Academic literature on the topic '70 CE'

Create a spot-on reference in APA, MLA, Chicago, Harvard, and other styles

Select a source type:

Consult the lists of relevant articles, books, theses, conference reports, and other scholarly sources on the topic '70 CE.'

Next to every source in the list of references, there is an 'Add to bibliography' button. Press on it, and we will generate automatically the bibliographic reference to the chosen work in the citation style you need: APA, MLA, Harvard, Chicago, Vancouver, etc.

You can also download the full text of the academic publication as pdf and read online its abstract whenever available in the metadata.

Journal articles on the topic "70 CE"

1

Foster, Paul. "Book Review: JEWISH HISTORY — 70 CE—640 CE." Expository Times 119, no. 10 (July 2008): 518. http://dx.doi.org/10.1177/00145246081190101207.

Full text
APA, Harvard, Vancouver, ISO, and other styles
2

Brumwell, Dom Anselm. "Book Review: Torah Praxis after 70 CE." Downside Review 133, no. 467 (January 2015): 110–14. http://dx.doi.org/10.1177/001258061513346709.

Full text
APA, Harvard, Vancouver, ISO, and other styles
3

Hurtado, L. W. "Pre-70 CE Jewish Opposition to Christ-Devotion." Journal of Theological Studies 50, no. 1 (April 1, 1999): 35–58. http://dx.doi.org/10.1093/jts/50.1.35.

Full text
APA, Harvard, Vancouver, ISO, and other styles
4

D, Y. M. "Est-ce possible : 70 % d’hypertendus contrôlés en 2015 ?" Option/Bio 24, no. 500 (December 2013): 10. http://dx.doi.org/10.1016/s0992-5945(13)71559-9.

Full text
APA, Harvard, Vancouver, ISO, and other styles
5

Saldarini, Anthony J., and David Instone Brewer. "Techniques and Assumptions in Jewish Exegesis before 70 CE." Journal of Biblical Literature 113, no. 4 (1994): 719. http://dx.doi.org/10.2307/3266726.

Full text
APA, Harvard, Vancouver, ISO, and other styles
6

Reif, S. C., and D. I. Brewer. "Techniques and Assumptions in Jewish Exegesis before 70 CE." Vetus Testamentum 44, no. 3 (July 1994): 422. http://dx.doi.org/10.2307/1535228.

Full text
APA, Harvard, Vancouver, ISO, and other styles
7

Goldman, Edward A., and David Instone Brewer. "Techniques and Assumptions in Jewish Exegesis before 70 CE." Journal of the American Oriental Society 114, no. 3 (July 1994): 506. http://dx.doi.org/10.2307/605118.

Full text
APA, Harvard, Vancouver, ISO, and other styles
8

Collins, Nina L., and David Instone Brewer. "Techniques and Assumptions in Jewish Exegesis before 70 CE." Novum Testamentum 35, no. 3 (July 1993): 295. http://dx.doi.org/10.2307/1561546.

Full text
APA, Harvard, Vancouver, ISO, and other styles
9

Instone-Brewer, D. "The Eighteen Benedictions and the Minim before 70 CE." Journal of Theological Studies 54, no. 1 (April 1, 2003): 25–44. http://dx.doi.org/10.1093/jts/54.1.25.

Full text
APA, Harvard, Vancouver, ISO, and other styles
10

Setzer, Claudia. "Book Review: Related Strangers: Jews and Christians 70–170 ce." Interpretation: A Journal of Bible and Theology 51, no. 3 (July 1997): 324–25. http://dx.doi.org/10.1177/002096439605100327.

Full text
APA, Harvard, Vancouver, ISO, and other styles

Dissertations / Theses on the topic "70 CE"

1

Brewer, David Instone. "Techniques and assumptions in Jewish exegesis before 70 CE." Thesis, University of Cambridge, 1989. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.253740.

Full text
APA, Harvard, Vancouver, ISO, and other styles
2

Lincoln, Lawrence Ronald. "A socio-historical analysis of Jewish banditry in first century Palestine 6 to 70 CE." Thesis, Stellenbosch : University of Stellenbosch, 2005. http://hdl.handle.net/10019.1/2695.

Full text
Abstract:
Thesis (MPhil (Dept. of Ancient Studies) -- University of Stellenbosch, 2005.
This thesis sets out to examine, as far as possible within the constraints of a limited study such as this, the nature of the Jewish protest movement against the occupation of their homeland by the Roman Empire in the years after the territory had become a direct province of the Empire. These protests were mainly instigated by and initially led by Jewish peasants who experienced the worst aspects of becoming a part of the larger Roman world.
APA, Harvard, Vancouver, ISO, and other styles
3

Knight, Jayne Elizabeth. "The politics of anger in Roman society : a study of orators and emperors, 70 BCE-68 CE." Thesis, University of British Columbia, 2015. http://hdl.handle.net/2429/54315.

