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1

Hancock, Andrew. "The biology and fishery of Roe's abalone Haliotis roei Gray in south-western Australia, with emphasis on the Perth fishery /." Connect to this title, 2004. http://theses.library.uwa.edu.au/adt-WU2004.0068.

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2

Hancock, Andrew (Boze) T. "The biology and fishery of Roe's abalone Haliotis roei Gray in south-western Australia, with emphasis on the Perth fishery." University of Western Australia. School of Animal Biology, 2004. http://theses.library.uwa.edu.au/adt-WU2004.0068.

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The Roe’s abalone (Haliotis roei) fishery near Perth, Western Australia, is uniquely accessible, and highly vulnerable to overexploitation. The sustainability of this intensively utilized fishery requires robust assessment. To facilitate an assessment, this research aimed to provide rigorous and detailed biological information with appropriate interpretation. Four critical aspects of the species’ biology and population dynamics were investigated: (1) the stock structure; (2) the recreational catch; (3) an appropriate growth curve and description of size at age; and (4) abundance measures against which to assess the impact of fishing mortality. Allozyme electrophoresis was used to investigate stock structure across the species’ distribution. Standardized variance in allelic frequencies between 10 sites in south-western Australia indicated high levels of gene flow across the 3000 km sampled (mean FST = 0.009). An isolation-by-distance was evident when pairwise measures of GST were related to geographic distance (r=0.45, P<0.001). The area of complete genetic mixing was estimated from samples within the Perth fishery to be less than the distance between the two nearest sites, or 13 km. Consequently, the Perth fishery comprises numerous discrete stocks, each requiring independent assessment. A possible mechanism for this population structure is the retention of larvae in the wind driven currents oscillating in the near-shore lagoons, with rare pulses of long distance dispersal via the southerly Leeuwin current, running further offshore. The presumed impact of intensive recreational fishing, combined with substantial commercial quotas for the Perth fishery, had led to tight restrictions on fishing effort, without any quantitative measure of the recreational catch. A stratified creel survey was adapted to estimate the effort, catch rate and mean weight of abalone harvested by the recreational sector. Catches were estimated for reef complexes, or stocks, of less than 10 nautical miles (18.5 km) of coast. Between 1997 and 2000 the recreational catch varied from 30 to 45 tonnes whole weight, approximately equivalent to the commercial quota of 36 tonnes. On average 88% of the recreational catch came from two stocks, while 98% of the commercial catch came from these two, and one additional, stocks. The incidental mortality from recreational fishing, measured as the number of abalone left dead on the reef as a proportion of the estimated catch, was approximately 7% and 20% at two sites surveyed. Spatial and temporal patterns of growth were examined on the west coast of Western Australia. Growth increments were measured for abalone larger than about 30 mm from tagging studies at five sites in the Perth fishery, a site at the northern extent of the species’ distribution and a site in the southwest. Mean annual growth increments of the 0+ year class were obtained by fitting components to length frequencies from five sites in the Perth fishery, and combined with growth increments from each Perth tag site for model fitting. A von Bertalanffy growth curve provided a slightly better fit to the tag data, but a Gompertz growth curve was a much better fit when the mean increment from the 0+ to 1+ cohort was included, with the inflection occurring at about 40 mm, the size at sexual maturity. There was no difference in annual growth between the two years studied. There was significant variation in growth between the reef platform and adjacent sub-tidal reef, but this variation was site specific and faster growth rates were not consistently associated with either habitat. There was no latitudinal trend in growth rate. Growth at the Perth sites was the fastest and similar at all five sites with growth increments greater in summer than in winter. Size and abundance of abalone were measured using fixed transects and quadrats. Abalone densities were highest on the outer edge of the platform, intermediate in the middle of the reef platform, and lowest on both the inner platform and the sub-tidal reef. The pattern of mean lengths of abalone was the inverse of the density. Mean length and abundance were driven by the presence of post-settlement juveniles on the outer and middle reef habitats. There was a high spatial variation in abundance, with densities varying between transects at the same site, but the trend between years for each transect at a site was not significantly different. Abalone abundances, by size class, were examined from sites sampled between 1996 and 2002. A low density of post-settlement juveniles at all sites in 1997 was reflected in low densities of the 1+ and 2+ year classes in subsequent years. Abalone abundances at an unfished site were steady over the seven years. Two sites were located within each of the main stocks utilised by the recreational fishery. Abundance was stable or increasing in one stock, corresponding to a stable total catch. In the second stock the total catch increased over time and abundances declined. Perth is the focus of the Roe’s abalone fishery, with recreational and commercial fishers take about equal shares of the annual catch. Stocks are highly subdivided, with most of this catch coming from only 3 stocks occupying about 20 nautical miles of coast. Growth rates were found to be lower than previous estimates, and more similar to other commercial species of abalone. All life history stages are highly habitat specific, particularly the recruits, and the distribution and abundance through time indicate that the main stocks are near, or slightly over, the limit of sustainable fishing.
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3

Hancock, Andrew T. "The biology and fishery of Roe's abalone Haliotis roei Gray in south-western Australia, with emphasis on the Perth fishery." Connect to this title online, 2004. http://theses.library.uwa.edu.au/adt-WU2004.0068/.

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4

Fisher, Judith L. "Fundamental changes to ecosystem properties and processes linked to plant invasion and fire frequency in a biodiverse woodland." University of Western Australia. School of Plant Biology, 2008. http://theses.library.uwa.edu.au/adt-WU2008.0109.

