generate electricity energy are widely accepted around the world. In April, 2011, Germany has passed the waste nuclear provision. The BIPV (the Building Integrated Photo Voltaic) has not only the economic benefits of energy generation also reduce the carbon emissions and building initial cost. The Renewable Energy Sources Regulations has been established in June 12, 2010 in Taiwan that proclaimed the green energy generation has been started. The development of Photovoltaic was discussed in this study. The Government's efforts to construct the wind power energy were analyzed to explore the research potential of green energy development in Taiwan. The development goals and vision were explored for Taiwan's energy resource in this article. The power conversion efficiency of commonly used solar cells was investigated. Through the investment in key bottleneck and innovative technologies, the government provides incentives to increase domestic demand and consumption. Focusing on the international market to enhance the scale can construct a perfect green value chain in Taiwan.
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Antwi, Sarpong Hammond, Suzanne Linnane, David Getty, and Alec Rolston. "River Basin Management Planning in the Republic of Ireland: Past, Present and the Future." Water 13, no. 15 (July 29, 2021): 2074. http://dx.doi.org/10.3390/w13152074.

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The River Basin Management Plan (RBMP) is an essential component of the European Union Water Framework Directive that details an integrated approach required to protect, improve and sustainably manage water resources. RBMP were intended to be produced for the periods 2009–2015, 2016–2021 and 2022–2027. However, after two years of delays in the development processes, the Republic of Ireland produced its first RBMP in 2010. The second RBMP cycle was also implemented in 2018 and is expected to run until the end of 2021 to give way to the third RBMP, whose consultation processes have been ongoing since December 2019. This paper contributes to the forthcoming RBMP by assessing stakeholders’ perspectives on the second RBMP through a desk-based review and by conducting interviews with nine institutions (14 interviewees). The qualitatively analysed interviews reveal a broad spectrum of actors associated with water management and governance in the Republic of Ireland through a three-tier governance structure that has been delivered (with amendment) through the first two RBMPs. Organisations such as the An Fóram Uisce|The Water Forum, the Environmental Protection Agency, the Local Authority Waters, and the Agricultural Sustainability Support and Advisory Programme have responsibilities designated in the RBMPs to deliver improved water quality, integrated catchment management, community engagement and awareness-raising. Trust has also been building up among these organisations and other agencies in the water sector. Despite these responsibilities and progress made, the interviews identified communication lapses, ineffective collaboration and coordination among stakeholders and late implementation to be hampering the successful delivery of the second RBMP, in addition to significant pressures acting on water bodies from agricultural activities and urban wastewater treatment. Towards the third RBMP, the paper concludes that optimised water sector finance, enhanced and well-resourced communications, and improved stakeholder collaboration are needed to foster effective and efficient water services delivery and quality. More so, given the cross-cutting impact of the Sustainable Development Goals on water resources and the interconnected relations among the goals, the paper further recommends the integration of the SDGs in the various plans of actions and a co-benefits approach to derive the triple benefits from biodiversity, climate change initiatives and water quality measures.
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Havaeji, Hossein, and Amir Albadvi. "Citizen feedback and executives." International Journal of Organization Theory & Behavior 22, no. 3 (September 9, 2019): 242–58. http://dx.doi.org/10.1108/ijotb-05-2018-0054.

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Purpose The purpose of this paper is to design a model in order that government hears citizen voices and welcomes people’s suggestions to improve its performance, it may be regarded as Management By People’s Suggestions. Design/methodology/approach After designing a conceptual model, collected data through the responses of 451 questionnaires from nine areas of Iran Territory Development Plan were analyzed using the structural equation model and an ANOVA. Findings The results indicate three directions are initiatives for the action of using citizens’ opinions to improve government performance. The directions are as follows: the direction of government strategies moving toward citizens’ needs; the direction of developing a seamless, integrated, coordinated, relationship between citizens and authorities; and the direction of centralizing citizens’ suggestions and criticisms. Practical implications This study suggests an approach using citizen feedback to improve government performance in Iran where it appears to be signs of a gap between people and government. Originality/value This paper reveals that, before any effort for citizen relationship management, investigations into effective directions which affect citizen–government relationship seems essential.
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Safari, Mohsen, and Fariborz Safari. "Renewable Energy Sources in Iran: Policy and Regulation." Journal of Politics and Law 10, no. 4 (August 30, 2017): 245. http://dx.doi.org/10.5539/jpl.v10n4p245.