Full text
Abstract:
This dissertation examines the sociopolitical dynamics of anger in Roman public life during the late Republic and early Principate, specifically within the professional contexts of the orator and the emperor. I am interested in Roman thought on the pragmatic functions of anger during this time period. Evidence for how anger was employed by orators and emperors is drawn from a broad range of Roman prose sources. My analysis is both philological and historical in nature. I examine how the Latin lexicon of anger is deployed by authors and consider how diction functions in the representation of political anger. My analysis acquires a chronological shape as I trace the ways in which Roman discourse about the roles of anger in public life changes during the transition from Republic to Principate. Chapter 1 provides methodological background and contextualizes this project within the subfield of ancient emotion studies. Concepts taken from emotions history are defined and adapted for usage in Roman contexts. Chapter 2 discusses the Latin lexicon of anger and its relationship with ancient philosophical understandings of anger. Chapter 3 is the first of two chapters on anger in Ciceronian oratory. It features discussions of In Verrem 1, In Catilinam 1-2, Pro Murena, and Pro Milone. These case studies reveal how Cicero approached anger as an advocate and a consul. Chapter 4 examines Cicero’s treatment of anger late in his career in the Caesarianae and the Philippics. Chapter 5 presents sources on the anger of Augustus and explores how the first emperor developed an imperial emotional persona. I demonstrate that a balance between expressions of anger and displays of mercy was important to this persona. Chapter 6 considers how the remaining Julio-Claudian emperors employed anger in their regimes, with an eye toward their adaptation and/or perversion of the standard set by Augustus. This dissertation expands our understanding of Roman thought on anger, which has traditionally been accessed through the lens of philosophical writings on emotion. It demonstrates that anger is represented in many sources as an essential tool of both public speaking and imperial leadership at Rome.
Arts, Faculty of
Classical, Near Eastern and Religious Studies, Department of
Graduate
APA, Harvard, Vancouver, ISO, and other styles
4

Sorek, Susan. "The Jewish benefaction system in Roman Palestine (2nd century BCE - 6th century CE)." Thesis, University of Wales Trinity Saint David, 2004. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.683197.

Full text
APA, Harvard, Vancouver, ISO, and other styles
5

Vargas, Miguel M. "Causes of the Jewish Diaspora Revolt in Alexandria: Regional Uprisings from the Margins of Greco-Roman Society, 115-117 CE." Thesis, University of North Texas, 2016. https://digital.library.unt.edu/ark:/67531/metadc849731/.

Full text
Abstract:
This thesis examines the progression from relatively peaceful relations between Alexandrians and Jews under the Ptolemies to the Diaspora Revolt under the Romans. A close analysis of the literature evidences that the transition from Ptolemaic to Roman Alexandria had critical effects on Jewish status in the Diaspora. One of the most far reaching consequences of the shift from the Ptolemies to Romans was forcing the Alexandrians to participate in the struggle for imperial patronage. Alexandrian involvement introduced a new element to the ongoing conflict among Egypt’s Jews and native Egyptians. The Alexandrian citizens consciously cut back privileges the Jews previously enjoyed under the Ptolemies and sought to block the Jews from advancing within the Roman system. Soon the Jews were confronted with rhetoric slandering their civility and culture. Faced with a choice, many Jews forsook Judaism and their traditions for more upwardly mobile life. After the outbreak of the First Jewish War Jewish life took a turn for the worse. Many Jews found themselves in a system that classified them according to their heritage and ancestry, limiting advancement even for apostates. With the resulting Jewish tax (fiscus Judaicus) Jews were becoming more economically and socially marginalized. The Alexandrian Jews were a literate society in their own right, and sought to reverse their diminishing prestige with a rhetoric of their own. This thesis analyzes Jewish writings and pagan writings about the Jews, which evidences their changing socio-political position in Greco-Roman society. Increasingly the Jews wrote with an urgent rhetoric in attempts to persuade their fellow Jews to remain loyal to Judaism and to seek their rights within the construct of the Roman system. Meanwhile, tensions between their community and the Alexandrian community grew. In less than 100 years, from 30 CE to 117 CE, the Alexandrians attacked the Jewish community on at least three occasions. Despite the advice of the most Hellenized elites, the Jews did not sit idly by, but instead sought to disrupt Alexandrian meetings, anti-Jewish theater productions, and appealed to Rome. In the year 115 CE, tensions reached a high. Facing three years of violent attacks against their community, Alexandrian Jews responded to Jewish uprisings in Cyrene and Egypt with an uprising of their own. Really a series of revolts, historians have termed these events simply “the Diaspora Revolt.”
APA, Harvard, Vancouver, ISO, and other styles
6

Lincoln, Lawrence Ronald. "A socio-historical analysis of Jewish banditry in first century Palestine : 6 to 70 CE /." 2006. http://hdl.handle.net/10019.1/2695.

Full text
APA, Harvard, Vancouver, ISO, and other styles

Books on the topic "70 CE"

1

The development and symbolism of Passover until 70 CE. London: T & T Clark International, 2004.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
2

Sulian gao ceng jue ce 70 nian: Cong Liening dao Ge'erbaqiaofu. Beijing: Shi jie zhi shi chu ban she, 1998.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
3

Torah praxis after 70 CE: Reading Matthew and Luke-Acts as Jewish texts. Tübingen, Germany: Mohr Siebeck, 2013.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
4

Chava, Cassel, ed. Torah centers and rabbinic activity in Palestine, 70-400 CE: History and geographic distribution. Leiden: Brill, 2010.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
5

Was 70 CE a watershed in Jewish history?: On Jews and Judaism before and after the destruction of the Second Temple. Leiden: Brill, 2011.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
6

Schärer, Hans. Hans Schärer: Œuvres 1980-1990 : 70 œuvres choisies, 55 dessins originaux en fac-similé créés pour ce livre. Genève: Galerie Anto Meier, 1991.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
7

Machado, Susana Sousa. Contrato de trabalho a termo: A transposição da directiva 199/70/CE para o ordenamento jurídico português : (in)compatibilidades. Coimbra: Coimbra Editora, 2009.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
8

Machado, Susana Sousa. Contrato de trabalho a termo: A transposição da directiva 199/70/CE para o ordenamento jurídico português : (in)compatibilidades. Coimbra: Coimbra Editora, 2009.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
9

Chang zheng zhui zong: Ji nian hong jun chang zheng sheng li 70 zhou nian da xing she ying hua ce. Beijing shi: Jun shi ke xue chu ban she, 2006.

Find full text
APA, Harvard, Vancouver, ISO, and other styles
10

Can ting fu wu yuan gang wei pei xun shou ce: Can ting fu wu yuan ying zhi ying hui de 9 da gong zuo shi xiang he 70 ge gong zuo xiao xiang. Beijing: Ren min you dian chu ban she, 2015.