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[Truncated abstract] Mediterranean southwest Australia, a global biodiversity hotspot, has nutrient deficient soils, exacting climatic conditions and is species rich with 7380 native vascular plant species, of which 49% are endemic. The region is expected to experience one of the world's highest degrees of biodiversity loss and change in the coming decades, with introduced species presenting a major threat. Limited knowledge is available on the mechanisms of ecosystem change associated with invasion and fire in this biodiversity hotspot region. Banksia woodland, an iconic complex species-rich natural ecosystem is one of the major vegetation types of the coastal sandplain, extending from 15 to 90 km inland and 400 kms along the west coast. The following hypothesis was tested to explore the ecological impacts of invasion: Is invasion of Banksia woodland by the introduced species Ehrharta calycina and Pelargonium capitatum accompanied by an alteration in ecosystem properties and processes, whereby the degree of change is related to fire frequency and abundance of introduced species? Different vegetation conditions, i.e. Good Condition (GC), Medium Condition (MC), Poor Condition invaded by Ehrharta calycina (PCe) and Poor Condition invaded by Pelargonium capitatum (PCp) were utilized for field assessments. ... In the soil seed bank, species numbers and germinant density decreased significantly for native and seeder (fire sensitive) species between GC sites and invaded sites. Surprisingly 52% of germinants at GC sites were from introduced species, with much of the introduced soil seed bank being persistent. Native species were dominated by perennial shrubs, herbs and sedges, while introduced species were dominated by perennial and annual grasses and herbs. Invasion by introduced species, associated with frequency of fire, altered the ecosystem, thus disadvantaging native species and improving conditions for even greater invasion within the Banksia woodland. Significantly higher soil phosphorus P (total) and P (HCO3) were found at PCe and PCp sites compared to GC sites. Leaf nutrient concentrations of phosphorus were significantly higher, and potassium and copper significantly lower in PCe and PCp sites, with introduced species having significantly greater concentrations than native species (except Manganese). This study demonstrated the key role of phosphorus in the Banksia woodland, in contrast to other research which identified nitrogen as the major nutrient affected by invasion. Higher levels of soil and leaf phosphorus, loss of species diversity and function, changes in fire ecology and canopy cover and a limited native soil seed bank make restoration of a structural and functional Banksia woodland from the soil seed bank alone unlikely. Without management intervention, continuing future fire is likely to result in a transition of vegetation states from GC to MC and MC to PC. The knowledge gained from this study provides a better ecological understanding of the invasive process. This enhanced understanding will enable the development of adaptive management strategies to improve conservation practices within a biodiversity hotspot and reduce the impact of the key threatening process of invasion.
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Burkett, Danny, and danny burkett@deakin edu au. "Nutrient contribution to hyper-eutrophic wetlands in Perth, Western Australia." Deakin University. School of Life and Environmental Sciences, 2005. http://tux.lib.deakin.edu.au./adt-VDU/public/adt-VDU20071115.082506.

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This thesis investigates nutrient contribution to six hyper-eutrophic lakes located within close proximity of each other on the Swan Coastal Plain and 20 kilometres south of the Perth Central Business District, Western Australia. The lakes are located within a mixed land use setting and are under the management of a number of state and local government departments and organisations. These are a number of other lakes on the Swan Coastal Plain for which the majority are less than 3 metres in depth and considered as an expression of the groundwater as their base is below the regional groundwater table throughout most of the year. The limited amount of water quality data available for these six lakes and the surface water and groundwater flowing into them has restricted a thorough understanding of the processes influencing the water quality of the lakes. Various private and public companies and organisations have undertaken studies on some of the individual wetlands and there is a wide difference in scientific opinion as to the major source of the nutrients to those wetlands. These previous studies failed to consider regional surface water and groundwater effects on the nutrient fluxes and they predominantly only investigated single wetland systems. This study attempts for the first time to investigate the regional contribution of nutrients to this system of wetlands existing on the Swan Coastal plain. As such, it also includes new research on the nutrient contribution to some of the remaining wetlands. The research findings indicate that the lake sediments represent a considerable store of nutrients (nitrogen and phosphorus). These sediments in turn control the nutrient status of the lake's water column. Surface water is found to contribute on an event-basis load of nutrients to the lakes whilst the groundwater surprisingly appears to contribute a comparatively low input of nutrients but governs the water depth. Analysis of the regional groundwater shows efficient denitrifying abilities as a result of denitrifying bacteria and the transport is localised. Management recommendations for the remediation of the social and environmental value of the lakes include treatment of the lake’s sediments via chemical bonding or atmospheric oxidation; utilising the regional groundwater’s denitrifying abilities to ‘treat’ the surface water via infiltration basins; and investigating the merits of managed or artificial aquifer recharge (MAR).
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Santoso, Binarko. "Petrology of permian coal, Vasse Shelf, Perth Basin, Western Australia." Curtin University of Technology, School of Applied Geology, 1994. http://espace.library.curtin.edu.au:80/R/?func=dbin-jump-full&object_id=14920.

