Academic literature on the topic 'Procedural documenting'

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Journal articles on the topic "Procedural documenting"

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Milikova, Anna, and Lyubov Yakovleva. "Documenting as an Investigator’s Function in Criminal Proceedings." Legal Concept, no. 3 (November 2023): 35–41. http://dx.doi.org/10.15688/lc.jvolsu.2023.3.5.

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Introduction. The scientific paper discusses some issues related to the functions performed by the investigator in criminal proceedings. The authors identified and justified the significance of the research topic under discussion and made suggestions for considering documenting as an investigator’s function. The chosen problem identified the purpose of the study as highlighting the documenting of the investigator’s decisions as a separate function. Methods. With the help of the dialectical method of research, generalization, comparison, analysis, and synthesis, as well as others, it became possible to form the paper in the context of considering questions about the functions of the investigator. Results. The main results of the study are recommendations on drawing attention to the problems of documenting and supporting procedural actions and decisions in criminal proceedings. The paper discusses the issues of functions in criminal proceedings, their meaning, functions of parties, and their division among them. Currently, there is no consensus on the scope of the investigator’s functions in criminal proceedings, which is due to his ambiguous dual role as prosecutor or researcher in criminal proceedings. Conclusions. As a result of the conducted research, the authors have come to the conclusion that it is necessary to develop and implement at the substatutory level some recommendations and instructions on the rules of record-keeping at the preliminary investigation. The importance of professional training for future specialists, including in drafting criminal procedural acts and documents, is noted. The necessity of further investigation of questions about the functions of the investigator is established.
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Otaqulovich, Barakayev Lazizjon. "Analysis of problems related to conducting audit as an investigative action." American Journal of Political Science Law and Criminology 7, no. 3 (2025): 36–44. https://doi.org/10.37547/tajpslc/volume07issue03-06.

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The article comprehensively analyzes the problems associated with conducting audit as an investigative action. The study examines the procedural order of conducting audits, timelines, and issues of documenting audit results. The article also analyzes the relationship between investigators and auditors during the audit process, the rights and obligations of auditors, and the procedural status of audit reports. The paper puts forward proposals regarding the procedure for extending audit deadlines, recognition of audit reports as evidence, grounds for bringing auditors to criminal liability, and improving audit methodology. The research thoroughly examines practical problems encountered during audits, including unjustified extension of audit periods, preparation of interim reports, and deficiencies in documenting audit results. As a result of the research, specific proposals have been developed to improve legislation regulating the audit procedure. The research results serve to improve the practice of investigating economic crimes.
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Creţu, Adrian. "Legal report of procedural contraventional law." National Law Journal, no. 2(248) (January 2023): 279–86. http://dx.doi.org/10.52388/1811-0770.2022.1(247).24.

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In the process and the aspiration to assert itself as a distinct branch of the law, the contraventional procedural law seeks to demonstrate that the legal relationship it regulates is a separate one, completely different from that of the contraventional law. Therefore, this article has as its main objective of study, the justification of the specificity of the legal report which makes it possible for the procedural contraventional law to be permanently separated from the criminal procedural law, branches of the law which differ according to a number of characteristics. Not with standing the fact that the procedure for examining contraventions is required to be more simplified, taking into account the low seriousness of the offense, however, in a country where the abuse of office is at home and established officers see every citizen as an offender or possibly a criminal, legislative measures that would closely monitor their actions cannot be effective without imposing an infringement procedure under separate rules. Some circumstances specific to the geographical area in which we live, the wrong perception on behalf of public officials on the procedure for documenting contraventions, the traditions and the specificity of the post-socialist society, require that a distinct branch of law to be regulated - an procedual contraventional law. The description of the legal report around which this branch of law operates is the subject of this work.
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Crețu, Andrian. "LEGAL REPORT OF PROCEDURAL CONTRAVENTIONAL LAW." Supremația dreptului 1-2 (November 15, 2020): 165–70. https://doi.org/10.5281/zenodo.4283566.

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In the process and the aspiration to assert itself as a distinct branch of the law, the contraventional procedural law seeks to demonstrate that the legal relationship it regulates is a separate one, completely different from that of the contraventional law. Therefore, this article has as its main objective of study, the justification of the specificity of the legal report which makes it possible for the procedural contraventional law to be permanently separated from the criminal procedural law, branches of the law which differ according to a number of characteristics. Notwithstanding the fact that the procedure for examining contraventions is required to be more simplified, taking into account the low seriousness of the offense, however, in a country where the abuse of office is at home and established officers see every citizen as an offender or possibly a criminal, legislative measures that would closely monitor their actions cannot be effective without imposing an infringement procedure under separate rules. Some circumstances specific to the geographical area in which we live, the wrong perception on behalf of public officials on the procedure for documenting contraventions, the traditions and the specificity of the post-socialist society, require that a distinct branch of law to be regulated - an procedual contraventional law. The description of the legal report around which this branch of law operates is the subject of this work.
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Mokhnach, Larisa, Marilyn Anderson, Rachelle Glorioso, et al. "NICU Procedures Are Getting Sweeter: Development of a Sucrose Protocol for Neonatal Procedural Pain." Neonatal Network 29, no. 5 (2010): 271–79. http://dx.doi.org/10.1891/0730-0832.29.5.271.

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Neonates in the neonatal intensive care nursery experience multiple, painful, tissue-damaging procedures daily. Pain among neonates is often underestimated and untreated, producing untoward consequences. A literature review established strong evidence supporting the use of sucrose as an analgesic for minor procedural pain among neonates. A review of unit practices and nurses’ experiential evidence initiated the production of a standardized protocol in our unit at the University of Washington Medical Center NICU in Seattle.Nursing practices surrounding sucrose use differed widely in dose, timing, and patient application. We carefully evaluated evidence documenting the effectiveness as well as the safety of sucrose administration and wrote a protocol and practice standards for our primarily premature patient population. This article describes the development and execution of a standardized, nurse-implemented, sucrose protocol to reduce procedural pain.
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PASHKOVSKYI, Mykola. "The role of non-governmental organisations in documenting and investigating war crimes in Ukraine." Economics. Finances. Law 11/2024, no. - (2024): 94–100. https://doi.org/10.37634/efp.2024.11.18.

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The paper examines the system of non-governmental organizations (NGOs) documenting war crimes in the context of Russia's armed aggression against Ukraine. The research analyzes the unprecedented consolidation of Ukrainian civil society in documenting international crimes committed since 2014, particularly focusing on the period after February 24, 2022. The study reveals the classification of NGOs involved in documentation activities, including international human rights organizations, specialized NGOs focusing on specific documentation methodologies, and organizations specializing in particular types of international law violations. The paper identifies the advantages of NGO documentation activities, including flexibility in resource allocation, freedom from procedural constraints, higher public trust, rapid information exchange, and liberty in choosing ways to utilize collected information. The research outlines various forms of documentation used by NGOs: interviewing individuals, examining crime scenes, photo and video recording, collecting physical evidence and digital information, Internet-based investigations, documenting injuries, and self-documentation by witnesses or victims. The study analyzes the risks and challenges in NGO documentation activities, including fragmentation of approaches, non-compliance with basic documentation principles, untimely information sharing, and security concerns. Special attention is paid to the procedural aspects of using NGO-collected information as evidence in criminal proceedings. The paper examines the recent developments in the framework for cooperation between NGOs and law enforcement agencies, particularly focusing on the Memorandum of Understanding signed by the Office of the Prosecutor General. The research concludes by proposing the development of standard operating procedures for information exchange and recommending the adoption of a comprehensive strategy for cooperation between investigative bodies and civil society institutions in investigating international crimes.
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Otaqulovich, Barakayev Lazizjon. "Legal and procedural challenges in appointing audits as investigative actions." American Journal of Political Science Law and Criminology 7, no. 2 (2025): 56–64. https://doi.org/10.37547/tajpslc/volume07issue02-10.