Find full text
APA, Harvard, Vancouver, ISO, and other styles

Book chapters on the topic "70 CE"

1

Stemberger, Guenter. "The Formation of Rabbinic Judaism, 70-640 CE." In The Blackwell Companion to Judaism, 78–92. Oxford, UK: Blackwell Publishing Ltd, 2008. http://dx.doi.org/10.1002/9780470758014.ch5.

Full text
APA, Harvard, Vancouver, ISO, and other styles
2

Reich, Ronny. "The Roman Destruction of Jerusalem in 70 CE." In Jerusalem und die Länder, 117–32. Göttingen: Vandenhoeck & Ruprecht, 2009. http://dx.doi.org/10.13109/9783666533907.117.

Full text
APA, Harvard, Vancouver, ISO, and other styles
3

Aberbach, David. "Defeat, nationalism and Jewish education after 70 CE." In Nationalism, War and Jewish Education, 74–82. Milton Park, Abingdon, Oxon ; New York, NY : Routledge, 2019. | Series: Routledge Jewish studies series: Routledge, 2018. http://dx.doi.org/10.4324/9780429432750-5.

Full text
APA, Harvard, Vancouver, ISO, and other styles
4

Levine, Lee I. "Jews and Judaism in Palestine (70–640 CE): A New Historical Paradigm." In The Faces of Torah, 395–412. Göttingen: Vandenhoeck & Ruprecht, 2017. http://dx.doi.org/10.13109/9783666552540.395.

Full text
APA, Harvard, Vancouver, ISO, and other styles
5

Destro, A., and M. Pesce. "The Groups of Jesus’ Followers in Jerusalem: Fractionation and Divergencies (30-70 ce)." In JAOC Judaïsme antique et origines du christianisme, 153–200. Turnhout, Belgium: Brepols Publishers, 2019. http://dx.doi.org/10.1484/m.jaoc-eb.5.117940.

Full text
APA, Harvard, Vancouver, ISO, and other styles
6

Runesson, Anders, and Wally V. Cirafesi. "Reassessing the Impact of 70 CE on the Origins and Development of Palestinian Synagogues." In The Synagogue in Ancient Palestine: Current Issues and Emerging Trends, 37–58. Göttingen: Vandenhoeck & Ruprecht, 2020. http://dx.doi.org/10.13109/9783666522147.37.

Full text
APA, Harvard, Vancouver, ISO, and other styles
7

Sala, Dariusz, and Bogusław Bieda. "Role of Stochastic Approach Applied to Life Cycle Inventory (LCI) of Rare Earth Elements (REEs) from Secondary Sources Case Studies." In Towards a Sustainable Future - Life Cycle Management, 107–20. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-77127-0_10.

Full text
Abstract:
AbstractMonte Carlo (MC) simulation using Crystal Ball® (CB) software is applied to life cycle inventory (LCI) modelling under uncertainty. Input data for all cases comes from the ENVIREE (ENVIronmentally friendly and efficient methods for extraction of Rare Earth Elements), i.e. from secondary sources eco-innovative project within the second ERA-NET ERA-MIN Joint Call Sustainable Supply of Raw Materials in Europe 2014. Case studies described the flotation tailings from the New Kankberg (Sweden) old gold mine and Covas (Portugal) old tungsten mine sent to re-processing/beneficiation for rare earth element (REE) recovery. In this study, we conduct the MC analysis using the CB software, which is associated with Microsoft® Excel spreadsheet model, used in order to assess uncertainty concerning cerium (Ce), lanthanum (La), neodymium (Nd) and tungsten (W) taken from Covas flotation tailings, as well as Ce, La and Nd taken from New Kankberg flotation tailings, respectively. For the current study, lognormal distribution has been assigned to La, Ce, Nd and W. In the case of Covas, the weights of each selected Ce, La, Nd and W are 32 ppm, 16 ppm, 15 ppm and 1900 ppm, respectively, whereas in the case of New Kankberg, the weights of each selected Ce, La and Nd are 170 ppm, 90 ppm and 70 ppm, respectively. For the presented case, lognormal distribution has been assigned to Ce, La, Nd and W. The results obtained from the CB, after 10,000 runs, are presented in the form of frequency charts and summary statistics. Thanks to uncertainty analysis, a final result is obtained in the form of value range. The results of this study based on the real data, and obtained using MC simulation, are more reliable than those obtained from the deterministic approach, and they have the advantage that no normality is presumed.
APA, Harvard, Vancouver, ISO, and other styles
8

Stenstrup, Ken. "Lee I. Levine, Jerusalem: Portrait of the City in the Second Temple Period (538 BCE–70 CE)." In Perspectives on Hebrew Scriptures I, 846–48. Piscataway, NJ, USA: Gorgias Press, 2006. http://dx.doi.org/10.31826/9781463210823-128.

Full text
APA, Harvard, Vancouver, ISO, and other styles
9

Botticini, Maristella, and Zvi Eckstein. "70 CE–1492." In The Chosen Few. Princeton University Press, 2012. http://dx.doi.org/10.23943/princeton/9780691144870.003.0002.

Full text
Abstract:
This chapter describes how many Jews there were, where they lived, and how they earned their living from the time of the destruction of the Second Temple to the mass expulsion of the Jews from the Iberian Peninsula. During the six centuries between the time of Jesus and the time of Muhammad, the number of Jews declined precipitously. Throughout these six centuries, most Jews earned their living from agriculture, as farmers, sharecroppers, fixed-rent tenants, or wage laborers. During the first century, the largest Jewish community dwelled in the Land of Israel. By the mid-twelfth century, Jews could be found in almost all locations from Tudela in Spain to Mangalore in India. By then, their transition into urban skilled occupations was complete. Their specialization into these occupations remains their distinctive feature until today.
APA, Harvard, Vancouver, ISO, and other styles
10

Cohen, Charles L. "3. Constructing Judaism and Christianity (70 ce–1054 ce)." In The Abrahamic Religions: A Very Short Introduction, 41–57. Oxford University Press, 2020. http://dx.doi.org/10.1093/actrade/9780190654344.003.0003.