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The Early Permian coal samples for the study were obtained from the Vasse Shelf, southern Perth Basin, located approximately 200 km south- west of Perth. The selected coal samples for the study were also obtained from the Premier Sub-basin of the Collie Basin and the Irwin Sub-basin of the Perth Basin. The Early Permian coal measures are described as the Sue Coal Measures from the Vasse Shelf, the Ewington Coal Measures from the Premier Sub-basin and the coal measures from the Irwin sub-basin are described as the Irwin River Coal Measures.The Vasse Shelf coal is finely banded and the dominant lithotypes are dull and dull banded types, followed by bright banded and banded types, with minor bright types. The variation of dull and bright lithotypes represents fluctuating conditions of water table level during the growth of peat in the swamp. The maceral composition of the coal is predominantly composed of inertinite, followed by vitrinite and minor exinite and mineral matter. The coal is characterized by very low to medium semifusinite ratio and medium to high vitrinite content, supporting the deposition in anaerobic wet conditions with some degree of oxidation. The coal is classified as sub- bituminous to high volatile bituminous of the Australian classification. In terms of microlithotype group, the predominance of inertite over vitrite suggests the coal was formed under drier conditions with high degree of oxidation during its deposition. On the basis of the interpretations of lithotypes, macerals, microlithotypes and trace elements, the depositional environment of the coal is braided and meandering deltaic-river system without any brackish or marine influence.The maceral composition of the Collie coal predominantly consists of inertinite and vitrinite, with low exinite and mineral matter. The very low to low semifusinite ratio and low to medium vitrinite content of ++
the coal indicate that the coal was formed under aerobic dry to wet conditions with some degree of oxidation. The coal is categorized as sub-bituminous according to the Australian classification. The domination of inertite and durite over vitrite and clarite contents in the coal reflects the deposition under drier conditions with fluctuations in the water table. On the basis of the interpretations of macerals, microlithotypes and trace elements distribution, the depositional environment of the coal is lacustrine, braided to meandering fluvial system, without the influence of any marine influx.The maceral composition of the Irwin River coal consists predominantly of vitrinite and inertinite, and minor exinite and mineral matter. The coal has very low semifusinite ratio and medium to high vitrinite content, suggesting the coal was deposited in anaerobic wet conditions with some degree of oxidation. The coal is classified as sub-bituminous of the Australian classification. The predominance of vitrite and clarite over inertite and durite contents in the coal indicates that the coal was formed in wetter conditions and in high water covers with a low degree of oxidation. Based on macerals and microlithotypes contents, the depositional environment of the coal is braided fluvial to deltaic, which is in accordance with the interpreted non- marine and mixed marine environment of deposition in the sub-basin.The petrological comparisons of Vasse Shelf, Collie and Irwin River coals show that the average vitrinite content of the Irwin River coal is highest (49.1%) and of the Collie coal is lowest (37.3%) of the three. The inertinite content is highest in Collie coal (49.1%), followed by Vasse Shelf (46.4%) and Irwin River (39.2%) coals. The exinite content is low in Irwin River coal (6.3%) as compared with Vasse Shelf (9.0°/,) and Collie (8.3%) coals. The mineral matter content ++
is relatively low for all the three coals. The rank of the Vasse Shelf coal is high as compared with the Collie and Irwin River coals, either due to tectonic uplift after the deposition in post-Permian in the southern Perth Basin, or due to the average depth of burial over Vasse Shelf which is much greater than that of Collie and Irwin River coals.The comparisons of the coal from Western Australia with the selected Gondwana coals show that the predominance of inertinite over vitrinite occurs in the Western Australian coals (Vasse Shelf and Collie Basin). On the other hand, the Brazilian, eastern Australian, Indian and Western Australian (Irwin Sub-basin) coals are dominated by vitrinite over inertinite. The exinite content is highest in the Indian coals and lowest in the eastern Australian coals. The mineral matter content is highest in the Brazilian and Indian coals, and lowest in Western Australian (Vasse Shelf) and eastern Australian (Sydney Basin) coals. The rank of the coals ranges from sub- bituminous to medium volatile bituminous according to the Australian classification.
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7

Suwarna, Nana. "Petrology of Jurassic coal, Hill River area, Perth Basin, Western Australia." Curtin University of Technology, Department of Applied Geology, 1993. http://espace.library.curtin.edu.au:80/R/?func=dbin-jump-full&object_id=15765.

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The Early Jurassic coal samples for the study were obtained from CRA Exploration Pty Ltd. (CRAE), drilled in the Gairdner and Mintaja Blocks, Gairdner Range of the Hill River Area, northern Perth Basin, Western Australia. The area is located approximately 280 km north of Perth. The coal measures subcrop in a half- graben bounded by the Lesueur-Peron Fault in the west, and the Warradarge Fault in the east. The coal occurs within the shallow sequence of the Cattamarra Member which is also described as the Cattamarra Coal Measures of the Cockleshell Gully Formation.Six sub-seams of seam G, namely G1 to G6, from the six drill cores, were examined for petrological and geochemical investigation. The coal predominantly comprises of banded, dull banded, and dull lithotypes, with minor bright banded, bright and fusainous types. Based on maceral analyses, the dominant maceral groups are vitrinite and inertinite, whilst the exinite and mineral matter are in minor contents. The vitrinite content has a range between 47.2 % to 73.0 %, and it is composed mainly of telocollinite and desmocollinite. The inertinite is dominated by semifusinite, fusinite, and inertodetrinite, and it has a range from 10.4 % to 24.8 %. The exinite group varies between 7.2 % to 20.8 % in content, and it is represented by sporinite, cutinite, alginite and resinite. The mineral matter dominated by clays and pyrite, ranges between 4.5 % to 20.6 %. The microlithotype analyses shows that the vitrite plus clarite content varies from 47.0 % to 70.0 %, intermediates between 8.0% to 26.0 %, whilst inertite plus durite content is relatively low, varying from 6.55 % to 14.0 %. The maximum reflectance of vitrinite has a value between 0.47 % and 0.53 %, which represents rank at sub-bituminous level based on the Australian rank values and corresponding to the sub-bituminous A and B rank of the ASTM classification and ++
to the metalignitous type of the Pareek classification. On the basis of carbon and hydrogen content, the coal is categorised as per-hydrous meta- to ortho-lignitous type. The trace elements As, B, Be, Cd, Co, Cr, Cu, Ga, Mn, Mo, Ni, Pb, Sr, Th, U, V, Y, Zn, and Zr, are spectrographically analysed in the coal ash. The B content in the coal supports the presence of marine influence during peat deposition in the basin.On the basis of lithotype, maceral, microlithotype, trace element distribution, pyrite and total sulphur in the coal, the depositional environment for coal and the coal measures, is interpreted as an upper to lower delta type within a regressive phase of marine transgression.
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8

Stickells, Lee. "Form and reform : affective form and the garden suburb." University of Western Australia. School of Architecture, Landscape and Visual Arts, 2005. http://theses.library.uwa.edu.au/adt-WU2005.0089.