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According to the Fifth Five Year Development Plan, in Iran, renewable resources, under the green horizon scenarios, must provide 5,000 MW of electricity. Among different types of renewable source of energy, there is no shortage of information in Iran, which is located near to zero line (earth’s equator), with about 300 clear sunny days in a year, about setting policies promoting solar energy. Taking into account the availability and benefits of solar energy for Iran, this paper has focused on solar energy.Recent statistics show that, if the current development plans proceed, the capacity of the installed renewable energy systems would reach 2.8GW by 2030. This requires more than 2800 million US dollar investment in 20 years, i.e., 2010 to 2030. Despite the advantages of using solar energy, such as reducing greenhouse gases, it is important to note that solar power is 2.5 to 5 times as expensive as electricity from existing conventional power sources, such as coal and other sources. In order to encourage people to use solar power, there is a need to change our laws and establish an integrated energy regulation, involving tax policy mechanisms to support the deployment of solar energy in Iran. As Iran is dependent upon its fossil fuels, the transition from fossil fuels to renewable, which is a worldwide goal to reduce GHG or CO2 emissions, requires the adoption of a comprehensive policy and integrated regulation nationwide, taking a multidisciplinary approach. This paper exemplifies and considers the 2005 Energy Policy Act and Investment Tax Credit (ICT) for residential energy property, illustrating how solar-energy-regulation could contribute to the sustained development of solar energy. The main purpose is to help the development of sustainable solar energy regulation in Iran.
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Alon, Ilan, Hua Wang, Jun Shen, and Wenxian Zhang. "Chinese state-owned enterprises go global." Journal of Business Strategy 35, no. 6 (November 17, 2014): 3–18. http://dx.doi.org/10.1108/jbs-12-2013-0118.

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Purpose – The aim of this research is to examine the Chinese outward direct investment (ODI) from the perspectives of the Chinese state-owned enterprises (SOEs), focusing on their perceptions and important factors in the decision-making process. More specifically, it aims to understand where and why Chinese SOEs are investing. Increasingly integrated into the global economy, China has already become one of the largest investment economies in the world. Design/methodology/approach – Conducted by the China Center at Rollins College in collaboration with the Kedge Business School and the China Executive Leadership Academy at Pudong, survey data are collected from 63 Chinese SOEs that reflect the structure of Chinese industry and the membership of the China Council for the Promotion of International trade. Findings – Chinese SOEs have aligned their business expansion plans with the national priority, and played a dominant role in the current internationalization drive. They will likely increase their overseas investment substantially in both short and medium terms; their key business efforts include resource extraction, trading, services and manufacturing. Whereas Chinese ODIs tend to focus on the emerging economies in Asia, Africa and Latin America, more investments begin to take place in various developed countries, and many Chinese SOEs plan to increase their ODI in the USA, regarded as the most important market for overseas investment. Originality/value – This research contributes to a better understanding on the growing ODIs by the Chinese SOEs since the launch of the “going global” policy.
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Kostoski, G., C. Albrecht, S. Trajanovski, and T. Wilke. "A freshwater biodiversity hotspot under pressure – assessing threats and identifying conservation needs for ancient Lake Ohrid." Biogeosciences Discussions 7, no. 4 (July 13, 2010): 5347–82. http://dx.doi.org/10.5194/bgd-7-5347-2010.

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Abstract. Freshwater habitats and species living in freshwater are generally more prone to extinction than terrestrial or marine ones. Immediate conservation measures for world-wide freshwater resources are thus of eminent importance. This is particularly true for so called ancient lakes. While these lakes are famous for being evolutionary theatres, often displaying an extraordinarily high degree of biodiversity and endemism, in many cases these biota are also experiencing extreme anthropogenic impact. Lake Ohrid, the European biodiversity hotspot, is a prime example for a lake with a magnitude of narrow range endemic taxa that are under increasing anthropogenic pressure. Unfortunately, evidence for a "creeping biodiversity crisis" has accumulated over the last decades, and major socio-political changes have gone along with human-mediated environmental changes. Based on field surveys, monitoring data, published records, and expert interviews, we aimed to (1) assess threats to Lake Ohrids' (endemic) biodiversity, (2) summarize existing conservation activities and strategies, and (3) outline future conservation needs for Lake Ohrid. We compiled threats to both specific taxa (and in cases to particular species) as well as to the lake ecosystems itself. Major conservation concerns identified for Lake Ohrid are: (1) watershed impacts, (2) agriculture and forestry, (3) tourism and population growth, (4) non-indigenous species, (5) habitat alteration or loss, (6) unsustainable exploitation of fisheries, and (7) global climate change. Of the 11 IUCN (International Union for Conservation of Nature and Natural Resources) threat classes scored, seven have moderate and three severe impacts. These latter threat classes are energy production and mining, biological resource use, and pollution. We review and discuss institutional responsibilities, environmental monitoring and ecosystem management, existing parks and reserves, biodiversity and species measures, international conservation activities, and ongoing research on conservation and raising of public awareness. Following this summary, we evaluate the status quo and future of Lake Ohrid and its biota. Given the number of identified threats, it is clear that only concerted international action can stop or at least slow down further degradation of Lake Ohrid and the creeping biodiversity crisis already evident. A comprehensive conservation strategy should include measures that result in an immediate reduction of pollution, particularly with phosphorous, in order to slow down the ongoing eutrophication process. The existing watershed management should become more effective. Implementation and particularly with a view to the enforcement of national laws should be enhanced. Increased research on the lakes' limnology, biodiversity, and conservation management practices are necessary. The latter research should identify conservation priorities. Public awareness should be enhanced. Facing these parallel needs to protect the unique biodiversity of Lake Ohrid, we suggest urging (a) implementation and enforcement of the General Management Plan that would ensure long-term integrated and sustainable use of the lake and its watershed, (b) scientific studies on ecology, biodiversity and effects of human impact, (c) the establishment of Core Conservation areas (CCA), including underwater reserves, and (d) Coastal Zone Management (CZM) areas that would constitute buffer zones for the CCA around the lake. These activities should, among others, ultimately lead to a trans-boundary major conservation area of the Ohrid-Prespa region that would allow long-term integration of both humans and nature.
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Hickman, Louis, and Mesut Akdere. "Effective leadership development in information technology: building transformational and emergent leaders." Industrial and Commercial Training 50, no. 1 (January 2, 2018): 1–9. http://dx.doi.org/10.1108/ict-06-2017-0039.