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The article comprehensively analyzes the problems associated with appointing an audit as an investigative action. The study examines the procedural order of audit appointment, its legal foundations, the content of the audit appointment decree, and issues of its documentation. The paper also analyzes errors and shortcomings made by investigators, interrogators, and courts when appointing audits, and their causes. The article discusses the investigator's preparation process before appointing an audit, audit timeframes, and issues of selecting and engaging auditors. The research puts forward proposals on the need to involve specialists in the audit appointment process, implement a mechanism for appealing audit decisions, clearly define audit deadlines, and improve requirements for documenting audit appointment orders. Additionally, suggestions are made regarding the improvement of the procedural regulations for audit appointments and the expansion of legal guarantees in this process. The research results serve to improve the practice of investigating economic crimes.
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Huvila, Isto, Olle Sköld, and Lisa Börjesson. "Documenting information making in archaeological field reports." Journal of Documentation 77, no. 5 (2021): 1107–27. http://dx.doi.org/10.1108/jd-11-2020-0188.

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PurposeSharing information about work processes has proven to be difficult. This applies especially to information shared from those who participate in a process to those who remain outsiders. The purpose of this article is to increase understanding of how professionals document their work practices with a focus on information making by analysing how archaeologists document their information work in archaeological reports.Design/methodology/approachIn total 47 Swedish archaeological reports published in 2018 were analysed using close reading and constant comparative categorisation.FindingsEven if explicit narratives of methods and work process have particular significance as documentation of information making, the evidence of information making is spread out all over the report document in (1) procedural narratives, (2) descriptions of methods and tools, (3) actors and actants, (4) photographs, (5) information sources, (6) diagrams and drawings and (7) outcomes. The usability of reports as conveyors of information on information making depends more on how a forthcoming reader can live with it as a whole rather than how to learn of the details it recites.Research limitations/implicationsThe study is based on a limited number of documents representing one country and one scholarly and professional field.Practical implicationsIncreased focus on the internal coherence of documentation and the complementarity of different types of descriptions could improve information sharing. Further, descriptions of concepts that refer to work activities and the situation when information came into being could similarly improve their usability.Originality/valueThere is little earlier research on how professionals and academics document and describe their information activities.
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Lapsley, James N. "The Clergy as Advocates for the Severely Demented." Journal of Pastoral Care & Counseling: Advancing theory and professional practice through scholarly and reflective publications 56, no. 4 (2002): 317–25. http://dx.doi.org/10.1177/154230500205600402.

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The author sets forth the argument that pastoral caregivers ought to consider expanding their traditional role of ministering to dementia patients by pressing the issue of whether appropriate medication might significantly lessen the suffering of these persons. After discussing and documenting the current understanding regarding the nature of pain, the author outlines several advocacy, ethical, and procedural issues that could be included in providing pastoral care to this population, at the same time not minimizing more traditional faith-based activities.
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Skogstad, Grace. "Who Governs? Who Should Govern?: Political Authority and Legitimacy in Canada in the Twenty-First Century." Canadian Journal of Political Science 36, no. 5 (2003): 955–73. http://dx.doi.org/10.1017/s0008423903778925.

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This article examines the contemporary basis of legitimate governance in Canada by identifying and documenting four different bases of political authority: state-centred, market-based, expert and popular authority. The co-existence of these competing bases of authority, traced to cultural shifts and developments associated with globalization, creates conflicting domestic and international norms of procedural and substantive legitimacy. The article argues that effective and legitimate governing in Canada requires greater incorporation of elements of popular authority, and reform, not abandonment, of state-centred authority.
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Dissertations / Theses on the topic "Procedural documenting"

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Oosthuizen, Corneli. "Documenting the implementation of sandtray therapy with clients in a rural school." Diss., University of Pretoria, 2017. http://hdl.handle.net/2263/62898.

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The purpose of this study was to document the process of ASL students (n=12: male=1; female=11) using sandtray therapy as educational psychology assessment and intervention technique, with young people (Grade Nine clients, n=65) in a high-risk, highneed rural school. The aim of the study was to inform knowledge on educational psychology intervention in South Africa given the need for knowledge on relevant psyhological techniques in an ecology of resource constraints, adversity and diversity. The Common Factors Model of therapeutic alliance framed the study by taking cognisance of the therapeutic relationship and therapist skills in the use of sandtray therapy with clients in the given context. A single design case study was used with a phenomenological epistemology. Qualitative data sources included observations (captured in field notes), observations (captured visually and audiovisually), as well as ASL students’ written reflections. Thematic data analysis revealed three main themes: the sandtray process and format used in a rural school; the role of the sandtray in therapeutic alliance; and the enabling and restricting roles of the rural school context during the sandtray therapy. The research findings indicated that by making certain adaptations to the standard sandtray therapy process, it could be implemented successfully as educational psychology assessment and intervention technique with clients in a high risk high need rural school. Steps that could be implemented according to the standard process and format of sandtray therapy included introduction of the sandtray and miniatures, the postcreation phase as well as documenting the completed sandtray. Steps that were adapted for implementation within the rural school context included the setup step, the creation of the sandtray as well as the cleanup of the sandtray. These adaptations were necessary as a result of certain barriers and enablers within the context of the rural school. Barriers included multilingualism, lack of privacy and group format constraints. The sandtray itself, selection of miniatures as well as the collectivist nature of clients’ culture were identified as enablers. This study can therefore inform knowledge on Educational Psychology intervention in South Africa.<br>Dissertation (MEd)--University of Pretoria, 2017.<br>Educational Psychology<br>MEd<br>Unrestricted
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Maxwell, Megan E. "The relative efficacy of three procedures for reducing canine responding." Morgantown, W. Va. : [West Virginia University Libraries], 2008. https://eidr.wvu.edu/etd/documentdata.eTD?documentid=5567.

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Thesis (Ph. D.)--West Virginia University, 2008.<br>Title from document title page. Document formatted into pages; contains vi, 61 p. : ill. Includes abstract. Includes bibliographical references (p. 54-61).
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Taylor, Eric. "Filter weighing procedure for 2007 and newer heavy duty diesel engines." Morgantown, W. Va. : [West Virginia University Libraries], 2006. https://eidr.wvu.edu/etd/documentdata.eTD?documentid=4788.

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Thesis (M.S.)--West Virginia University, 2006.<br>Title from document title page. Document formatted into pages; contains xii, 100 p. : ill. (some col.). Includes abstract. Includes bibliographical references (p. 87-91).
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Balza, Maria Elena Mora Clélia Rouault Olivier. "Aspetti della società di Emar nell'ultima fase dell'Impero ittita I documenti di compravendita, i sigilli, le procedure di autenticazione /." Lyon : Université Lumière Lyon 2, 2007. http://theses.univ-lyon2.fr/sdx/theses/lyon2/2007/balza_me.