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This thesis establishes the concept of affective form as a means of examining urban design – being the intersection of architecture, planning and landscape – in relation to techniques of governance. Affective form broadly describes a built environment where people are encouraged to amend, or govern, their actions according to particular socio–political ideas. Exploration of the concept’s application as a theoretical tool is undertaken here in order to generate a means of discussing the ethical function of urban design. The emergence of notions of affective form will be located in the eighteenth century, alongside the growing confidence in the ability for humankind to effect social and cultural progress. In a series of examples, stretching throughout the twentieth century, the implicit relation of planning, architectural and landscape form to social effect is discussed. The language, and design models, used to delineate affective form are described, alongside discussion of the level of intentionality apparent in the conceptions of urban form’s social effect. Critique through affective form allows an analysis that brings together the underlying utopian elements of projects – the traces of ideology and sociological theories – with an evaluation of the formal concepts projected. As the second area of investigation, the city of Perth in Western Australia provides a contextual focus for the examination of concepts of affective form. Through a series of appropriations of urban design models a suburban archetype emerged in Perth of a planned, homogenous field of low–rise, single–family, detached dwellings within a gardenesque landscape. The process of appropriation is described as a continuing negotiation between local expectations and the implicit conceptions of affective form within the imported models. Connecting the two primary concerns of the thesis, the ability of form to influence social change and the evolution of Perth’s garden suburb ideal, is the association of that developing garden suburb model with notions of affective form. The associations are outlined through three case studies. The first is an account of the planning of the City of Perth Endowment Lands Project during the 1920s. The second describes the planning and architecture of the athlete’s village built for the VIIIth British Empire and Commonwealth Games held in Perth in 1962. The third study details the development in the 1990s of Joondalup, a satellite city in the Perth metropolitan region. The account of Perth’s garden suburb ideal is intertwined with the consideration of the varying ways in which the conceptualization of affective form has been expressed. Each case study is contextualized by a preceding chapter that discusses the particular conceptions of affective form used in its examination. Thus the main body of the thesis comprises three parts – each associated with a case study, each containing two linked chapters
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9

Liang, Jonathan Zhongyuan. "Seismic risk analysis of Perth metropolitan area." University of Western Australia. School of Civil and Resource Engineering, 2009. http://theses.library.uwa.edu.au/adt-WU2009.0142.

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[Truncated abstract] Perth is the capital city of Western Australia (WA) and the home of more than three quarters of the population in the state. It is located in the southwest WA (SWWA), a low to moderate seismic region but the seismically most active region in Australia. The 1968 ML6.9 Meckering earthquake, which was about 130 km from the Perth Metropolitan Area (PMA), caused only minor to moderate damage in PMA. With the rapid increase in population in PMA, compared to 1968, many new structures including some high-rise buildings have been constructed in PMA. Moreover, increased seismic activities and a few strong ground motions have been recorded in the SWWA. Therefore it is necessary to evaluate the seismic risk of PMA under the current conditions. This thesis presents results from a comprehensive study of seismic risk of PMA. This includes development of ground motion attenuation relations, ground motion time history simulation, site characterization and response analysis, and structural response analysis. As only a very limited number of earthquake strong ground motion records are available in SWWA, it is difficult to derive a reliable and unbiased strong ground motion attenuation model based on these data. To overcome this, in this study a combined approach is used to simulate ground motions. First, the stochastic approach is used to simulate ground motion time histories at various epicentral distances from small earthquake events. Then, the Green's function method, with the stochastically simulated time histories as input, is used to generate large event ground motion time histories. Comparing the Fourier spectra of the simulated motions with the recorded motions of a ML6.2 event in Cadoux in June 1979 and a ML5.5 event in Meckering in January 1990, provides good evidence in support of this method. This approach is then used to simulate a series of ground motion time histories from earthquakes of varying magnitudes and distances. ... The responses of three typical Perth structures, namely a masonry house, a middle-rise reinforced concrete frame structure, and a high-rise building of reinforced concrete frame with core wall on various soil sites subjected to the predicted earthquake ground motions of different return periods are calculated. Numerical results indicate that the one-storey unreinforced masonry wall (UMW) building is unlikely to be damaged when subjected to the 475-year return period earthquake ground motion. However, it will suffer slight damage during the 2475-return period earthquake ground motion at some sites. The six-storey RC frame with masonry infill wall is also safe under the 475-year return period ground motion. However, the infill masonry wall will suffer severe damage under the 2475-year return period earthquake ground motion at some sites. The 34-storey RC frame with core wall will not experience any damage to the 475-year return period ground motion. The building will, however, suffer light to moderate damage during the 2475-year return period ground motion, but it might not be life threatening.
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10

Cole, Peter. "Urban rail perspectives in Perth, Western Australia : modal competition, public transport, and government policy in Perth since 1880." Murdoch University, 2000. http://wwwlib.murdoch.edu.au/adt/browse/view/adt-MU20061122.125641.

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The decline of public transport in Western Australia is observed in four separate historical studies which narrate the political and administrative history of each major urban transport mode. Perth's suburban railway system is examined as part of the State's widespread rail network, including the extravagantly-equipped short-lived suburban railway in Kalgoorlie. Political interference in early railway operations is studied in detail to determine why Perth's rail-based public transport systems were so poorly developed and then neglected or abandoned for much of the twentieth century. The llnique events in Kalgoorlie at the turn of the century are presented as potent reasons for the early closure of Perth's urban tramway system and the fact that no purpose-built suburban railways were constructed in Perth until 1993. The road funding arrangements of the late nineteenth century are considered next, in order to demonstrate the very early basis for the present lavish non-repayable grants of money for road construction and maintenance by all three layers of government. The development of private and government bus networks is detailed last, with particular attention paid to the failure of private urban bus operators in the 1950s and the subsequent formation of a government owned and operated urban bus monopoly. The capital structure and accounting practices of public transport modes are analysed to provide a critique of popular myths concerning the merits of each. In order to obtain an impression of the changing political view of different transport modes, the attitude of politicians to public transport and the private motor car over the last one hundred and twenty years is captured in summary narrations of some of the more important parliamentary transport debates. Two possible explanations of public transport decline are discussed in conclusion; one relying a neoclassical economic theory of marginal pricing, and the other on an observation on the fate of large capital investments in the modern party-based democratic system of government.
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Baudains, Catherine Mary. "Environmental education in the workplace : inducing voluntary transport behaviour change to decrease single occupant vehicle trips by commuters into the Perth CBD." Access via Murdoch University Digital Theses Project, 2003. http://wwwlib.murdoch.edu.au/adt/browser/view/adt-MU20040310.121357.

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Burgess, Jamie M. "Sedimentology and diagenesis of potential Permian Reservoir sandstones, North Perth Basin, Western Australia /." Title page, contents and abstract only, 1993. http://web4.library.adelaide.edu.au/theses/09SB/09sbb955.pdf.

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13

Morais, Maria Eduarda Soares Lopes Fernandes. "Gastrointestinal parasite screening in pet reptiles in the area of Perth, Western Australia." Master's thesis, Universidade de Lisboa. Faculdade de Medicina Veterinária, 2016. http://hdl.handle.net/10400.5/11615.