Full text
Abstract:
“Constructing Judaism and Christianity (70 CE–1054 CE)” looks at how as Christians felt they now had to work to put form to their religion and its institutions, Jews were faced with the task of refashioning theirs. After the Temple’s destruction in 70 ce, Jews had to replace the observances and cult that had depended on its existence, investing legitimacy in new spaces, practices, leaders, and methods of textual interpretation. Christians were similarly trying to systematize their own scriptures, theology, and ecclesiastical organization. These identity constructions took shape as each group sought to distinguish itself from the others and their political fortunes shifted. Christianity’s elevation within the Roman Empire connected the faith to state power in ways that would inform the statement of its core theological premises, amplify divisions within the Church, and configure the course of Jewish–Christian relations.
APA, Harvard, Vancouver, ISO, and other styles

Conference papers on the topic "70 CE"

1

Matos, Fernanda Gorette Castro de, Caio César Chaves De Lucena, Eunice De Oliveira Costa, Ivone Diniz Chaquiam, and Leonardo Viana De Melo. "ANÁLISE DA MORTALIDADE DO CÂNCER DE ESTÔMAGO NO MUNICÍPIO DE BELÉM, ESTADO DO PARÁ, NO PERÍODO DE 2014 A 2019." In I Congresso Nacional Multidisciplinar de Oncologia On-line. Revista Multidisciplinar em Saúde, 2021. http://dx.doi.org/10.51161/rems/1995.

Full text
Abstract:
Introdução: Há mais de cinco décadas, o câncer de estômago (CE) iniciou um declínio da taxa de mortalidade nos países desenvolvidos. Entretanto, em países em desenvolvimento, como o Brasil, o câncer é um importante problema de saúde pública, principalmente no Estado do Pará, onde esta taxa apresenta valores acima da média brasileira. Objetivos: O presente estudo tem como objetivo descrever a taxa de mortalidade relacionada ao CE em Belém-PA entre os anos de 2014 e 2019. Material e métodos: Trata-se de uma análise estatística descritiva, em que o cálculo da taxa de mortalidade do CE será realizado: número de óbitos x 1000/ número de habitantes. Para isso, serão utilizados dados obtidos no Departamento de Informática do Sistema Único de Saúde (DATASUS), e nas bases de dados do Instituto Nacional do Câncer (INCA). Para a padronização da análise, será utilizado o programa Microsoft Excel®. Resultados: Conforme dados do DATASUS, o número total de óbitos no município citado, para o período em estudo, foi de 1063. A taxa de mortalidade geral foi de 0,71. Em relação à distribuição dos óbitos por sexo, houve o número de 656 para homens e 407 para mulheres, perfazendo as taxas de mortalidade de 0,44 e 0,27, respectivamente. No que diz respeito à faixa etária, a população idosa apresentou os maiores índices. Foram 267 óbitos entre 60 e 69 anos (0,18) e 289 entre 70 e 79 anos (0,19). Estes valores são fomentados pelo aumento da faixa etária como um fator importante nestes casos, devido ao maior tempo de exposição a outros fatores de risco. Conclusão: A presente pesquisa destaca a alta taxa de mortalidade do CE no Estado do Pará, a qual se encontra em discrepância em relação às observadas em outras áreas do Brasil. Em razão disso, expõe-se a necessidade de realização de outros estudos.
APA, Harvard, Vancouver, ISO, and other styles
2

Viriato, Nicola, ETILENIA ALBERTINO DIA, ELDA RENATO CÁ, and ADILSA MANUEL QUADÉ. "DIVERSIDADE DE ARANEAE (ARANHAS) NO BIOMA DA MATA ATLÂNTICA NO PARQUE DAS TRILHAS, GUARAMIRANGA-CE." In II Congresso Brasileiro de Biodiversidade Virtual. Revista Multidisciplinar de Educação e meio ambiente, 2022. http://dx.doi.org/10.51189/ii-conbiv/7100.

Full text
Abstract:
Introdução: A Mata Atlântica é conhecida como um dos biomas que apresenta alta diversidade biológica, e ao mesmo tempo como um dos biomas mais ameaçados em decorrência da alta ocupação humana das suas áreas e das crescentes agressões dos seus habitats por atividades antrópicas, entre os quais destaca-se, agropecuária, desmatamento florestal e exploração insustentável dos recursos naturais existentes neste bioma. Dessa forma, os seres vivos residentes nas áreas de mata atlântica, são suscetíveis aos efeitos nocivos das atividades antrópicas desenvolvidas nesses biomas, o que torna necessário e importante estudar a diversidade biológica, que habitam nesses ecossistemas para a melhor gestão e gerenciamento desse bioma. Nesse caso a Ordem Araneae, desempenha um importante papel ecológico nesses biomas, são considerados como indicadores biológicos de alterações ambientais nas comunidades bióticas. Objetivo: O presente trabalho objetiva identificar a diversidade de Araneae (aranhas) encontradas no Bioma da Mata Atlântica, no Parque Das Trilhas, Guaramiranga-CE. Material e métodos: A pesquisa é de natureza básica com abordagem qualitativa e quantitativa. E foi realizado no Parque Das Trilhas, Guaramiranga-CE. Por meio de Batedor e de Busca ativa foram coletados setenta (70) Araneae servindo como amostras para o estudo. As amostras coletadas foram encaminhadas para o laboratório de Ecologia e Evolução da Universidade de Integração Internacional da Lusofonia Afro-Brasileira- UNILAB. Resultados: Com base nas amostras coletadas, identificou-se, cinco (5) famílias de Araneae, entre as quais a Senoculidae, Tetragnathidae, Plolcidae, Araneídea, Amourobidae. Pode-se perceber que a família Araneídea, Senoculidae e Tetragnathidae são as mais abundantes nesse parque, em comparação com as Famílias dos Plolcidae e Amourobidae. Conclusão: No entanto, é necessário que o Parque das Trilhas, Guaramiranga-CE, seja bem preservado, pois esse parque pode servir como um espaço para a realização de pesquisas científicas, desenvolvimento de atividades da Educação Ambiental e como um espaço recreativo.
APA, Harvard, Vancouver, ISO, and other styles
3