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Purpose Effective leadership has been the focus of much research in recent years, but leadership development is still understudied. Information technology (IT) continues to grow in importance due to the industries IT creates, the industries IT disrupts, and the potential IT holds for all companies. Because leadership is highly context bound, the purpose of this paper is to examine leadership development in the IT context to take first steps toward establishing best practices for IT leadership development. Design/methodology/approach This conceptual paper reviews leadership in general before performing an integrated literature review of leadership as it has been studied in the IT context. Then the paper presents three propositions regarding effective IT leadership development. Findings IT leadership development should involve formal mentoring, robust feedback that is integrated into the development plan, and should be treated as a core process for long-term success. Emergent and transformational leadership are important for IT. Practical implications It behooves IT departments to implement the leadership development programs proposed here because leadership has been identified as one of the most difficult skills to find in IT employees. The findings can inform training professionals exploring ways to improve the leadership capacity and leadership development in the IT units of their organizations. Originality/value The paper’s literature review uncovered no quantitative peer-reviewed research on leadership development in the IT context, suggesting an area of need for further empirical studies. Researchers and practitioners alike will benefit from a greater understanding of leadership development in IT.
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Henriksen, Hans Jørgen, Per Rasmussen, John Bromley, Africa De la Hera Portillo, and M. Ramón Llamas. "Bayesian belief networks as a tool for participatory integrated assessment and adaptive groundwater management: the Upper Guadiana Basin, Spain." Geological Survey of Denmark and Greenland (GEUS) Bulletin 13 (October 12, 2007): 69–72. http://dx.doi.org/10.34194/geusb.v13.4981.

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Las Tablas de Daimiel, together with other wetlands in La Mancha, Spain, situated in the Upper Guadiana Basin (Fig. 1), has been catalogued as a Biosphere Reserve Area since 1981 as part of the UNESCO Man and the Biosphere programme. Between the mid-1970s and late 1980s, over 150 000 hectares of new irrigation areas were established, mainly as a result of private initiative. The average recharge rate of groundwater in the western La Mancha aquifer in the Upper Guadiana Basin is estimated to be between 200 and 500 million m3 per year, in dry and wet years respectively. Rec harge also depends on the depth of the water table (Martínez-Cortina & Cruces 2003). Abstraction reached 600 million m3 per year by the end of the 1980s. Up to this time a total of 3000–5000 million m3 of the Upper Gua- diana Basin aquifer’s water reserves was withdrawn (Bromley et al. 2000; Lopéz-Geta et al. 2006). The intensive use of groundwater has been a main factor for the improvement of the social and economic situation in this region, with a population of about half a million people, and where the agricultural sector is very important (Llamas et al. 2006). Water-table drawdown due to the intensive abstraction of groundwater for irrigation has caused severe negative impacts on wetlands, streams and rivers, and has resulted in a lowering of groundwater levels by up to 50 m. The main conflicts in the area are between farmers and conservationists, between central, regional and local government water agencies, and between small farmers and big farmers. The conflicts began about three decades ago (Llamas 1988) and have not yet been settled. In 2001 the Spanish Parliament asked the Govern- ment to present a hydrological plan for the Upper Guadiana Basin within one year. More than 20 draft proposals have been presented, the last one in 2006 with a budget of almost four billion Euros. This proposal has been met with strong opposition from most farmer lobbies. The Guadiana Basin is one of seven transboundary case studies of the EU NeWater research project (New Approaches for Adaptive Water Management under Uncertainty). The prin cipal water-management issues in the project are addressed by adaptive and integrated water-resource manage ment. This includes uncertainty and risk mitigation, gov er n ance, crosssectoral integration, scale analysis, information management, stakeholder participation, financial aspects, system resilience and vulnerability. One work block in the NeWater project has the task of translating research outputs into tools for practitioners and end-users. As part of this effort, Bayesian belief networks (Bns) were selected as one possible tool to be developed as an aid to stakeholder participation in integrated assessment of gaps, being a suitable tool for dialogue in order to identify gaps in water-resource management functions, gaps to meet the goals of the EU Water Framework Directive and to analyse management potentials and constraints. The purpose of this paper is to describe the testing of Bns as a tool for participatory integrated assessment and adaptive and integrated water-resource management in the Upper Guadiana Basin.
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L. Sibbald, Shannon, and Robert Sibbald. "Creating a community driven bioethics network." Journal of Integrated Care 27, no. 1 (February 11, 2019): 15–25. http://dx.doi.org/10.1108/jica-06-2018-0043.