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Dissertação de Mestrado Integrado em Medicina Veterinária
Reptiles’ popularity as domestic pets increased in the last decades, demanding a correspondent improvement in reptile medicine and parasitology, both for animal welfare and public health reasons, since many reptile parasitic infections are zoonotic. A parasitological survey was carried out in a pet reptile population in the area of Perth, Australia, between April and June 2015. Faecal samples were collected from 57 reptiles, 9 lacertilian species (n=11) and 10 ophidian species (n=46). Samples were screened for the presence of gastrointestinal parasites by fresh smear and faecal flotation. After both techniques, 18% of the samples contained parasitic forms, five of which were pathogenic organisms. A total of six parasitic forms were identified, including oxyurids (52,38%), Strongyloides sp. (14,29%), acarids (14,29%), Nyctotherus spp. (9,52%), ascarids (4,76%) and pentastomids (4,76%). Parasitic prevalence was higher in wild-caught specimens (36,6%) than in captive bred ones (25,9%), higher in reptiles kept in less than optimal conditions (62,5%), than in those kept in adequate conditions (26,54%) and also higher in animals that didn’t receive adequate antiparasitic treatment (38,10%), than in those who did (28,47%). Results from the present study show the importance of anti-parasitic therapy and good husbandry in preventing reptile parasitic diseases and keeping a healthy reptile pet.
RESUMO - RASTREIO DE PARASITAS GASTROINTESTINAIS EM RÉPTEIS DE ESTIMAÇÃO NA ÁREA DE PERTH, AUSTRÁLIA OCIDENTAL - A popularidade dos répteis enquanto animais de estimação aumentou nas últimas décadas, exigindo avanços na medicina e parasitologia de répteis, tanto por razões de bem-estar animal, como de saúde pública, sendo que várias doenças parasitárias em répteis têm carácter zoonótico. Um rastreio parasitológico foi realizado em uma população animal de répteis de estimação na área de Perth, Austrália, entre abril e junho de 2015. Colheram-se amostras fecais de 57 répteis, 9 espécies de sáurios (n=11) e 10 de ofídios (n=46). As amostras foram analisadas para pesquisa de parasitas gastrointestinais através das técnicas de esfregaço direto e de flutuação fecal. Utilizando ambas as técnicas encontraram-se formas parasitárias em 18% das amostras, cinco das quais correspondentes a organismos patogénicos. Identificaram-se seis formas parasitárias: oxiurídeos (52,38%), Strongyloides sp. (14,29%), acarídeos (14,29%), Nyctotherus spp. (9,52%), ascarídeos (4,76%) e pentastomídeos (4,76%). Observou-se que a prevalência de parasitas era mais elevada em animais capturados a partir da natureza (36,6%), que em répteis nascidos em cativeiro (25,9%), bem como em animais mantidos em piores condições (62,5%) do que aqueles que dispunham de condições adequadas (26,54%). Encontrou-se maior número de parasitas em animais que não estavam corretamente desparasitados (38,10%), do que naqueles que tinham a desparasitação em dia (28,47%). Os resultados do presente estudo demonstram a importância da terapêutica antiparasitária e de maneio adequado na prevenção de doenças parasitárias em répteis, assim como na manutenção de um animal saudável.
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Heitz, Anna. "Malodorous dimethylpolysulfides in Perth drinking water." Curtin University of Technology, Department of Applied Chemistry, 2002. http://espace.library.curtin.edu.au:80/R/?func=dbin-jump-full&object_id=12576.