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Reproduction de : Thèse de doctorat : Archéologie Proche-Orient ancien : Lyon 2 : 2007. Reproduction de : Thèse de doctorat : Storia e Civiltà del Mediterraneo antico : Università degli studi di Pavia : 2007.<br>Thèse soutenue en co-tutelle. Titre provenant de l'écran-titre. Bibliogr.
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Balza, Maria Elena. "Aspetti della società di Emar nell'ultima fase dell'Impero ittita : I documenti di compravendita, i sigilli, le procedure di autenticazione." Lyon 2, 2007. http://theses.univ-lyon2.fr/documents/lyon2/2007/balza_me.

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L'étude que nous avons proposée pour ce Doctorat de Recherche en co-tutelle s'est penchée sur l'analyse des pratiques sigillaires et de modalités d'authentification des documents provenant d'un site du moyen Euphrate syrien : Emar. Le choix de concentrer l'étude sur l'analyse des pratiques sigillaires trouve une explication dans le fait que, après une phase où les spécialistes ont consacré leurs efforts au classement du matériel épigraphique et glyptique dégagé au cours des fouilles, il est important de s'interroger sur les modalités d'utilisation des sceaux, sur leur diffusion et sur leur importance dans la société comme instruments de type administratif. En parallèle avec cette analyse, et sur la base des données obtenues à travers l'étude des textes, nous avons travaillé sur l'existence de rapports entre les fonctionnaires hittites, ou karmkemišites, actifs à Emar et les individus d'origine locale. L'analyse de la documentation provenant du site d'Emar est donc d'un intérêt particulier pour comprendre la nature des relations entre les emariotes et l'administration hittite et pour comprendre comment les traditions locales se sont mêlées aux nouveautés apportées, à tous les niveaux, par les étrangers<br>The study that we proposed for this PhD thesis in Co-supervision is learning on the analysis the sealing practices and the methods of validation of the documents coming from Emar. The choice to concentrate the study on the analysis of the sealing practises finds an explanation in the fact that, after a phase where the specialists devoted their efforts to the classification of the material epigraphic and glyptic released during excavations, it is important to analyse the methods of use of the seals, their diffusion and their importance in the society. In parallel with this analysis, and on bthe basis of the data obtained through the study of the texts, we worked on the existence of relationship between Hittite officials, or karmkemišites, actives in Emar and the individuals of local origin. Indeed, the documents of Emar do not reflect only the history and the structure of the society of the city itself, but also its relationship with the Hittite Empire. The analysis of documentation coming from the Emar is thus of a particular interest to understand the nature of the relations between the emariotes and the Hittite administration and to understand the weight of the innovations brought, on all the levels, by the foreigners<br>Il tema di ricerca da me proposto per questo Dottorato di Ricerca in co-tutela, e sviluppato nel corso del triennio appena concluso, era (è) l’analisi delle procedure di sigillatura ed autenticazione dei documenti di compravendita provenienti da Meskene/Emar (Siria). La scelta di concentrare lo studio sull’analisi delle pratiche di sigillatura trova una spiegazione e una giustificazione nel fatto che, dopo una necessaria fase in cui gli specialisti hanno consacrato i loro sforzi alla classificazione e alla catalogazione del materiale emerso nel corso degli scavi archeologici, è necessario oggi interrogarsi sulle modalità di utilizzazione dei sigilli, sulla loro diffusione e sulla loro importanza nella società come strumenti amministrativi. La loro iconografia, la loro forma, i dati forniti dalle iscrizioni, il “punto” in cui venivano impressi sull'argilla di una tavoletta hanno molto da dirci sulle tradizioni scribali – e culturali – da cui prendono origine e di cui sono il frutto. In parallelo con quest’indagine, e sulla base dei dati ottenuti relativamente ai personaggi menzionati nei testi, è stato anche possibile studiare i rapporti esistenti tra funzionari ittiti o karkemišiti attivi a Emar e personaggi di origine locale, e confrontare l'incidenza, nei testi, della presenza degli uni rispetto a quella degli altri. I documenti emariti non riflettono, infatti, semplicemente i lineamenti della società e della storia del sito stesso, ma anche i suoi rapporti con l'impero ittita, dalla cui amministrazione Emar dipende a partire dalla seconda metà del XIV sec. A. C. L’analisi della documentazione proveniente da questo sito è dunque particolarmente interessante per comprendere la natura delle relazioni intercorrenti tra gli emariti e l'amministrazione ittita e l'entità dell'iterazione tra le tradizioni locali e le novità apportate, a tutti i livelli, dagli stranieri. Il lavoro è strutturato in tre parti più una introduttiva e si sviluppa con un andamento che va dal generale al particolare, dalla presentazione del materiale (i documenti di compravendita), alla definizione del campo di analisi (i sigilli e i loro proprietari), all’indagine specifica sull’identità dei sigillanti e dei testimoni attestati nei documenti di compravendita. Introduzione. Prevede una breve presentazione della scoperta di Emar e degli scavi archeologici di cui è stato oggetto il sito, una breve premessa storica tesa a collocare la città nel quadro della Siria ittita di XIII sec. A. C. E una bibliografia ragionata relativa alle edizioni dei testi presi in considerazione nel corso del lavoro. Parte I Le Fonti: i documenti di compravendita. Questa prima parte introduce il materiale oggetto dello studio: i documenti di compravendita. La prima grande divisione operata nell’affrontare il materiale, e adottata nel corso di tutto il lavoro, è quella tra i testi appartenenti alla tradizione siriana e quelli appartenenti alla tradizione siro-ittita. I documenti sono poi stati ulteriormente divisi in due grandi categorie: da un lato i documenti di compravendita di beni immobili (sostanzialmente case e terreni), dall’altro quelli di beni mobili (esclusivamente schiavi). In ordine sono stati presentati i beni venduti, i protagonisti dei negozi registrati dai documenti (dai sovrani emariti, al dio Ninurta e gli Anziani della città, fino ai privati cittadini), e le formule ricorrenti nella struttura dei testi. A conclusione di questa prima parte è stato poi presentato il problema relativo alla cronologia emarita e un tentativo di datazione dei documenti di compravendita. Parte II. I proprietari di sigillo. In questa seconda parte il campo d’indagine è stato ristretto e si è entrati nel vivo dell’analisi. Si è premesso allo studio che ne sarebbero entrate a far parte solo quelle tavolette per le quali fossero disponibili (pubblicati) tutti i dati relativi alle sigillature. Si sono quindi analizzati, sulla base della distinzione tra tavolette di tradizione siriana e tavolette di tradizione siro-ittita, i sigilli che compaiono sui documenti di compravendita in rapporto con i loro proprietari, quando noti. Per quanto riguarda le tavolette di tradizione siriana, si è quindi indagato il rapporto esistente tra il sigillo tradizionalmente attribuito al dio cittadino Ninurta e il sigillo dinastico dei re di Emar, e si sono proposte alcune ipotesi circa l’esistenza di un sigillo collettivo del collegio degli Anziani della Città e del sigillo dell’istituzione cittadina definita i “Fratelli”. Per quanto riguarda le tavolette di tradizione siro-ittita, sono stati analizzati i sigilli dei sovrani di Karkemiš e dei funzionari imperiali. Sono poi state prese in considerazione le singole attestazioni dei vari esemplari di sigillo, presenti sui documenti di compravendita e non, allo scopo di riuscire a comprendere il ruolo che i funzionari ittiti/karkemišiti ricoprivano nella città. Si è cercato, cioè, di capire se essi fossero amministratori imperiali incaricati del buon funzionamento di un insediamento ittita sul medio Eufrate (importante da un punto di vista strategico perché sul confine con la nemica Assiria), ma sostanzialmente estranei alla vita cittadina e al mercato immobiliare; oppure se essi fossero attivi a vari livelli nella vita del sito come proprietari di beni mobili e immobili, con una presenza profonda e radicata nella società emarita. Una sezione a parte è stata poi dedicata ai sigilli dei privati cittadini di Emar. Su questa categoria di persone purtroppo è stato possibile dire ben poco. Alla fine di questa Parte II è stata inserita una serie di tavole contenenti tabelle di dati, una per ogni singolo testo analizzato, che forniscono informazioni circa: il/i bene/beni oggetto della vendita, i nomi dei contraenti, i nomi di eventuali altri individui menzionati nel documento (proprietari di beni confinanti con quello oggetto della vendita), i nomi dei testimoni, lo scriba, le formule di datazione e, quando presenti, le didascalie delle impronte. Queste tabelle sono in funzione dello studio effettuato nella Parte III. Parte III. Sigillatura e autenticazione dei documenti di compravendita. Sigilli e testimoni. In questa terza e ultima parte, il lavoro di ricerca è stato ancor più circoscritto e focalizzato su uno specifico problema, la sigillatura e l’autenticazione dei documenti di compravendita. Rispettando la divisione già in precedenza adottata tra tavolette di tradizione siriana e tavolette di tradizione siro-ittita, i documenti sono stati infatti analizzati allo scopo di stabilire chi di norma era incaricato della sigillatura degli stessi, se i contraenti, i testimoni o altri individui menzionati nei testi. Per le tavolette di scuola siriana sono stati messi a confronto i nomi dei testimoni e le impronte di sigillo (quasi tutte anepigrafi), allo scopo di evidenziare il ricorrere di determinati personaggi, di capire il loro ruolo all’interno delle liste di testimoni, ed eventualmente, di stabilire un’attribuzione certa per alcune impronte. Per le tavolette di scuola siro-ittita sono stati invece messi a confronto i nomi dei testimoni, i nomi dei sigillanti contenuti nelle didascalie (assenti nelle tavolette siriane) e quelli contenuti nelle legende dei sigilli, allo scopo non solo di stabilire il ricorrere di alcuni personaggi nel ruolo di testimone, fino a sospettare l’esistenza di testimoni di professione, ma anche di evidenziare la presenza di casi di prestiti di sigillo o di personaggi titolari di più esemplari di sigillo. Concludono il lavoro le Tavole Finali in cui sono stati raccolti, in brevi tabelle, i dati relativi alla sigillatura di tutti i documenti sigillati provenienti dagli scavi regolari di Emar, non solo quindi i documenti di compravendita
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Burmeister, Emily A. "The development of policies and procedures for eating disorder referral for collegiate athletes at the Division III level." Morgantown, W. Va. : [West Virginia University Libraries], 2007. https://eidr.wvu.edu/etd/documentdata.eTD?documentid=5119.