Souza, Ana Edvirgens Vasconcelos de, Francisca Flávia da Silva, José Eliézio dos Santos Filho, and Lívia Dias Dultra. "DERMATITE ATÓPICA CANINA: RELATO DE CASO." In I Congresso Brasileiro Online de Práticas Veterinárias: Uma abordagem para animais de grande porte e produção Animal. Revista Multidisciplinar em Saúde, 2022. http://dx.doi.org/10.51161/granvet-25.

Full text
Abstract:
Introdução: A dermatite atópica canina é uma doença de pele de caráter genético e inflamatório, onde o paciente torna-se sensível ao antígeno ambiental mediante a formação de anticorpos IgE, que causa afecção alérgica pruriginosa. Costuma acometer cães a partir de seis meses até 7 anos de idade, com aproximadamente 70 % dos cães afetados em idades de um a três anos. Objetivo: O atual trabalho tem como objetivo relatar um caso clínico de dermatite atópica canina, com recorrente prurido, descrevendo o método de diagnóstico e a terapia medicamentosa utilizada. Material e métodos:Umcanino, macho, SRD, oito meses de idade, foi atendido pela Médica Veterinária do Centrode Zoonoses de Sobral-Ce no dia 15 de dezembro de 2021, apresentando intenso pruridoe odor forte. A proprietária relatou que havia levado a outro veterinário, que receitou vários tratamentos, incluindo corticosteroides, antibióticos e shampoo, obtendo uma leve melhora, mas logo voltou o prurido. No exame físico foram encontrados carrapatos, blefarite e falhas no pelo. Foi realizado um exame parasitológico da pele através de um raspado cutâneo onde se comprovou a presença de sarna sarcóptica. Fo i receitado banho duas vezes por semana com shampoo de clorexidina e cetaconazol no primeiro mês. Administração de Prednisona por via oral, duas vezes ao dia (BID), durante 5 dias e após uma vez ao dia (SID) por 5 dias. Também foram indicados antiparasitários. Resultados: O diagnóstico de dermatite atópica canina foi confirmado após 30 dias da primeira consulta. A hidratação da pele neste protocolo é essencial, tendo em vista que o composto do shampoo indicado causa ressecamento da pele. Após o diagnóstico definitivo da doença, foi receitado o Apoquel® 5,4 mg, sendo a alternativa mais segura que existe atualmente para o tratamento do prurido causado pela atopia ebanhos semanalmente com os shampoos cloresten e o Allermyl Glyco. Conclusão: Aatopia é uma patologia que possui diagnóstico demorado, demonstrando a importância da realização de testes para descartar possíveis patologias com sinais clínicos semelhantes. Embora a doença necessite de um tratamento de manutenção por toda a vida é possível proporcionar uma melhor qualidade de vida ao animal.
APA, Harvard, Vancouver, ISO, and other styles
4

Lafont, J., J. H. Catherine, M. Lejeune, U. Ordioni, R. Lan, and F. Campana. "Manifestations buccales de la sclérose tubéreuse de Bourneville." In 66ème Congrès de la SFCO. Les Ulis, France: EDP Sciences, 2020. http://dx.doi.org/10.1051/sfco/20206603014.

Full text
Abstract:
L’objectif de ce travail est de faire le point sur les manifestations buccales de la sclérose tubéreuse de Bourneville (STB) à travers le cas d’un jeune patient. Un jeune homme de 15 ans était adressée pour la mise en place de minivis orthodontique afin de fermer des espaces d’agénésies de 35 et 45. L’interrogatoire retrouvait une STB dont les manifestations épileptiques étaient traitées par de la lamotrigine 75mg/j et de la carbamazépine LP 200mg/j. L’examen clinique exo-buccal retrouvait des macules hypochromiques sur le membre inférieur droit, des angiofibromes faciaux et une malformation vasculaire jugale gauche. L’examen endo-buccal retrouvait de multiples lésions buccales sur les papilles interdentaires pouvant évoquer des fibromes ou des hamartomes. Une biopsie était réalisée et retrouvait un revêtement malpighien, discrètement hyperplasique et sans atypie cellulaire. Les faisceaux collagènes du conjonctif étaient mêlés à de nombreux fibroblastes aux noyaux réguliers, sans mitose visible. Les cellules inflammatoires, essentiellement mononuclées, étaient dispersées mais tendaient à se regrouper autour de vaisseaux nombreux et hyperplasiques. L’examen concluait à un fibrome. Aucun traitement buccal n’était proposé devant l’absence de symptôme et de demande esthétique. La STB est une maladie génétique autosomique dominante avec une incidence de 1/10 000. Elle est liée à une mutation du gène TSC1 sur le chromosome 9 ou du gène TSC2 sur le chromosome 16 qui perturbe la sécrétion d’une protéine régulant la voie mTOR. C’est une maladie multisystème avec une expression clinique variable. Les principaux symptômes sont l’épilepsie, le retard mental et la présence d’adénomes sébacés, mais la maladie est associée à un polymorphisme clinique rendant le diagnostic difficile. La conférence de consensus de 2012 a ainsi défini des critères diagnostiques majeurs (lésions cutanées, oculaires, cérébrales, cardiaques, pulmonaires, rénales,..) et mineurs dont deux sont bucco-dentaires. Le diagnostic est retenu devant deux critères majeurs ou un critères majeur et deux critères mineurs. Les signes oraux sont la présence de trois ou plus puits d’émail et deux ou plus fibromes gingivaux. Les fibromes gingivaux atteindraient 50 à 70% des patients. La région antérieure maxillaire semble la plus touchée. L’exérèse est indiquée en cas de gêne esthétique ou de saignements associés. Actuellement, les inhibiteurs de mTOR représentent une option thérapeutique proposée dans la prise en charge des patients atteints de STB. La STB est une pathologie rare. La présence de lésions buccales fait partie des critères diagnostiques.
APA, Harvard, Vancouver, ISO, and other styles
5