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The formation of an objectionable "swampy" odour in drinking water distribution systems in Perth, Western Australia, was first described by Wajon and co-authors in the mid-1980s (Wajon et al., 1985; Wajon et al., 1986; Wajon et al, 1988). These authors established that the odour, variously described as "swampy", "sewage" or "cooked vegetable" was caused by dimethyltrisulfide (DMTS) which has an odour threshold concentration of 10 nanograms per litre (ng/L). Investigations described in the present Thesis extend the work of Wajon and co-workers in attempting to establish the origin and cause of DMTS formation in Perth drinking water distribution systems.The DMTS problem appeared to be confined to water originating from a particular type of groundwater, specifically groundwater sourced from shallow, unconfined aquifers, which contain relatively high concentrations of sulfide, dissolved natural organic matter (NOM) and dissolved iron. DMTS was not present in the groundwater, but only formed in the distribution system, after treatment of groundwater via alum coagulation-filtration and oxidation processes. One objective of the present work was to determine the reasons for the observed association between DMTS formation and this specific groundwater type. A primary focus was to investigate the chemistry and biochemistry of sulfur species and NOM which might act as precursors to DMTS. The work was driven by the view that increased understanding of the problem might lead to more effective and acceptable treatment solutions than those presently in use.The observation that DMTS forms in distributed water that originates from groundwater, but not in water from surface sources has led to the hypothesis that groundwater NOM may contain precursor(s) to DMTS For example, it was proposed that methyl esters and ethers within humic substances might be a source of methyl groups that ++
could participate in DMTS formation in distributed water (Wajon and Heitz, 1995; Wajon and Wilmot, 1992). Further, comparison of levels of reduced sulfur with levels of dissolved organic carbon (DOC) in groundwaters feeding Wanneroo GWTP revealed that a positive correlation between these two parameters existed. This observation provided further impetus to examine the nature of NOM in these groundwater systems. In the present study (discussed in Chapter 3), NOM from two Perth drinking water sources was isolated and characterised, with the aim of identifying major differences in structure and/or functional groups that might influence DMTS formation. NOM was isolated from water samples using ultrafiltration, and characterised using pyrolysis gas chromatography-mass spectrometry (Py-GC-MS) and offline- thermochemolysis/methylation (TCM). Pyrolysis of groundwater NOM yielded a high proportion of organosulfur compounds, primarily methyl thiophenes and sulfur gases, but did not yield detectable amounts of methoxy-aromatic compounds. Analysis by TCM yielded sulfur compounds tentatively identified as the methyl esters of methylthiopropanoate and methylthiobutanoate, compounds that may arise as degradation products of dimethylsulfoniopropionate (DMSP), an algal odmoregulator Compounds such as DMPS could potentially undergo reactions to form DMTS in distributed water.The task of investigating the formation of nanogram-per-litre concentrations of DMTS demanded the development of new analytical procedures that could be used to determine similarly low concentrations of DMTS precursors. Evidence existed to suggest that inorganic polysulfides could be plausible precursor compounds, and since no technique existed to analyse and quantify individual polysulfide homologues a new technique needed to be developed and verified. The technique, first used in a semiquantitative manner by ++
Wajon and Heitz (1995), utilizes methyl iodide to derivatise polysulfides in-situ. The technique was developed further and shown to be quantitative and specific for inorganic polysulfides. Further, a new procedure for the determination of d i methyl polysulfides (DMPSs; CH3SnCH3, where n = 2-5), based on purge and trap was developed. In this new procedure analytes were trapped on a "Grob" activated charcoal tube, which was integrated into a commercially available, automated purge and trap instrument. Perdeuterated analogues of the DMPS analytes were synthesized and used as internal standards. These modifications resulted in a more rapid and robust procedure than the previously used procedures, vii which were based on closed loop stripping analysis (CLSA). Validation of the precision, accuracy, linearity and robustness of the new procedures for both inorganic polysulfides and dimethylpolysulfides is described in Chapter 4.Previous authors (Wajon and Heitz, 1995; Wajon and Wilmot, 1992; Wilmot and Wajon, 1997) hypothesized that DMTS could arise in the distribution system from residual polysulfides or other reduced sulfur compounds originating from groundwater. The latter authors showed that a small proportion of sulfide in the groundwater was not completely oxidised to sulfate during the water treatment process and proposed that this residual reduced sulfur fraction, which they referred to as non-sulfide reduced sulfur (NSRS) could contain precursors to DMTS. In a review of the chemistry of sulfide oxidation (Chapter 2) it was shown that the most likely forms of sulfur comprising the NSRS that enters the Wanneroo distribution system are organosulfur compounds and elemental sulfur, probably associated with organic matter in the form of a sulfur sol.Analysis of inorganic polysulfides in treated water, using the newly described method in Chapter 4, revealed that small ++
amounts of these compounds (20-80 ng/L) were occasionally present in some samples. However, it was concluded that, since inorganic polysulfides could not survive water treatment processes, these compounds probably arose from traces of biofilm or pipe sediment that may have entered the water during sampling. It was proposed that the presence of biofilm particulates in water samples probably also accounted for observations that DMTS appeared to form in some water samples during storage of the sample. These studies are discussed in Chapter 5.The primary method of control of DMTS formation in the distribution system has been to maintain free chlorine residuals. However, the mechanisms by which this occurs have not been studied; the effectiveness of DMTS oxidation by chlorine, or how chlorine affects microbial processes that might form DMTS is not known. These issues are addressed in the final section of Chapter 5. Experiments to determine the effectiveness of oxidation of dimethyldisulfide (DMDS) and DIVITS (5 mu g/L) by free chlorine (0.2 to 0.6 mg/L) in distributed water showed that these substances are rapidly and completely oxidised in water containing a chlorine residual of more than 0.4 mg/L. However, slow regeneration of traces of DMDS and DIVITS after dissipation of free chlorine to non-detectable levels showed that these compounds were incompletely oxidised at the lower chlorine concentrations~ This provides some rationale for field observations that DIVITS occurs even where low, but measurable, chlorine residuals appear to exist (<0.2 mg/L).As was established in a review of the chemistry of reduced sulfur compounds Chapter 2), reducing conditions not present in the oxic bulk water are required for DMTS to form and to persist. It was therefore proposed that microbial reduction processes could generate anoxic microniches in the distribution system, within which ++
DMTS production could occur. This hypothesis was investigated in Chapter 6; the new methods for analysis of organic and inorganic polysulfides were applied to the study of biofilms and deposits of colloidal material found in distribution pipes and storage reservoirs. The study demonstrated that these materials contained concentrations of methylated and inorganic polysulfides four to six orders of magnitude higher than those ever found in the bulk water phase. The results indicated that reducing conditions most probably exist within the biofilms and pipewall deposits, where these polysulfides were formed. The iron-rich pipe slimes appeared to protect the sulfur compounds against the oxidative effects of chlorine and dissolved oxygen. It was concluded that the organic and inorganic polysulfides most probably arise through microbial sulfate reduction processes that occur in anoxic microenvironments within the slimes and deposits.Microbial processes that lead to the formation of polysulfides and dimethylpolysuifides under conditions approximately representative of those in distribution systems were investigated in work described in Chapter 7. The aim of this work was to investigate the role of biofilms in the formation of DMTS and to determine the nature of chemical precursors which might stimulate these processes. Biofilms, artificially generated on synthetic supports within chambers filled with water from Wanneroo GWTP, were exposed to compounds thought to be potential DMTS precursors. The response of the systems in terms of production of methylated sulfur compounds was monitored. Conclusions of the study were that, under the test conditions, production of DMDS and DMTS could occur via several mechanisms and that these dimethyloligosulfides could be formed even without the addition of compounds containing sulfur or methyl moieties. DMTS did not form in the absence of ++
biofilms and it was therefore concluded that minimisation of biofilm activity was a key in preventing DMTS formation. Outcomes of the work imply that environments within distribution systems are complex and dynamic, as perhaps manifested by the intermittent nature of the DMTS problem.Finally, in Chapter 8 the conclusions to the present studies are summarised. It is shown how they underpin the rationale for proposed new treatment solutions aimed at preventing DMTS problems in the Wanneroo zone, primarily by minimising microbial activity and biofilm formation within distribution systems.
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15

Dashlooty, Ashraf. "Sexual coercion among year 11 and year 12 high school students." University of Western Australia. School of Human Movement and Exercise Science, 2008. http://theses.library.uwa.edu.au/adt-WU2008.0079.