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Sabia, Maria. "L’ottimizzazione dei processi manutentivi per l’introduzione di un sistema informativo di manutenzione: il caso di Bellco." Master's thesis, Alma Mater Studiorum - Università di Bologna, 2019.

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In questo elaborato si è descrivono i diversi mesi di lavoro che hanno portato all’introduzione del modulo SAP PM nell’azienda Bellco. PM, Plan Maintenance è il modulo dedicato alla manutenzione del sistema informativo SAP. L’obiettivo del progetto è la revisione e ottimizzazione della struttura della manutenzione in azienda per ottenere un processo di manutenzione basato su un software che possa apportare le condizioni ottime a supporto dell’attività manutentiva e degli operatori stessi. Il progetto si può suddividere in due macroaree: la revisione della manutenzione e la progettazione del modulo PM. La revisione della struttura della manutenzione ha comportato oltre che la revisione dei documenti ufficiali, anche l’ottimizzazione del processo di manutenzione, la riclassificazione del rischio delle macchine e l’introduzione della procedura Lockout Tagout per la sicurezza degli operatori durante l’attività manutentiva. La progettazione del modulo PM ha incluso al suo interno la fase di validazione del sistema, compilazione delle anagrafiche e training agli utenti.
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Sindler, Petr. "Study of an error in engine ECU data collected for in-use emissions testing and development and evaluation of a corrective procedure." Morgantown, W. Va. : [West Virginia University Libraries], 2007. https://eidr.wvu.edu/etd/documentdata.eTD?documentid=5246.

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Thesis (M.S.)--West Virginia University, 2007.<br>Title from document title page. Document formatted into pages; contains vii, 63 p. : ill. (some col.). Includes abstract. Includes bibliographical references (p. 58).
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Rava, Annalisa. "Sviluppo di una piattaforma software di Content Management System per la condivisone delle informazioni tecniche: il caso Bonfiglioli Riduttori S.p.A." Master's thesis, Alma Mater Studiorum - Università di Bologna, 2019.

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L’elaborato riporta un caso studio relativo all’azienda Bonfiglioli Riduttori S.p.A., presso cui si evince la necessità di garantire la condivisione delle informazioni di natura tecnica tra gli stabilimenti che appartengono alla Business Unit Mobility and Wind Industries. L’azienda, come tante altre nel contesto attuale, ha intrapreso una strategia di delocalizzazione delle attività produttive e, per questo motivo, è composta da plants in diversi paesi nel mondo che spesso necessitano di comunicare tra loro. L’obiettivo del progetto riguarda la creazione di una piattaforma di Content Management System che deve contenere tutte le documentazioni relative all’ingegneria di processo, con un focus sulle attività di assemblaggio. Con la realizzazione del database è possibile rimuovere alcune criticità presenti nella gestione dei documenti e ridurre i tempi dedicati a scambi informativi tra gli stabilimenti e il Global Process Engineering Department, team globale che funge da collegamento tra i plants. Le informazioni infatti sono presenti online ed è possibile consultarle in maniera autonoma, con la certezza di avere sempre accesso alla documentazione più aggiornata. Il caso studio prevede un progetto pilota avviato presso l’ headquarter dell’unità di business considerata, per poi espandere la modalità di gestione della documentazione a tutti gli altri stabilimenti. Ogni plant deve quindi creare un sito web sulla piattaforma seguendo la struttura e la procedura identificata. Il risultato è quello di avere alcune pagine online che contengono i dati e i file che si vogliono condividere con tutta la divisione, in un formato standard ed organizzati in modo che sia facile reperire l’informazione ricercata. Oltre a questo, si definisce una procedura standard di gestione della documentazione aziendale, in linea con le specifiche definite dal Quality Management System, per fare in modo che, dopo la sua creazione, la piattaforma rimanga sempre aggiornata.
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Taverniti, Maria. "Le procedure di selezione dei documenti digitali." Thesis, 2011. http://hdl.handle.net/10955/215.

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Books on the topic "Procedural documenting"

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Italy. Commissione per l'accesso ai documenti amministrativi., ed. L' Accesso ai documenti amministrativi: Testi, norme, documenti, opinioni. Presidenza del Consiglio dei ministri, Dipartimento per l'informazione e l'editoria, 1994.

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Cipriani, Franco. Piero Calamandrei e la procedura civile: Miti, leggende, interpretazioni, documenti. Edizioni scientifiche italiane, 2007.

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Gregorio, Arena, ed. L' Accesso al documenti amministrativi. Il mulino, 1991.

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Tabasco, Giuseppe. Documenti illegali e procedura di distruzione dei dati personali illecitamente conseguiti. CEDAM, Casa editrice dott. Antonio Milani, 2013.

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Llobell, Joaquńı. Il libro De processibus nella codificazione del 1917: Studi e documenti. Giuffrè, 1999.