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PurposeThe South West Health Ethics Network (SWHEN) was created to bring together health care providers from a variety of health care settings across a geographical region. SWHEN’s mission was to connect health professionals who have an interest in ethical issues. SWHEN’s target participants are people with an interest in this field regardless of the individual’s capacity within an ethics profession. While other ethics networks exist, few of these expand beyond a narrow scope of ethics professionals (clinical ethicists). The preliminary vision in bringing together this group was to create a regional collaborative to educate, share lessons and begin to create a common approach to ethics issues in our region. Ethics networks increase collaboration and the exchange of resources, information and ideas among clinical ethicists. As a result, they address many of the ethical dilemmas faced in integrated care and facilitate the success of these systems in providing coordinated patient care. The paper aims to discuss these issues.Design/methodology/approachA Delphi consensus building approach was conducted to determine goals and priorities of the network.FindingsSeveral priorities and counter priorities were discussed. In the end, the network was stifled by three major challenges: resource sharing, balance of network priorities and individual needs, and leadership.Originality/valueWhile the journey to creating a sustainable network is long and complex, it is still worth the struggles. Network members remained connected through e-platforms, and the meetings have increased our region’s cohesiveness around ethics. We remain cautiously optimistic of SWHENs future and acknowledge that our initial plan may have shifted but our achievements are still meaningful and worthwhile.
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Siembieda, William. "Toward an Enhanced Concept of Disaster Resilience: A Commentary on Behalf of the Editorial Committee." Journal of Disaster Research 5, no. 5 (October 1, 2010): 487–93. http://dx.doi.org/10.20965/jdr.2010.p0487.