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Adolescence is a time of accelerated physical and sexual growth, and many students become sexually active before they finish secondary schooling. Unfortunately, many adolescents and young adults experience sexual coercion in their intimate relationships. Sexual coercion is defined broadly as verbal or physical pressure to engage in sexual activity. This study sought to examine sexual coercion experiences of Year 11-12 high school, male and female students in their peer dating and relationships. Before retrieving such information, a modified Sexual Experiences Survey (SES) questionnaire was designed. This was named the Adolescent Dating and Relationship Survey (ADRS) which, subsequently, was examined by experts in the area, and validated via a pilot study using 30 university students. Thirdly, the study administered the ADRS to 341, Year 11 and Year 12 students to examine how they responded to their sexually coercive experiences. The participants were actively engaging in relationship behaviours, with nearly 50% of the females and 70% of the males reporting a relationship with a partner of the same age. However, significantly more females dated older partners and, conversely, more male students were involved with younger partners. The female students tended to have longer relationships than the males, especially for relationships of 9 to 12 months or longer. Participants did not report sexual coercion experiences via threat or blackmail, nor were the males threatened with a weapon. The most frequently cited forms of coercion by both female and male students were: made to feel guilty, being plied with alcohol and/or other drugs, being pressured by begging and/or arguing, and being lied to. However, the female students reported being physically restrained significantly more than the males. As a group they responded to these sexually coercive acts via all forms 2 measured except the males, who did not resort to either fighting off or yelling. Talking about the experience later was the response commonly reported by the students. Further, female students responded to sexual coercion by saying either,
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Gibson, Nicholas P. "The epidemiology of acute asthma managed by ambulance paramedics in the prehospital setting in Western Australia." University of Western Australia. School of Primary, Aboriginal and Rural Health Care, 2007. http://theses.library.uwa.edu.au/adt-WU2007.0142.

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[Truncated abstract] This thesis describes the epidemiology and outcome of acute asthma managed by ambulance paramedics, in the metropolitan area of Perth, Western Australia, for the period of 1990 to 2001. The primary aim of this thesis was to determine demographic, socio-economic and clinical trends for ambulance transported patients with asthma, their outcomes and how they have changed over time. The Perth metropolitan area, located in the south-western corner of Western Australia (WA), accounts for 72% of the state’s population, which was approximately 1.3 million people at Census 2001. This thesis was structured around the analysis of twelve years of St John Ambulance (WA) data. Ambulance data was linked using probabilistic matching techniques to the Western Australian Data Linkage System, custodian of links to thirty five years of morbidity and mortality data of the state’s population . . . Unique geography, a monopolistic ambulance service and access to extensive linked data provided ideal conditions for this population-based epidemiological study of patients with asthma who were transported by ambulance. Observed trends in age and gender characteristics of patients, ambulance codes and temporal variables appear to be consistent over time. Monitoring trends in the use of ventilation procedures recorded in hospital data provided useful indicators for describing the epidemiology of severe, lifethreatening asthma in the prehospital setting. Findings from this study were found to be consistent with published literature.
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17

Maule, Linda J. "An exploratory study of exhibitionism amongst adult men in Perth: a qualitative perspective as a guide for treatment." Curtin University of Technology, School of Social Work, 2000. http://espace.library.curtin.edu.au:80/R/?func=dbin-jump-full&object_id=11587.

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The aim of this research is to talk to a sample of exhibitionists who are currently under the supervision of the Ministry of Justice (MOJ) in Perth, Western Australia in order to ascertain whether current treatment approaches used within the MOJ are the most effective and appropriate for this group of sex offenders. It was considered that the most effective research method would be a qualitative approach in order to gain insight into the offender's understanding of their offending behaviour and to attempt to identify their areas of treatment need. Through personal observations in working with exhibitionists and supported by the literature, an interview schedule was developed to combine a detailed social history with questions on communication, childhood issues, father issues and stress. Twenty voluntary participants were interviewed, having been accessed through the correctional community and prison environments. The objectives were (1) To identify any categories of exhibitionists and therefore better utilise treatment resources, (2) To identify the role of stress and communication deficits in offending behaviour of exhibitionists, (3) To determine whether exhibitionists would be more effectively treated within their own discrete population or with other types of sex offenders and (4) To identify a more appropriate treatment model. Another area of interest which was not specifically focussed on was whether findings would emerge which could predict which exhibitionists would progress to more serious sexual offending.The study found 3 categories of exhibitionist (1) Adolescent Onset Career Exhibitionists, (2) Adult Onset Career Exhibitionists and (3) Situational Response Exhibitionists. Whilst the first 2 categories contained participants whose offending was entrenched once commenced, either in early adolescence or adulthood, the latter group appeared to offend as a ++
specific response to a life crisis. Further, findings indicated that there were 3 levels of communication deficits ranging from poor communication (65% of participants) to an inability to express negatively perceived emotions such as sadness or fear. All but one participant experienced high levels of stress and had difficulty coping with their symptoms. Again, all but one participant expressed unsatisfactory relationships with their fathers ranging from abandonment to emotional distance and 50% of the participants experienced physical, sexual and/or emotional abuse.A model of treatment was recommended which allowed for increased flexibility, allowing resources to be focussed on those offenders with the highest need. Further recommendations included increased liaison with the courts and Community Corrections in order to facilitate a more integrated approach to the client. It was also considered that exhibitionists should continue working within groups which contained other types of sex offenders.
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18

Siddique, Sharif Rayhan. "Development of policies to ameliorate the environmental impact of cars in Perth City, using the results of a stated preference survey and air pollution modelling." University of Western Australia. Faculty of Business, 2007. http://theses.library.uwa.edu.au/adt-WU2007.0165.