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Vittorio, Italia, ed. Privacy e accesso ai documenti amministrativi. Giuffrè, 1999.

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Scarciglia, Roberto. L' accesso ai documenti amministrativi: Attuazione della Legge 241-90. Maggioli, 1994.

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Cipriani, Franco. Il Codice di procedura civile tra gerarchi e processualisti: Riflessioni e documenti nel cinquantenario dell'entrata in vigore. Edizioni scientifiche italiane, 1992.

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Office, General Accounting. Federal judiciary: Assessing and formally documenting financial disclosure procedures could help ensure balance between judges' safety and timely public access. United States General Accounting Office, 2004.

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Corso, Guido. Procedimento amministrativo e accesso ai documenti: Commento alla legge 7 agosto 1990, n. 241. Maggioli, 1991.

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Book chapters on the topic "Procedural documenting"

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Cromar, Scott. "Documenting Policies and Procedures." In From Techie to Boss. Apress, 2013. http://dx.doi.org/10.1007/978-1-4302-5933-6_5.

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Peng-Keller, Simon, and David Neuhold. "A Short History of Documenting Spiritual Care." In Charting Spiritual Care. Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-47070-8_2.

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Abstract The first chapter of this edited volume traces the history of documenting spiritual care. By referring to ancient and early modern practices, the relationship between spiritual (self-) care and various forms of documentation is outlined. The focus lies on developments in the twentieth and the twenty-first century, although the question of what constitutes an adequate practice of documenting healthcare chaplaincy is as old as the profession itself. The pioneers of Clinical Pastoral Education (CPE) – Richard Cabot, Anton Boisen, Russell L. Dicks, and others – developed distinctive forms of recording for different purposes. For example, procedures of documentation that are prepared for and helpful to the pastors themselves as “self-criticism,” “self-improvement,” or even “self-revelation” have been distinguished from documentation practices that are intra- or interprofessional. Regarding more recent developments in documentation, the introduction of electronic patient records (EMRs) was critical. We present a case study from Kenya to show how the issues discussed here are encountered in a non-Euro-American context.
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Bahr, Ruth Huntley, Elaine R. Silliman, and Laura Conover. "Chapter 22. More than spelling accuracy." In Studies in Bilingualism. John Benjamins Publishing Company, 2024. http://dx.doi.org/10.1075/sibil.67.22bah.

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Spelling is a linguistic process that integrates phonological, orthographic, and morphological knowledge into novel word forms. Regardless of language, students learn to identify meaningful sound/letter combinations as they learn how to spell. However, most spelling investigations only consider overall word accuracy and not the nature and number of linguistic features in error. This chapter illustrates the utility of a linguistic scoring procedure in documenting the nature of misspelling patterns longitudinally in two groups of students from grades 1–7 that varied by spelling ability. Quantitative and qualitative analyses of misspellings demonstrate how general word knowledge develops into specific word knowledge for spelling. This type of fine-grained linguistic analysis is useful in studying spelling skill in any alphabetic or alphasyllabary language.
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"Documenting Shooting Scenes." In Death Scene Investigation Procedural Guide. CRC Press, 2012. http://dx.doi.org/10.1201/b11655-35.

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"Documenting Shooting Scenes." In Death Scene Investigation Procedural Guide. Taylor & Francis, 2012. http://dx.doi.org/10.1201/b11655-42.

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"Documenting and Processing Bloodstain Patterns." In Death Scene Investigation Procedural Guide. CRC Press, 2012. http://dx.doi.org/10.1201/b11655-34.

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"Documenting and Processing Bloodstain Patterns." In Death Scene Investigation Procedural Guide. Taylor & Francis, 2012. http://dx.doi.org/10.1201/b11655-41.

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"Documenting and Processing the Shooting Scene." In Crime Scene Investigation Procedural Guide. CRC Press, 2014. http://dx.doi.org/10.1201/b16909-37.

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"Documenting and Processing Bloodstain Patterns at the Scene." In Crime Scene Investigation Procedural Guide. CRC Press, 2014. http://dx.doi.org/10.1201/b16909-36.

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Pugh Carla M. and Ratiu Peter. "The Surgical Illustrator: A Web Enabled Computer Program for Documenting Clinical and Procedural Details." In Studies in Health Technology and Informatics. IOS Press, 2004. https://doi.org/10.3233/978-1-60750-942-4-304.

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Conference papers on the topic "Procedural documenting"

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Shepard, Charles, John Merrihew, Norm Geddes, Steve Toney, and Larry Lafferty. "Adaptive Distributed Aviation Asset Optimization for Operational Effectiveness (Phase II)." In Vertical Flight Society 70th Annual Forum & Technology Display. The Vertical Flight Society, 2014. http://dx.doi.org/10.4050/f-0070-2014-9600.

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The paper describes the use of an Intelligent Decision-aiding Agent (IDA) associate for management of distributed aviation assets during warfighter net-centric operations. VELOXITI, Inc. (formerly Applied Systems Intelligence, Inc.), is collaborating with government personnel to demonstrate and evaluate a Situational Awareness Fusion Enhancement (SAFE) Aid in a man-in-the-loop experimentation environment as part of an Aviation Development Directorate - Applied Aviation Technology Directorate (ADD-AATD) Phase II Small Business Innovative Research (SBIR) project. Last year’s Phase I focus was on defining the requirements for integrating a collaborative adaptive tasking system (CATS) into a full mission simulation environment. This year’s efforts have grown into the SAFE Aid Intelligent Decision-Aiding Associate (IDA) system which incorporates a platform agnostic Intelligent Associate System for scout/attack/utility helicopters, and which will be integrated, demonstrated and evaluated in an operationally relevant man-in-the-loop simulation environment. SAFE Aid is intended to dramatically increase situational awareness within the cockpit and allow the ability to identify and access multiple Surveillance and Reconnaissance assets with a single bezel button to automatically task manned and unmanned assets. This tasking is based upon prioritization of Area of Operations (AO) events that optimizes all Surveillance and Reconnaissance assets to cover high priority events in the AO. SAFE Aid also enables aircrew safe route planning functionality, collision avoidance, predictive aircraft positioning, over the horizon weather updates, and many other operationally relevant functionality for scout/reconnaissance/attack/utility helicopter missions including MEDEVAC support. This paper will show the development, integration, demonstration and evaluation of the SAFE Aid technology that reduces aircrew workload and enables aircrews to effectively manage and utilize distributed aviation assets, without impairing their operational performance on other flight tasks. Aircrews will fly operationally relevant mission vignettes in a laboratory simulation environment with SAFE Aid operating and without SAFE Aid operating. Data collection and analysis of aircrew responsiveness will assess the aircrew’s ability to optimize interaction between manned and unmanned aircraft within a relevant mission context environment. Mission safety will be demonstrated using the ability for the system to incorporate additional knowledge bases adapted to accommodate evolving Tactics, Techniques and Procedures (TTPs). Mission demonstrations will involve multiple aircrews operating in two simultaneous mission simulation environments. Operational effectiveness and situational awareness requirements will consider data and user interfaces, real-time performance and human interaction issues. These defined requirements will aid in documenting the evaluation criteria for the SAFE Aid IDA. Evaluation criteria consider collection and analysis of the measurements for both a simulator-based environment and for full flight environments. The ultimate goal is to identify IDA benefits for aircrew members when the SAFE Aid system is operating, as compared to when the system is not operating, and the impact this has on operationally relevant mission scenario success.
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Shuman, Larry J., Mary Besterfield-Sacre, Renee Clark, and Tuba Pinar Yildirim. "The Model Eliciting Activity (MEA) Construct: Moving Engineering Education Research Into the Classroom." In ASME 2008 9th Biennial Conference on Engineering Systems Design and Analysis. ASMEDC, 2008. http://dx.doi.org/10.1115/esda2008-59406.