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1. Introduction This Special Issue (Part 2) expands upon the theme “Building Local Capacity for Long-term Disaster Resilience” presented in Special Issue Part 1 (JDR Volume 5, Number 2, April 2010) by examining the evolving concept of disaster resilience and providing additional reflections upon various aspects of its meaning. Part 1 provided a mixed set of examples of resiliency efforts, ranging from administrative challenges of integrating resilience into recovery to the analysis of hazard mitigation plans directed toward guiding local capability for developing resiliency. Resilience was broadly defined in the opening editorial of Special Issue Part 1 as “the capacity of a community to: 1) survive a major disaster, 2) retain essential structure and functions, and 3) adapt to post-disaster opportunities for transforming community structure and functions to meet new challenges.” In this editorial essay we first explore in Section 2 the history of resilience and then locate it within current academic and policy debates. Section 3 presents summaries of the papers in this issue. 2. Why is Resilience a Contemporary Theme? There is growing scholarly and policy interest in disaster resilience. In recent years, engineers [1], sociologists [2], geographers [3], economists [4], public policy analysts [5, 6], urban planners [7], hazards researchers [8], governments [9], and international organizations [10] have all contributed to the literature about this concept. Some authors view resilience as a mechanism for mitigating disaster impacts, with framework objectives such as resistance, absorption, and restoration [5]. Others, who focus on resiliency indicators, see it as an early warning system to assess community resiliency status [3, 8]. Recently, it has emerged as a component of social risk management that seeks to minimize social welfare loss from catastrophic disasters [6]. Manyena [11] traces scholarly exploration of resilience as an operational concept back at least five decades. Interest in resilience began in the 1940s with studies of children and trauma in the family and in the 1970s in the ecology literature as a useful framework to examine and measure the impact of assault or trauma on a defined eco-system component [12]. This led to modeling resilience measures for a variety of components within a defined ecosystem, leading to the realization that the systems approach to resiliency is attractive as a cross-disciplinary construct. The ecosystem analogy however, has limits when applied to disaster studies in that, historically, all catastrophic events have changed the place in which they occurred and a “return to normalcy” does not occur. This is true for modern urban societies as well as traditional agrarian societies. The adoption of “The Hyogo Framework for Action 2005-2015” (also known as The Hyogo Declaration) provides a global linkage and follows the United Nations 1990s International Decade for Natural Disaster Reduction effort. The 2005 Hyogo Declaration’s definition of resilience is: “The capacity of a system, community or society potentially exposed to hazards to adapt by resisting or changing in order to reach and maintain an acceptable level of functioning and structure.” The proposed measurement of resilience in the Hyogo Declaration is determined by “the degree to which the social system is capable of organizing itself to increase this capacity for learning from past disasters for better future protection and to improve risk reduction measures.” While very broad, this definition contains two key concepts: 1) adaptation, and 2) maintaining acceptable levels of functioning and structure. While adaptation requires certain capacities, maintaining acceptable levels of functioning and structure requires resources, forethought, and normative action. Some of these attributes are now reflected in the 2010 National Disaster Recovery Framework published by the U.S. Federal Emergency Management Agency (FEMA) [13]. With the emergence of this new thinking on resilience related to disasters, it is now a good time to reflect on the concept and assess what has recently been said in the literature. Bruneau et al. [1] offer an engineering sciences definition for community seismic resilience: “The ability of social units (e.g., organizations, communities) to mitigate hazards, contain the effects of disasters when they occur, and carry out recovery activities in ways that minimize social disruption and mitigate the effects of future earthquakes.” Rose [4] writes that resiliency is the ability of a system to recover from a severe shock. He distinguishes two types of resilience: (1) inherent – ability under normal circumstances and (2) adaptive – ability in crisis situations due to ingenuity or extra effort. By opening up resilience to categorization he provides a pathway to establish multi-disciplinary approaches, something that is presently lacking in practice. Rose is most concerned with business disruption which can take extensive periods of time to correct. In order to make resource decisions that lower overall societal costs (economic, social, governmental and physical), Rose calls for the establishment of measurements that function as resource decision allocation guides. This has been done in part through risk transfer tools such as private insurance. However, it has not been well-adopted by governments in deciding how to allocate mitigation resources. We need to ask why the interest in resilience has grown? Manyena [11] argues that the concept of resilience has gained currency without obtaining clarity of understanding, definition, substance, philosophical dimensions, or applicability to disaster management and sustainable development theory and practice. It is evident that the “emergency management model” does not itself provide sufficient guidance for policymakers since it is too command-and-control-oriented and does not adequately address mitigation and recovery. Also, large disasters are increasingly viewed as major disruptions of the economic and social conditions of a country, state/province, or city. Lowering post-disaster costs (human life, property loss, economic advancement and government disruption) is being taken more seriously by government and civil society. The lessening of costs is not something the traditional “preparedness” stage of emergency management has concerned itself with; this is an existing void in meeting the expanding interests of government and civil society. The concept of resilience helps further clarify the relationship between risk and vulnerability. If risk is defined as “the probability of an event or condition occurring [14]#8221; then it can be reduced through physical, social, governmental, or economic means, thereby reducing the likelihood of damage and loss. Nothing can be done to stop an earthquake, volcanic eruption, cyclone, hurricane, or other natural event, but the probability of damage and loss from natural and technological hazards can be addressed through structural and non-structural strategies. Vulnerability is the absence of capacity to resist or absorb a disaster impact. Changes in vulnerability can then be achieved by changes in these capacities. In this regard, Franco and Siembieda describe in this issue how coastal cities in Chile had low resilience and high vulnerability to the tsunami generated by the February 2010 earthquake, whereas modern buildings had high resilience and, therefore, were much less vulnerable to the powerful earthquake. We also see how the framework for policy development can change through differing perspectives. Eisner discusses in this issue how local non-governmental social service agencies are building their resilience capabilities to serve target populations after a disaster occurs, becoming self-renewing social organizations and demonstrating what Leonard and Howett [6] term “social resilience.” All of the contributions to this issue illustrate the lowering of disaster impacts and strengthening of capacity (at the household, community or governmental level) for what Alesch [15] terms “post-event viability” – a term reflecting how well a