Sergheraert, J., S. Grenier, C. Mauprivez, B. Lefevre, and S. Laurence. "Cystadénome papillaire d’une glande salivaire accessoire. A propos d’un cas." In 66ème Congrès de la SFCO. Les Ulis, France: EDP Sciences, 2020. http://dx.doi.org/10.1051/sfco/20206602011.

Full text
Abstract:
Les tumeurs des glandes salivaires sont rares et représentent 2 à 6.5 % des néoplasies de la tête et du cou. L’atteinte des glandes salivaires accessoires représente moins de 25% de l’ensemble des tumeurs des glandes salivaires [Auclair et al. 1991]. Les localisations les plus fréquentes sont : le palais, la joue et la région linguale postérieure [Tijoe et al., 2015]. La grande variabilité de l’expression clinique de ces tumeurs rend difficile l’établissement d’un diagnostic précis, d’où l’importance de l’analyse histologique. Le cas d’une tumeur bénigne des glandes salivaires accessoires de la joue est rapporté. Il s’agit d’une femme de 68 ans adressée initialement pour l’exérèse d’une lésion kystique maxillaire. Elle ne présente aucun antécédent médico-chirurgical. L’examen endobuccal révèle la découverte fortuite de plusieurs lésions nodulaires indépendantes et de tailles variables (de 0,5 à 1,5 cm de longueur dans leur grand axe) situées sur la face interne des lèvres et des joues, passées inaperçues par la patiente. La muqueuse de recouvrement est d’aspect normal. L’hygiène bucco-dentaire est défectueuse (PI>50%) et les édentements sont compensés par prothèses amovibles. A la palpation, aucune symptomatologie douloureuse n’est mise en évidence, ni d’adhésion avec les plans profonds. Ces nodules sont fermes, et pour le nodule ayant fait l’objet de l’exérèse, une suppuration apparaît. L’examen exobuccal est sans particularité, les aires ganglionnaires sont libres. L’examen radiographique est sans particularité exceptée la lésion motivant la consultation au niveau du site de 12. Les caractéristiques cliniques peuvent faire évoquer une pseudo-tumeur de glandes salivaires accessoires de type mucocèle ou une hyperplasie épithéliale (diapneusie). L’exérèse complète de la lésion de plus grande taille présentant une suppuration a été pratiquée sous anesthésie locale. Les suites opératoires ont été simples et asymptomatiques. L’examen anatomopathologique de la pièce opératoire conclut à un cystadénome papillaire d’une glande salivaire accessoire. Le cystadénome papillaire est une tumeur épithéliale bénigne rare des glandes salivaires [OMS, 2017]. Il intéresse spécialement les glandes salivaires principales, notamment la glande parotide (45%), et dans seulement 0.6 à 4% des cas une glande salivaire accessoire [Tijoe et al., 2015]. L’âge moyen de découverte se situe entre 50 et 70 ans. Le traitement de cette lésion réside dans sa simple exérèse et les récidives sont exceptionnelles. Histologiquement, la lésion est multiloculaire et du tissu conjonctif sépare les kystes, la littérature souligne la possibilité de lésions uniloculaires dans 20% des cas. Une seconde forme muqueuse moins fréquente est décrite. Le diagnostic différentiel du cystadénome papillaire comprend principalement le kyste muqueux de rétention. L’absence d’une composante lymphöde écarte le diagnostic de tumeur de Warthin. Dans ce contexte, le carcinome mucoépidermöde de bas grade doit être écarté [Stojanov et al., 2017].
APA, Harvard, Vancouver, ISO, and other styles

Reports on the topic "70 CE"

1

Melanie, Haupt, and Hellweg Stefanie. Synthèse du projet conjoint du PNR 70 «Gestion des déchets pour soutenir la transition énergétique (wastEturn)». Swiss National Science Foundation (SNSF), January 2020. http://dx.doi.org/10.46446/publication_pnr70_pnr71.2020.2.fr.

Full text
Abstract:
Les déchets renferment de grandes quantités d’énergie aussi bien directe qu’indirecte. Les déchets ménagers incinérés chaque année en Suisse représentent une valeur énergétique de quelque 60 pétajoules. L’énergie qui en est directement tirée couvre environ 4 % des besoins en énergie finale. Le plus gros potentiel en matière de gestion des déchets réside cependant dans le recyclage des matériaux, afin de leur donner une seconde vie et d’éviter ainsi indirectement la production énergivore de matières premières Pour optimiser la contribution de la gestion des déchets à la transition énergétique, il s’agit dans un premier temps d’améliorer la transparence et la documentation des flux de matières et d’argent et, sur cette base, de hiérarchiser l’impact énergétique des diverses solutions de valorisation et d’élimination. Les catégories de déchets identifiées comme ayant le plus grand potentiel d’amélioration sont le papier, le carton ainsi que le plastique. En ce qui concerne le papier et le carton, les énormes quantités traitées promettent des résultats significatifs. À l’exception des bouteilles en PET, le tri sélectif des plastiques usagés demeure encore peu développé. Un potentiel d’optimisation notable a également été identifié au niveau de l’efficacité énergétique des usines d’incinération. Pour permettre une utilisation plus efficace de la chaleur générée par les usines d’incinération d’ordures ménagère (UIOM), les consommateurs de vapeur et d’énergie thermique doivent toutefois être implantés à proximité. Un facteur décisif pour progresser vers une gestion des déchets plus efficace sur le plan énergétique est la collaboration entre les nombreux acteurs du secteur à l’échelle fédérale. Ceux-ci doivent d’une part mieux s’organiser tout au long de la chaîne de création de valeur et d’autre part tirer profit de la marge de manœuvre que procure la souplesse du fédéralisme pour tester différentes approches.
APA, Harvard, Vancouver, ISO, and other styles
2