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A growing set of “professional skills” including problem solving, teamwork, and communications are becoming increasingly important in differentiating U.S. engineering graduates from their international counterparts. A consensus of engineering educators and professionals now believes that mastery of these professional skills is needed for our graduates to excel in a highly competitive global environment. A decade ago ABET realized this and included these skills among the eleven outcomes needed to best prepare professionals for the 21st century engineering world. This has left engineering educators with a challenge: how can students learn to master these skills? We address this challenge by focusing on models and modeling as an integrating approach for learning particular professional skills, including problem solving, within the undergraduate curriculum. To do this, we are extending a proven methodology — model-eliciting activities (MEAs) — creating in essence model integrating activities (MIAs). MEAs originated in the mathematics education community as a research tool. In an MEA teams of students address an open-ended, real-world problem. A typical MEA elicits a mathematical or conceptual system as part of its procedural requirements. To resolve an MEA, students may need to make new connections, combinations, manipulations or predictions. We are extending this construct to a format in which the student team must also integrate prior knowledge and concepts in order to solve the problem at hand. In doing this, we are also forcing students to confront and repair certain misconceptions acquired at earlier stages of their education. A distinctive MEA feature is an emphasis on testing, revising, refining and formally documenting solutions, all skills that future practitioners should master. Student performance on MEAs is typically assessed using a rubric to measure the quality of solution. In addition, a reflection tool completed by students following an MEA exercise assists them in better assessing and critiquing their progress as modelers and problem solvers. As part of the first phase a large, MEA research study funded by the National Science Foundation and involving six institutions, we are investigating the strategies students use to solve unstructured problems by better understanding the extent that our MEA/MIA construct can be used as a learning intervention. To do this, we are developing learning material suitable for upper-level engineering students, requiring them to integrate concepts they’ve learned in foundation courses while teasing out misconceptions. We provide an overview of the project and our results to date.
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Галяутдинова, Л. Ю., and Ф. Г. Аминев. "PROCEDURE FOR CONCLUDING A TRANSPORT EXPEDITION AGREEMENT IN THE RUSSIAN FEDERATION." In ПРОБЛЕМЫ ЧАСТНОПРАВОВОГО И ПУБЛИЧНО-ПРАВОВОГО РЕГУЛИРОВАНИЯ ТРАНСПОРТНОЙ ДЕЯТЕЛЬНОСТИ. Crossref, 2023. http://dx.doi.org/10.56777/pplaw.2023.69.45.010.

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В статье рассматриваются практические вопросы документального оформления договора транспортной экспедиции. Автором выявлены некоторые противоречия в порядке заключения данного договора на практике. Установлено, что классический порядок заключения договора не соответствует требованиям имущественного оборота в сфере экспедиционного обслуживания. The article discusses practical issues of documenting the contract of the transport expedition. The author identified some contradictions in the procedure for concluding this agreement in practice. It was established that the classic procedure for concluding an agreement does not meet the requirements of property turnover in the field of expeditionary services.
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Carvalho, Lucas, Joana Malaverri, and Claudia Medeiros. "Implementing W2Share: Supporting Reproducibility and Quality Assessment in eScience." In XI Brazilian e-Science Workshop. Sociedade Brasileira de Computação - SBC, 2020. http://dx.doi.org/10.5753/bresci.2017.9916.

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An open problem in scientific community is that of supporting reproducibility and quality assessment of scientific experiments. Solutions need to be able to help scientists to reproduce experimental procedures in a reliable manner and, at the same time, to provide mechanisms for documenting the experiments to enhance integrity and transparency. Moreover, solutions need to incorporate features that allow the assessment of procedures, data used and results of those experiments. In this context, we designed W2Share, a framework to meet these requirements. This paper introduces our first implementation of W2Share, which moreover guides scientists in step-by-step process to ensure reproducibility based on a script-to-workflow conversion strategy. W2Share also incorporates features that allow annotating experiments with quality information. We validate our prototype using a real-world scenario in Bioinformatics.
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Brown, Sean P., and Christopher L. Hagen. "Optimized Engine Performance for a 1 KW UAV Hybrid Powertrain." In ASME 2017 Internal Combustion Engine Division Fall Technical Conference. American Society of Mechanical Engineers, 2017. http://dx.doi.org/10.1115/icef2017-3555.

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This paper is one of the first publications documenting the performance optimization of a port fuel injected, spark ignited, internal combustion engine for an unmanned aerial vehicle hybrid powertrain. An optimized hybrid powertrain enables long-duration quadcopter flight and provides vertical takeoff and landing capability for fixed-wing aircraft. This technology can improve flight times and lessen runway requirements, helping to solve two of the biggest problems faced by the booming UAV industry. The main activities contributing to this hybrid powertrain effort are the development of a small engine test facility, design of powertrain vehicle integration hardware, and the testing and characterization of both electric motor-generators and fuel-injected two-stroke engines. This paper investigates engine testing completed to date including experimental setup, testing procedures, data post processing, and results.
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Rodery, Clay D., Scott Hamilton, Neil Ferguson, and Gonghyun Jung. "Defining the How and When to Execute Single Stud Replacement (SSR) of Bolted Flanged Joints." In ASME 2019 Pressure Vessels & Piping Conference. American Society of Mechanical Engineers, 2019. http://dx.doi.org/10.1115/pvp2019-93687.

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Abstract Single Stud Replacement (SSR), or as currently known in ASME PCC-2 as “Hot Bolting” is the removal and replacement of studs on a bolted joint on a one at a time basis in a predetermined sequence. One of the key aspects in the successful execution of this activity is the determination of the appropriate maximum pressure governing the operation. The guidance currently provided in ASME PCC-2 is somewhat arbitrary and vague, and some clearer definition of a technical basis in this area would be valuable to industry in terms of both productivity and safety. To provide additional clarity to this activity, a Task Group within the ASME Post Construction Subcommittee on Flanged Joint Assembly is redrafting the article detailing procedures for Single Stud Replacement. This paper discusses the work and focuses on the task of determining and documenting a technical basis for setting the limits (e.g., maximum pressure, effects of external moments, etc.) to safely execute a Single Stud Replacement operation.
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Al-Hamrany, A., M. Amer, A. Ali, and H. Alqahtany. "Streamlining Failure Investigations in Drilling Operations Using a Digitized Approach." In SPE/IADC Middle East Drilling Technology Conference and Exhibition. SPE, 2025. https://doi.org/10.2118/225694-ms.

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Abstract Drilling operations are subjected to numerous challenges due to diverse operational types and industrial complexities. To advance operationally, mitigating recurrent failures necessitates comprehensive investigations across various organizations and service providers. Traditional investigative methods often involve disconnected entities and inefficient procedures. This process presents a novel methodology for streamlining failure investigations leveraging expert domain knowledge. By collecting and analyzing failure data, investigators determine root causes and contributory factors. Smart features enable retrieval of historical investigation data for recurring failures, reducing non-productive time and optimizing drilling operations. Implementation results show significant improvements in tracking and investigating tool failures, yielding a 30% process enhancement over traditional approaches. Additional benefits include fostering collaboration among multidisciplinary teams and documenting investigations within a structured database. Lessons learned are captured in a centralized knowledge base, facilitating future reference. This paper introduces an innovative framework for managing and tracking failure investigations, illustrating its applicability to intricate cases involving disparate data sources and cross-functional teams.
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Wang, Ru, Guoxin Wang, Yan Yan, et al. "Ontology-Based Representation of Meta-Design in Designing Decision Workflows." In ASME 2017 International Design Engineering Technical Conferences and Computers and Information in Engineering Conference. American Society of Mechanical Engineers, 2017. http://dx.doi.org/10.1115/detc2017-67817.