person, business, community, or government functions after a disaster in addition to what they might do prior to a disaster to lessen its impact. Viability might become the definition of recovery if it can be measured or agreed upon. 3. Contents of This Issue The insights provided by the papers in this issue contribute greater clarity to an understanding of resilience, together with its applicability to disaster management. In these papers we find tools and methods, process strategies, and planning approaches. There are five papers focused on local experiences, three on state (prefecture) experiences, and two on national experiences. The papers in this issue reinforce the concept of resilience as a process, not a product, because it is the sum of many actions. The resiliency outcome is the result of multiple inputs from the level of the individual and, at times, continuing up to the national or international organizational level. Through this exploration we see that the “resiliency” concept accepts that people will come into conflict with natural or anthropogenic hazards. The policy question then becomes how to lower the impact(s) of the conflict through “hard or soft” measures (see the Special Issue Part 1 editorial for a discussion of “hard” vs. “soft” resilience). Local level Go Urakawa and Haruo Hayashi illustrate how post-disaster operations for public utilities can be problematic because many practitioners have no direct experience in such operations, noting that the formats and methods normally used in recovery depend on personal skills and effort. They describe how these problems are addressed by creating manuals on measures for effectively implementing post-disaster operations. They develop a method to extract priority operations using business impact analysis (BIA) and project management based business flow diagrams (BFD). Their article effectively illustrates the practical aspects of strengthening the resiliency of public organizations. Richard Eisner presents the framework used to initiate the development and implementation of a process to create disaster resilience in faith-based and community-based organizations that provide services to vulnerable populations in San Francisco, California. A major project outcome is the Disaster Resilience Standard for Community- and Faith-Based Service Providers. This “standard” has general applicability for use by social service agencies in the public and non-profit sectors. Alejandro Linayo addresses the growing issue of technological risk in cities. He argues for the need to understand an inherent conflict between how we occupy urban space and the technological risks created by hazardous chemicals, radiation, oil and gas, and other hazardous materials storage and movement. The paper points out that information and procedural gaps exist in terms of citizen knowledge (the right to know) and local administrative knowledge (missing expertise). Advances and experience accumulated by the Venezuela Disaster Risk Management Research Center in identifying and integrating technological risk treatment for the city of Merida, Venezuela, are highlighted as a way to move forward. L. Teresa Guevara-Perez presents the case that certain urban zoning requirements in contemporary cities encourage and, in some cases, enforce the use of building configurations that have been long recognized by earthquake engineering as seismically vulnerable. Using Western Europe and the Modernist architectural movement, she develops the historical case for understanding discrepancies between urban zoning regulations and seismic codes that have led to vulnerable modern building configurations, and traces the international dissemination of architectural and urban planning concepts that have generated vulnerability in contemporary cities around the world. Jung Eun Kang, Walter Gillis Peacock, and Rahmawati Husein discuss an assessment protocol for Hazard Mitigation Plans applied to 12 coastal hazard zone plans in the state of Texas in the U.S. The components of these plans are systematically examined in order to highlight their respective strengths and weaknesses. The authors describe an assessment tool, the plan quality score (PQS), composed of seven primary components (vision statement, planning process, fact basis, goals and objectives, inter-organizational coordination, policies & actions, and implementation), as well as a component quality score (CQS). State (Prefecture) level Charles Real presents the Natural Hazard Zonation Policies for Land Use Planning and Development in California in the U.S. California has established state-level policies that utilize knowledge of where natural hazards are more likely to occur to enhance the effectiveness of land use planning as a tool for risk mitigation. Experience in California demonstrates that a combination of education, outreach, and mutually supporting policies that are linked to state-designated natural hazard zones can form an effective framework for enhancing the role of land use planning in reducing future losses from natural disasters. Norio Maki, Keiko Tamura, and Haruo Hayashi present a method for local government stakeholders involved in pre-disaster plan making to describe performance measures through the formulation of desired outcomes. Through a case study approach, Nara and Kyoto Prefectures’ separate experiences demonstrate how to conduct Strategic Earthquake Disaster Reduction Plans and Action Plans that have deep stakeholder buy-in and outcome measurability. Nara’s plan was prepared from 2,015 stakeholder ideas and Kyoto’s plan was prepared from 1,613 stakeholder ideas. Having a quantitative target for individual objectives ensures the measurability of plan progress. Both jurisdictions have undertaken evaluations of plan outcomes. Sandy Meyer, Eugene Henry, Roy E. Wright and Cynthia A. Palmer present the State of Florida in the U.S. and its experience with pre-disaster planning for post-disaster redevelopment. Drawing upon the lessons learned from the impacts of the 2004 and 2005 hurricane seasons, local governments and state leaders in Florida sought to find a way to encourage behavior that would create greater community resiliency in 2006. The paper presents initial efforts to develop a post-disaster redevelopment plan (PDRP), including the experience of a pilot county. National level Bo-Yao Lee provides a national perspective: New Zealand’s approach to emergency management, where all hazard risks are addressed through devolved accountability. This contemporary approach advocates collaboration and coordination, aiming to address all hazard risks through the “4Rs” – reduction, readiness, response, and recovery. Lee presents the impact of the Resource Management Act (1991), the Civil Defence Emergency Management Act (2002), and the Building Act (2004) that comprise the key legislation influencing and promoting integrated management for environment and hazard risk management. Guillermo Franco and William Siembieda provide a field assessment of the February 27, 2010, M8.8 earthquake and tsunami event in Chile. The papers present an initial damage and life-loss review and assessment of seismic building resiliency and the country’s rapid updating of building codes that have undergone continuous improvement over the past 60 years. The country’s land use planning system and its emergency management system are also described. The role of insurance coverage reveals problems in seismic coverage for homeowners. The unique role of the Catholic Church in providing temporary shelter and the central government’s five-point housing recovery plan are presented. A weakness in the government’s emergency management system’s early tsunami response system is noted. Acknowledgements The Editorial Committee extends its sincere appreciation to both the contributors and the JDR staff for their patience and determination in making Part 2 of this special issue possible. Thanks also to the reviewers for their insightful analytic comments and suggestions. Finally, the Committee wishes to again thank Bayete Henderson for his keen and thorough editorial assistance and copy editing support.
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46