Rezaie, Shogofa, Fedra Vanhuyse, Karin André, and Maryna Henrysson. Governing the circular economy: how urban policymakers can accelerate the agenda. Stockholm Environment Institute, September 2022. http://dx.doi.org/10.51414/sei2022.027.

Full text
Abstract:
We believe the climate crisis will be resolved in cities. Today, while cities occupy only 2% of the Earth's surface, 57% of the world's population lives in cities, and by 2050, it will jump to 68% (UN, 2018). Currently, cities consume over 75% of natural resources, accumulate 50% of the global waste and emit up to 80% of greenhouse gases (Ellen MacArthur Foundation, 2017). Cities generate 70% of the global gross domestic product and are significant drivers of economic growth (UN-Habitat III, 2016). At the same time, cities sit on the frontline of natural disasters such as floods, storms and droughts (De Sherbinin et al., 2007; Major et al., 2011; Rockström et al., 2021). One of the sustainability pathways to reduce the environmental consequences of the current extract-make-dispose model (or the "linear economy") is a circular economy (CE) model. A CE is defined as "an economic system that is based on business models which replace the 'end-of-life' concept with reducing, alternatively reusing, recycling and recovering materials in production/distribution and consumption processes" (Kirchherr et al., 2017, p. 224). By redesigning production processes and thereby extending the lifespan of goods and materials, researchers suggest that CE approaches reduce waste and increase employment and resource security while sustaining business competitiveness (Korhonen et al., 2018; Niskanen et al., 2020; Stahel, 2012; Winans et al., 2017). Organizations such as the Ellen MacArthur Foundation and Circle Economy help steer businesses toward CE strategies. The CE is also a political priority in countries and municipalities globally. For instance, the CE Action Plan, launched by the European Commission in 2015 and reconfirmed in 2020, is a central pillar of the European Green Deal (European Commission, 2015, 2020). Additionally, more governments are implementing national CE strategies in China (Ellen MacArthur Foundation, 2018), Colombia (Government of the Republic of Colombia, 2019), Finland (Sitra, 2016), Sweden (Government Offices of Sweden, 2020) and the US (Metabolic, 2018, 2019), to name a few. Meanwhile, more cities worldwide are adopting CE models to achieve more resource-efficient urban management systems, thereby advancing their environmental ambitions (Petit-Boix & Leipold, 2018; Turcu & Gillie, 2020; Vanhuyse, Haddaway, et al., 2021). Cities with CE ambitions include, Amsterdam, Barcelona, Paris, Toronto, Peterborough (England) and Umeå (Sweden) (OECD, 2020a). In Europe, over 60 cities signed the European Circular Cities Declaration (2020) to harmonize the transition towards a CE in the region. In this policy brief, we provide insights into common challenges local governments face in implementing their CE plans and suggest recommendations for overcoming these. It aims to answer the question: How can the CE agenda be governed in cities? It is based on the results of the Urban Circularity Assessment Framework (UCAF) project, building on findings from 25 interviews, focus group discussions and workshops held with different stakeholder groups in Umeå, as well as research on Stockholm's urban circularity potential, including findings from 11 expert interviews (Rezaie, 2021). Our findings were complemented by the Circular Economy Lab project (Rezaie et al., 2022) and experiences from working with municipal governments in Sweden, Belgium, France and the UK, on CE and environmental and social sustainability.
APA, Harvard, Vancouver, ISO, and other styles
3

Ripoll, Santiago, Tabitha Hrynick, Ashley Ouvrier, Megan Schmidt-Sane, Federico Marco Federici, and Elizabeth Storer. 10 façons dont les gouvernements locaux en milieu urbain multiculturel peuvent appuyer l’égalité vaccinale en cas de pandémie. SSHAP, January 2023. http://dx.doi.org/10.19088/sshap.2023.001.