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Utilizing the enterprise capital related the knowledge of design processes has become a crucial to improve enterprise agility and respond to shifts or changes in markets. The complexity and uncertainty of design processes raise the challenge of capturing tacit knowledge and the ability to provide assistance in designing design processes. In this paper, an ontology is proposed for capturing, representing and documenting the knowledge related to hierarchical decision workflows in the meta-design of complex engineered systems. The ontology is developed in the context of Decision Support Problem Technique (DSPT), taking into account the requirements being able to guide assistance in designing design workflows, and integrating problem, product and process information in a design decision-making process. Then, the method of building procedure and design of process templates are presented to facilitate the reuse of the populated template instances in future design. Finally, the meta-design of the heat exchanger in a small thermal system is presented as an example to illustrate the effectiveness of this approach.
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Pokorny, Joel, and Vivianne C. Smith. "Color matching as a clinical tool." In OSA Annual Meeting. Optica Publishing Group, 1986. http://dx.doi.org/10.1364/oam.1986.tuo2.

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Color matching is the definitive technique for documenting normal color vision and for diagnosing congenital color vision defects. The efficacy of the technique lies in the widely accepted supposition that color matching directly reflects the number and spectral sensitivities of the active receptor types. Color matching behavior may be modified by systemic or ophthalmic disease. There are two major ways in which disease alters color matching; the match-midpoint may be shifted (an alteration of normal color vision) and/or the match-width may be enlarged (a reduction of normal color vision). The nature of the change often allows precise interpretation of the etiology of the functional change. Simplified procedures which we use for clinical evaluation include a match of a yellow to a mixture of red and green (the Rayleigh equation) and a match of blue-green to a mixture of blue and green (the Moreland equation). To evaluate reduced forms of color vision we use a match of a green to a mixture of red and blue (a dichromatic coefficient). Examples are given of alteration systems (both prereceptoral and retinal) and reduction systems (both receptoral and neural).
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Leamy, Michael J., and Anthony A. DiCarlo. "Phonon Prediction in Toroidal Carbon Nanotubes Using a Continuum Finite Element Approach." In ASME 2007 International Design Engineering Technical Conferences and Computers and Information in Engineering Conference. ASMEDC, 2007. http://dx.doi.org/10.1115/detc2007-35907.

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This work develops a tensor-based, reduced-order shell finite element formulation used to predict the phonon behavior of toroidal carbon nanotubes (CNTs). Displacements referencing two covariant basis vectors lying in the toroid’s tangent space, and one basis vector orthogonal to the tangent space, capture the kinematics of the toroidal CNT. These basis vectors compose a curvilinear coordinate system. Although specific attention is on toroidal CNTs, the formulation can be quickly adapted to cylindrical or other curvilinear CNTs by appropriate replacement of the metric tensor components and Christoffel symbols. The finite element procedure originates from a variational statement (Hamilton’s Principle) governing virtual work from internal, external (not considered), and inertial forces. Internal virtual work is related to changes in atomistic potential energy accounted for by an interatomic potential computed at reference area elements. Small virtual changes in the displacements allow a global mass and stiffness matrix to be computed, and these matrices then allow phonons to be predicted via the general eigenvalue problem. Results are generated for example toroidal CNTs documenting zero-energy behavior (rigid body motion) and the lowest phonons, which include the expected breathing-like and bending-like phonons.
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Reports on the topic "Procedural documenting"

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Goswami, Amlanjyoti, Deepika Jha, Sudeshna Mitra, Sahil Sasidharan, Kaye Lushington, and Mukesh Yadav. Land Records Modernisation in India: Gujarat. Indian Institute for Human Settlements, 2021. http://dx.doi.org/10.24943/9788195489381.

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This work provides an institutional, legal and policy review of crucial aspects of land records modernisation systems in Gujarat. Recognising the significance of land and its management for the state economy, Gujarat was among the early states to computerise its land records and processes and integrate them. In 2009, the state introduced resurveys using modern technology, which resulted in promulgation of updated records in more than sixty percent of villages, before being paused in 2018. Apart from political leadership, administrative initiatives such as documenting procedures and operational guidelines, incentivising of regular progress and reporting, and regular capacity building helped the state in making a significant progress. Gujarat is among the most urbanised and industrialised states in the country, and this volume presents case studies on the state of land and property records in urban and industrial areas, and the attempts to modernise them.
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Whitfield, Paula, Jenny Davis, Amanda Tritinger, et al. Swan Island : monitoring and adaptive management plan. Engineer Research and Development Center (U.S.), 2022. http://dx.doi.org/10.21079/11681/45044.

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Swan Island is a 10.12 ha island located in the Maryland waters of the Chesapeake Bay. Because of its value as a natural wave break for the town of Ewell on nearby Smith Island, as well as the ongoing erosion and subsidence of the island, in 2019 US Army Corps of Engineers (USACE)–Baltimore District placed 45,873 m³ of dredged sediment and planted 200,000 marsh plants. This restoration provided an opportunity to quantify the engineering (that is, resilience) and ecological performance of the island, postplacement. The lack of quantitative data on the performance of natural features such as islands has led to perceived uncertainties that are often cited as barriers to implementation. To address these data gaps, a multidisciplinary collaboration of five government entities identified project objectives and monitoring parameters through a series of mediated workshops and then developed a conceptual model to articulate those parameters and the linkages between them. This monitoring and adaptive management plan (MAMP) documents those monitoring parameters and procedures and can serve as an example for other scales, regions, and research questions. Documenting research and monitoring efforts may help to foster widespread acceptance of nature-based solutions such as islands.
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Ziesler, Pamela, and James Horn. Statistical abstract: 2024. National Park Service, 2025. https://doi.org/10.36967/2310175.

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In the pages that follow, a series of tables and figures display visitor use statistics for calendar year 2024. By documenting visits, hours, and overnight stays across the National Park System, the National Park Service (NPS) Statistical Abstract offers a historical record of visitor use in parks and provides NPS staff and partners with a useful tool for effective management and planning. In 2024, 404 of 433 National Park System units collected and reported visitor use statistics; the remainder are unable to do so for a variety of reasons such as administration by another agency, non-federal land ownership, or new parks that lack staff and facilities for the management of visitor use statistics. The responsibility for compiling and summarizing visitor use statistics resides with the Socioeconomic and Resource Recovery Division in the Natural Resource Stewardship and Science Directorate. The Division relies on the conscientious efforts of NPS field personnel to count, record, and report visitor use. This system of collecting and summarizing monthly visitor use data is combined with continuous review and assessment of park visitor use estimation procedures to promote consistency and accuracy of data. Detailed instructions for the units that collect data, monthly visitation summaries, and reports displaying trends in park visitation are available on the NPS Visitor Use Statistics website.
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Ziesler, Pamela, and Claire Spalding. Statistical abstract: 2023. National Park Service, 2024. http://dx.doi.org/10.36967/2304344.