Mack, Elizabeth A., Ethan Theuerkauf, and Erin Bunting. "Coastal Typology: An Analysis of the Spatiotemporal Relationship between Socioeconomic Development and Shoreline Change." Land 9, no. 7 (July 4, 2020): 218. http://dx.doi.org/10.3390/land9070218.

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Globally, coastal communities are impacted by hazards including storm events, rising water levels, and associated coastal erosion. These hazards destroy homes and infrastructure causing human and financial risks for communities. At the same time, the economic and governance capacity of these communities varies widely, impacting their ability to plan and adapt to hazards. In order to identify locations vulnerable to coastal hazards, knowledge of the physical coastal changes must be integrated with the socio-economic profiles of communities. To do this, we couple information about coastal erosion rates and economic data in communities along the Great Lakes to develop a typology that summarizes physical and economic vulnerability to coastal erosion. This typology classifies communities into one of four categories: (1) High physical and economic vulnerability to coastal erosion, (2) High physical but low economic vulnerability to coastal erosion, (3) Low physical and low economic vulnerability to coastal erosion, and (4) High economic but low physical vulnerability to coastal erosion. An analysis of this typology over three time periods (2005–2010), (2010–2014), and (2014–2018) reveals the dynamic nature of vulnerability over this fourteen year time span. Given this complexity, it can be difficult for managers and decision-makers to decide where to direct limited resources for coastal protection. Our typology provides an analytical tool to proactively address this challenge. Further, it advances existing work on coastal change and associated vulnerability in three ways. One, it implements a regional, analytical approach that moves beyond case study-oriented work and facilitates community analyses in a comparative context. Two, the typology provides an integrated assessment of vulnerability that considers economic vulnerability to coastal erosion, which is a contextual variable that compounds or helps mitigate vulnerability. Three, the typology facilitates community comparisons over time, which is important to identifying drivers of change in Great Lakes coastal communities over time and community efforts to mitigate and adapt to these hazards.
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47

Savova, Zaharina A. "POLICIES FOR PRESERVING THE WORK ACTIVITY OF PEOPLE IN RETIREMENT AGE IN HIGHER EDUCATION INSTITUTIONS IN BULGARIA." Innovation in Aging 3, Supplement_1 (November 2019): S647. http://dx.doi.org/10.1093/geroni/igz038.2402.

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Abstract Demographically, aging of the world’s population is a fact that requires the implementation and development of integrated, active policies for the inclusion of older people in economic and social life. In response to this challenge, an international UN plan for active aging was adopted in Madrid in 2002. By adopting this plan, all EU member states are committed to contribute to active aging by integrating the rights and needs of older people into national economic and social policies. The European Commission formulates the concept of active aging as adopting a healthy lifestyle, longer labor market participation, later retirement, and retention after retirement. In recent years managers of higher education institutions in Bulgaria have been pursuing a policy of preserving the labor and intellectual potential of retired research and teaching staff. There are different practices and activities aimed at preserving this valuable resource built for decades. This paper outlines the main activities and evaluation of the effectiveness of the Mentoring Program for Shared Experience and Knowledge. This pilot program was implemented over a five-year period from 2012 to 2017. It involved teachers in pre-retirement and retirement age working in higher education institutions. Monitoring and evaluation of the different forms of activities included in the program were made. The benefits for all participants have been derived. The results and the analysis made support the initial suggestion that the program is an opportunity for gradual withdrawal from work activity, preserving social well-being and successful adaptation to retirement from active labor activity.
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48

Grakhov, V. P., Yu G. Kislyakova, U. F. Simakova, and D. A. Mushakov. "DEVELOPMENT OF CONTROL SYSTEM FOR PROGRESS OF CONSTRUCTION AND INSTALLATION WORKS BASED ON INTEGRATED APPLICATION OF Primavera P6 Professional R8.3.2 AND ArchiCAD 17.0.0 SOFTWARE PRODUCTS." Science & Technique 16, no. 6 (November 29, 2017): 466–74. http://dx.doi.org/10.21122/2227-1031-2017-16-6-466-474.