Full text
Abstract:
Si l’on s’en tient aux chiffres de la vaccination contre la COVID-19 dans les pays du G7, la campagne apparaît comme un véritable succès tant au niveau global qu’au niveau national. En effet, à ce jour, 79,4 % de la population totale des pays du G7 a reçu une première dose, 72,9 % une seconde, et 45,4 % une dose de rappel (données du 28 avril 2022) 1 En France, c’est 80,6 % de la population totale qui a reçu une première dose, 78,2 % qui a reçu deux doses, et 55,4 % qui a reçu un rappel (données du 28 avril 2022).2 Au Royaume-Uni, 79,3 % de la population totale a reçu une première dose, 74,1 % une seconde, et 58,5 % un rappel.1 Enfin, en Italie, 85,2 % de la population totale a reçu une première dose, 80,4 % a reçu deux doses et 66,5 % a reçu leurs rappels (données du 28 avril 2022). Ces taux de vaccination élevés masquent pourtant des disparités importantes à l’intérieur de chaque pays. Ainsi, à Marseille, deuxième ville de France, moins de 50 % des habitants des quartiers nord de la ville étaient vaccinés à la fin de l’année 2021, alors que plus de 70 % des habitants des quartiers sud l’étaient au même moment.3 Dans le quartier populaire de Ealing, situé au nord-ouest de Londres, 70 % de la population admissible avait reçu une première dose, soit près de 10 % de moins que la moyenne nationale. 4 (Données du 4 avril 2022). Des disparités similaires ont été observées dans d’autres métropoles urbaines des pays du G7. Ce document examine ces disparités au prisme de la notion d’« (in)égalité vaccinale ». En s’appuyant sur des recherches qualitatives menées pendant la campagne de vaccination de la COVID-19 dans les quartiers nord de Marseille, le quartier de Ealing à Londres (Nord-ouest) et dans la région de l'Émilie-Romagne et à Rome, en Italie, il montre comment les autorités locales peuvent agir pour atténuer ces inégalités. Mieux comprendre les inégalités en matière de vaccins fut primordial lors de la pandémie de la COVID-19 en ce sens que les populations sous-vaccinées étaient la plupart du temps des minorités ethniques ou culturelles, vivant dans des zones défavorisées, ou sans-papiers, donc plus susceptibles de contracter la COVID-19, et d’en subir les conséquences les plus dramatiques. 5 6 7 8 Ainsi, à Ealing, quatre mois après la campagne de vaccination, seulement 57,6% des personnes dans le décile de pauvreté le plus bas avaient reçu une dose, contre 81% des personnes dans le décile le plus aisé. 9 En outre, 89,2 % des résidents britanniques blancs de Ealing étaient vaccinés, contre 64 % des Pakistanais et 49,3 % des habitants issus des Caraïbes.9 À Rome, comme c’est le cas dans d’autres métropoles urbaines des pays du G7, nos données révèlent des disparités particulières importantes entre le recours aux vaccins des populations sans papiers et celui des citoyens établis. Les facteurs d’inégalité vaccinale dans ces environnements urbains sont complexes et liés à l’interaction de nombreux phénomènes tels que les inégalités économiques, le racisme structurel, l'inégalité d'accès aux soins de santé, la méfiance envers les professionnels de santé, les représentants de l'État, et plus encore. Les collectivités locales tout comme les professionnels de la santé, les groupes communautaires et les résidents jouent un rôle clé dans la manière dont s’exprime l’(in)égalité vaccinale. Pour autant, peu de leçons ont été systématiquement tirées des efforts menés en matière d’ «engagement vaccinal » au niveau local. Dans ce document, nous proposons d’expliquer comment l’expérience des inégalités structurelles se recoupe avec celle des habitants, et comment ces expériences ont été prises en compte ou au contraire ignorées dans la promotion et l’administration des vaccins contre la COVID-19 par les collectivités locales. Nous adressons également un ensemble de recommandations qui s’appliquent aux programmes de « vaccination de rattrapage » contre la COVID-19 (visant à atteindre les personnes qui n’ont pas encore reçu leur schéma vaccinal complet), mais elles concernent également les programmes de vaccination d'urgence à venir. Ce document repose sur des recherches menées entre octobre et décembre 2021 à Marseille et sur des échanges réguliers avec les autorités du Borough de Ealing initiés dès mai 2021. Il identifie comment les gouvernements locaux, les acteurs de la santé, les groupes communautaires et les résidents jouent un rôle clé dans la production d’(in)égalités vaccinales. Ce document a été élaboré pour la SSHAP par Santiago Ripoll (IDS), Tavitha Hrynick (IDS), Ashley Ouvrier (LaSSA), Megan Schmidt-Sane (IDS), Federico Federici (UCL) et Elizabeth Storer (LSE). Il a été revu par Eloisa Franchi (Université de Pavie) et Ellen Schwartz (Conseil de santé publique de Hackney). La recherche a été financée par la British Academy COVID-19 Recovery : Fonds G7 (COVG7210038). Les recherches ont été menées à l’Institut d’études du développement (IDS), à l’Université de Sussex et au Laboratoire des sciences sociales appliquées (LaSSA). La SSHAP en assume la responsabilité.
APA, Harvard, Vancouver, ISO, and other styles
4

Ali, Ayman, Ahmed Saidi, Yusef Mehta, Christopher DeCarlo, Mohamed Elshear, Benjamin Cox, and Wade Lein. Development and validation of a balanced mix design approach for CIR mixtures using full-scale testing. Engineer Research and Development Center (U.S.), October 2022. http://dx.doi.org/10.21079/11681/45704.

Full text
Abstract:
The main goal of this study was to improve the performance of cold in-place recycling (CIR) mixtures by using a balanced mix design (BMD) approach. This study involved preparing and testing CIR mixtures in the lab at varying contents of bituminous additives and constant content of 1% ce-ment and 3% water. Eight combinations of CIR mixtures were produced for this study using two binders (emulsion and foamed asphalt), compaction efforts (30 and 70 gyrations), and curing processes (72 hours at 140°F and 50°F). Results showed that asphalt pavement analyzer, semicircular bend, and indirect tensile strength tests presented the highest correlation with the change of binder contents. The study successfully used the developed BMD for designing CIR mixtures and selecting their optimum binder contents. It then used three balanced CIR mixtures to construct full-scale pavement sections to validate the BMD approach in the field. A heavy vehicle simulator was used to apply different accelerated loadings on each section. Results showed that the CIR section with 2% binder presented the best rutting performance under truck loading and the highest rutting susceptibility under aircraft loading. Conversely, the CIR section with 3% binder presented the highest cracking resistance under both truck and aircraft loading.
APA, Harvard, Vancouver, ISO, and other styles
We offer discounts on all premium plans for authors whose works are included in thematic literature selections. Contact us to get a unique promo code!

To the bibliography