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In the pages that follow, a series of tables and figures display visitor use statistics for calendar year 2023. By documenting visits, hours, and overnight stays across the National Park System, the National Park Service (NPS) Statistical Abstract offers a historical record of visitor use in parks and provides NPS staff and partners with a useful tool for effective management and planning. In 2023, 400 of the 428 National Park System units collected and reported visitor use statistics; the remainder are unable to do so for a variety of reasons such as administration by another agency, non-federal land ownership, or new parks that lack staff and facilities for the management of visitor use statistics. The responsibility for compiling and summarizing visitor use statistics resides with the Social Science Program in the NPS Natural Resource Stewardship and Science Directorate. The Program relies on the conscientious efforts of NPS field personnel to count, record, and report visitor use. This system of collecting and summarizing monthly visitor use data is combined with continuous review and assessment of park visitor use estimation procedures to promote consistency and accuracy of data. Detailed instructions for the units that collect data, monthly visitation summaries, and reports displaying trends in park visitation are available on the NPS Visitor Use Statistics website (https://irma.nps.gov/Stats/)
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Ward, Kimiora. Sierra Nevada Network high elevation white pine monitoring: 2021 annual report. National Park Service, 2024. http://dx.doi.org/10.36967/2302327.

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Abstract:
Five-needle white pines (Family Pinaceae, Genus Pinus, Subgenus Strobus), and in particular whitebark pine (Pinus albicaulis), limber pine (P. flexilis), and foxtail pine (P. balfouriana) are foundation species in upper subalpine and treeline forests of several National Park Service Pacific West Region parks, including Sequoia and Kings Canyon National Parks (SEKI) and Yosemite National Park (YOSE). The Sierra Nevada Network Inventory &amp; Monitoring Program, in collaboration with the Klamath Network, Upper Columbia Basin Network, and Mojave Desert Network have implemented a joint long-term monitoring protocol to assess the current status and future trends in high elevation white pine communities. Key demographic parameters within white pine forest communities will be estimated by monitoring individual trees within permanent plots through time. This report documents the results of the 2021 field season, which was the eighth year of monitoring in Sequoia and Kings Canyon National Parks (SEKI) and Yosemite National Park (YOSE). The 2021 goal was to complete the third full re-measure of the second of three rotating panels (Panel 2) for each species-park population: YOSE-whitebark pine, SEKI-whitebark pine, and SEKI-foxtail pine. Each panel consists of 12 permanent 50 x 50 m (2,500 m2) plots that were randomly selected for each of the three populations. The full sampling array thus includes a total of 36 whitebark pine plots in YOSE, 36 whitebark pine plots in SEKI, and 36 foxtail pine plots in SEKI. Data from plot surveys will be used to characterize white pine forest community dynamics in SEKI and YOSE, including changes in tree species composition, forest structure, forest health, and demographics. The first full measure of all Panel 2 plots was completed over two years in 2013-2014, then a full remeasure of both parks? whitebark pine Panel 2 was conducted in 2016, with 10 of 12 SEKI-foxtail plots sampled that year. A third remeasure of all Panel 2 plots was not possible in 2021 because a smaller crew size was necessary during the COVID-19 pandemic. In total, the crew visited 37 sites, and sampled 31, during the 2021 field season. One plot in the YOSE whitebark pine frame was uninstalled before reading and one plot in the SEKI whitebark pine frame was uninstalled after reading, both for safety concerns. Four plots were not visited due to lack of capacity with the reduced crew size: one in each of the YOSE and SEKI whitebark frames, and three in the SEKI foxtail frame. A plot from Panel 3 in each of the parks? whitebark frames was measured, for a total of 11 plots measured in each whitebark pine frame. Nine plots were measured in the SEKI foxtail pine frame. Within the 31 plots completed, a total of 5,728 trees was measured. Species composition, forest structure, and factors affecting tree health and reproduction, including incidence and severity of white pine blister rust (Cronartium ribicola) infection, mountain pine beetle (Dendroctonus ponderosae) infestation, dwarf mistletoe (Arceuthobium spp.) infection, canopy kill, female cone production and regeneration were recorded. During the 2021 field season, crews continued to count the total number of mature cones per tree for whitebark and foxtail pine, use crown condition codes to assess crown health, and tag individual seedlings to be tracked through time. All three of these procedures started in 2017 and are to be evaluated by each of the three participating networks over several years, to determine whether they should become permanent changes to the monitoring protocol. In YOSE, 11 whitebark pine plots were re-measured, from Panels 2 and 3. A total of 2,810 trees were sampled, which included 586 live whitebark pine trees and 2,097 other live conifers. An additional 127 trees (including 17 whitebark pine) were recorded as dead. The forest crew noted little sign of white pine blister rust (WPBR) in Yosemite in 2021, and just a single inactive canker was observed on one whitebark pine in Panel 3, Plot 42, near Dana Meadows. This infection was new to plot 42, and it expands the total number of plots where white pine blister rust has been documented in Yosemite to six. The crew also noted little mountain pine beetle activity, documenting beetle galleries on 15 lodgepole pines in three Panel 2 plots. Dwarf mistletoe was not observed. The average number of live whitebark pine trees per plot was 53 (SD = 56). This was a low cone crop year for whitebark pine, with two percent of live whitebark pine trees producing female cones. Cone bearing trees averaged 2 (SD = 1) cones per tree. Whitebark pine seedling density averaged 90 (SD = 157) seedlings per hectare. The largest number of whitebark pine seedlings found in a plot was four, and three of the eleven plots contained whitebark seedlings. In SEKI, 10 of 12 Panel 2, and one Panel 3, whitebark pine plots were re-measured. Within these plots, 1,246 live whitebark pine, 30 live foxtail pine, and 861 other live conifers were sampled. WPBR was infrequently documented in the SEKI whitebark frame as well, with indicators of infection in Plot 31 near Window Creek and Plot 44 near Upper State Lake. These were the first infections documented in these plots, bringing the number of plots where WPBR has been documented in the SEKI whitebark panel to nine. Although WPBR was documented in Plot 27 near Charlotte Dome in 2016, it was not documented this year because putative cankers showing three signs of infection in 2016 showed only two or fewer signs in 2021. Mountain pine beetle activity was observed in one live lodgepole pine and two recently dead whitebark pine, within three plots in the SEKI whitebark sample frame. An exception to the low levels of mountain pine beetle activity was outside Plot 31 in the Window Creek area, where the forest crew noted many recently dead whitebark pine with signs of beetle activity. Dwarf mistletoe was not encountered. The average number of live whitebark pine trees per plot was 113 (SD = 86). Less than one percent of live whitebark pine trees produced female cones, each producing on average 2 (SD = 1) cones. Whitebark seedling regeneration averaged 303 (SD = 319) seedlings per hectare. The largest number of whitebark seedlings found in a plot was eight, and eight of the 11 plots contained whitebark seedlings. Nine of the 12 SEKI foxtail Panel 3 plots were remeasured. Within these plots, 413 live foxtail pine, 67 live whitebark pine, and 402 other live conifers were sampled. Ninety-two dead or recently dead trees were also documented, 65 of which were foxtail pine. No signs of blister rust infection, mistletoe, or mountain pine beetle were observed in the foxtail plots sampled. The average number of foxtail pine trees per plot was 46 (SD = 33). Fifty-four percent of the foxtail pine trees produced female cones, averaging 14 (SD =15) cones/tree. Only one foxtail pine seedling was recorded within the 9 foxtail pine plots, resulting in an estimated 14 (SD = 41) seedlings per hectare. Eight whitebark pine seedlings were also found within two plots.
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