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The paper considers application and development of information technologies while carrying out project management in construction. Organizational and technological support of works throughout its life cycle exerts an influence on quality and efficiency of successful implementation of the construction project. In order to achieve the project goal it is necessary perfectly to organize and plan works, distribute roles and responsibilities of the project participants, regulate composition and content of the project documentation. While analyzing technical and economic indices of construction organization activity and management systems operating in these organizations, conclusion has been made that market experience in functioning of operational management systems has not been adequately applied in practice of domestic construction organizations. Thus, introduction of integrated management systems for quality, costs, time parameters pertaining to project construction, their resource support will contribute to improvement of economic situation of construction organizations. The solution consists in application of up-to-date information technologies, maximum implementation of computer systems and programs in the sphere of production, creation of application software. It has been shown that it is necessary to develop a software model that provides a possibility comprehensively to apply information technology tools for monitoring progress of construction and installation works, systematization of information technology application that allow to control key parameters of construction and installation works, improvement of system for providing actual information in project implementation process. An example of complex application of software products Primavera P6 Professional R8.3.2 and ArchiCAD 17.0.0 is given in the paper.
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49

Schneider, P., A. Davison, A. Langdon, G. Freeman, C. Essery, R. Beatty, and P. Toop. "Integrated water cycle planning for towns in New South Wales, Australia." Water Science and Technology 47, no. 7-8 (April 1, 2003): 87–94. http://dx.doi.org/10.2166/wst.2003.0675.

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Integration means different things to different people and as a consequence appears to only partially deliver on promised outcomes. For effective integrated water cycle management these outcomes should include improved water use efficiency, less waste, environmental sustainability, and provide secure and reliable supply to meet social and economic needs. The objective of integration is the management and combination of all these outcomes as part of a whole, so as to provide better outcomes than would be expected by managing the parts independently. Integration is also a consequence of the Water Reforms embarked on by the NSW State Government in 1995. The key goals of the reforms are clean and healthy rivers and groundwaters, and the establishment of more secure water entitlements for users. They are also essential for meeting the Council of Australian Government (COAG) water management strategies. The policies and guidelines that formed the NSW Water Reforms were the basis of the Water Management Act 2000 (NSW) (WMA) which is the legislative framework for water management in NSW. The NSW Department of Land and Water Conservation has developed an approach to integrated water cycle management for rural centres in NSW based on a catchment and policy context. This approach includes consideration of catchment wide needs and issues, environmental sustainability, government policy and community objectives in the development of an integrated water cycle plan. The approach provides for a transparent assessment of priorities and how to deal with them, and while specific to urban centres, could easily be expanded for use in the management of the whole of the catchment water cycle. Integration of the water cycle is expected to offer benefits to the local environment, community and economy. For instance, any unused proportion of an urban centre's water entitlement, or an offset against this entitlement created through returned flows (such as via good quality sewage effluent discharge to a river), can provide a surplus which is available to be traded on an annual basis. Further, improved demand management within an urban centre can be expected to result in a reduction in abstraction against the licence entitlement. This may result in the increased availability of in-stream water for environmental or other purposes and is expected to increase the economic value of returned water. Improved water use efficiencies are also expected to result in reduced capital works (and their associated costs) as the efficiency of service delivery and resource use improves. In this paper an example of the application of this process is provided and the outcomes discussed.
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Lavric, Alexandru. "LoRa (Long-Range) High-Density Sensors for Internet of Things." Journal of Sensors 2019 (February 24, 2019): 1–9. http://dx.doi.org/10.1155/2019/3502987.

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Over the past few years, there has been a growing awareness regarding the concept of Internet of Things (IoT), which involves connecting to the Internet various objects surrounding us in everyday life. The main purpose of this concept closely connected to the smart city issue is increasing the quality of life by contributing to streamlining resource consumption and protecting the environment. The LoRa communication mechanism is a physical layer of the LoRaWAN protocol, defined by the LoRa Alliance. Compared to other existing technologies, LoRa is a modulation technique enabling the transfer of information over a range of tens of kilometers. The main contribution this paper brings to the field is analyzing the scalability of the LoRa technology and determining the maximum number of sensors which can be integrated into this type of monitoring and control architecture. The sensor architecture is specific to the smart city concept that involves the integration of a large number of high-density sensors distributed on a large-scale geographic area. The reason behind this study is the need to assess the scalability of the LoRa technology, taking into consideration other factors, such as the packet payload size, the duty circle parameter, the spreading factor, and the number of nodes. The experimental results reveal that the maximum number of LoRa sensors that can communicate on the same channel is 1,500; furthermore, in order to obtain a high performance level, it is necessary to schedule and plan the network as carefully as possible. The spreading factor must be allocated according to the distance at which the sensor is placed from the gateway.
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