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[Truncated abstract] Air pollution is increasingly perceived to be a serious intangible threat to humanity, with air quality continuing to deteriorate in most urban areas. The main sources of inner city pollution are motor vehicles, which generate emissions from the tail pipe as well as by evaporation. These contain toxic gaseous components which have adverse health effects. The major components are carbon monoxide (CO), nitrogen dioxide (NO2), nitric oxide (NO), sulphur dioxide (SO2), particulates (PM10), and volatile organic compounds (VOC). CO and oxides of nitrogen (NOx) are major emissions from cars. This study focuses on pollutant concentration in Perth city and has sought to develop measures to improve air quality. To estimate concentrations, the study develops air pollution models for CO and NOx; on the basis of the model estimates, effective policy is devised to improve the air quality by managing travel to the city. Two peaks, due to traffic, are observed in hourly CO and NOx concentrations. Unlike traffic, however, the morning peak does not reach the level of the afternoon peak. The reasons for this divergence are assessed and quantified. Separate causal models of hourly concentrations of CO and NOx explain their fluctuations accurately. They take account of the complex effects of the urban street canyon and winds in the city. The angle of incidence of the wind has significant impact on pollution level; a wind flow from the south-west increases pollution and wind from the north-east decreases it. The models have been shown to be equivalent to engineering and scientific models in estimating emission rate in the context of street canyons. However the study models are much more precise in the Perth context. ... The models are used to calculate the marginal effects for all attributes and elasticity for fuel price. In almost all attributes the non-work group is more responsive than the work group. Finally, the SP model results are integrated into an econometric model for the purpose of prediction. The travel behaviour prediction is used to estimate the policy impact on air quality. The benefit from the air quality improvement is reported in terms of life saved. The estimated relationships between probability of death and air pollution determines the number of lives that could be saved under various policy scenarios. A ratio of benefits to the financial and perceived sacrifices by drivers is calculated to compare the effectiveness of the suggested policies. A car size charge policy was found to be the most cost effective measure to ameliorate the environmental impact of cars in Perth, with a morning peak entry time charge being almost as cost effective. The study demonstrates the need for appropriate modelling of air pollution and travel behaviour. It brings together analytical methods at three levels of causality, vehicle to air pollution, charge to travel response, and air pollution to health.
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Costello, Greg. "Price discovery and information diffusion in the Perth housing market 1988-2000." UWA Business School, 2004. http://theses.library.uwa.edu.au/adt-WU2005.0034.

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[Truncated abstract] This thesis examines informational efficiency and price discovery processes within the Perth housing market for the period 1988-2000 by utilising a rich source of Western Australian Valuer General’s Office (VGO) data. Fama’s (1970) classification of market efficiency as potentially weak form, semi-strong, or strong form has been a dominant paradigm in tests of market efficiency in many asset markets. While there are some parallels, the results of tests in this thesis suggest there are also limitations in applying this paradigm to housing markets. The institutional structure of housing markets dictates that a deeper recognition of important housing market characteristics is required. Efficiency in housing markets is desirable in that if prices provide accurate signals for purchase or disposition of real estate assets this will facilitate the correct allocation of scarce financial resources for housing services. The theory of efficient markets suggests that it is desirable for information diffusion processes in a large aggregate housing market to facilitate price corrections. In an efficient housing market, these processes can be observed and will enable housing units to be exchanged with an absence of market failure in all price and location segments. Throughout this thesis there is an emphasis on disaggregation of the Perth housing market both by price and location criteria. Results indicate that the Perth housing market is characterised by varying levels of informational inefficiency in both price and location segments and there are some important pricing-size influences.
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20

Ferdinando, Darren. "Ostracode and foraminiferal taxonomy and palaeoecology of the Fossil Cliff Member of the Holmwood Shale, northern Perth Basin, Western Australia." University of Western Australia. Dept. of Geology and Geophysics, 2001. http://theses.library.uwa.edu.au/adt-WU2003.0019.

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The Sakmarian (Cisuralian, Permian) Fossil Cliff Member of the Holmwood Shale is situated in the northern Perth Basin, Western Australia, and consists of alternating beds of shale and silty calcarenite forming three parasequences. Within this member a diverse fauna of ostracodes and foraminifera are present. During the Cisuralian the northern Perth Basin formed part of the Gondwanan supercontinent and was linked to Greater India via an epeiric sea that opened to the north. The ostracode fauna is restricted to the calcareous beds of the member and consists of a diverse benthic fauna comprising 31 new species and 13 previously recorded species. Species from the Healdioidea, Bairdioidea, Youngielloidea, and Thlipsuroidea dominate the assemblage and suggest a normal-marine environment during the period represented by the calcareous beds, with an overall shallowing trend up the sequence. The fauna shows some similarity to faunas from the Tethyan deposits of North America and the Boreal deposits of Russia during the Late Carboniferous and Cisuralian. Twenty-eight species of foraminifera were recorded from the Fossil Cliff Member and underlying Holmwood Shale and comprise two distinct faunas, an agglutinated benthic foraminiferal fauna found within the shale beds and a calcareous benthic foraminiferal fauna present in the calcarenite units. The agglutinated foraminifera are inferred to represent deposition in dysoxic to suboxic (0.1-1.5 mL/LO2;), poorly circulated bottom waters below wave base. The calcareous foraminifera are inferred to represent deposition in normal-marine conditions. Both foraminiferal assemblages show a shallowing trend in their distribution that matches the trend identified in the ostracode fauna. Based upon the palaeoecology of the ostracode and foraminiferal faunas, the depositional environment for the Fossil Cliff Member is inferred to have been within shallow water in an epeiric basin during an overall marine regression that is overprinted by eustatic and isostatic oscillations resulting from deglaciation that occurred during the early Sakmarian (Cisuralian). These sea-level oscillations raised and lowered the oxic surface waters of the epeiric sea above and below the substrate resulting in a sparse agglutinated foraminiferal fauna or an abundant and diverse ostracode and calcareous foraminiferal fauna respectively.
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21

Sprivulis, Peter Carl. "Evaluation of the prehospital utilisation of the Australasian Triage Scale." University of Western Australia. Emergency Medicine Discipline Group, 2004. http://theses.library.uwa.edu.au/adt-WU2004.0055.

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[Truncated abstract] Background : Triage systems have evolved from battlefield casualty prioritisation tools to integral components of civilian emergency care systems over the last 50 years. There is significant variation in prehospital triage practices in Australia and little research has been undertaken to validate the triage systems used. There is considerable evidence to support the use of the Australasian Triage Scale (ATS) for triage in the emergency department setting and the ATS is used ubiquitously for emergency department triage in Australasia ... Conclusions : The findings of this thesis support integrating prehospital ATS allocations with emergency department triage processes. It is concluded that Paramedics apply the ATS similarly to nurses ... Allocations to ATS 1, 2 and 3 and most ATS 4 allocations by paramedics are valid when compared to nurse ATS allocations. Australasian Triage Scale category 5 is used inappropriately by paramedics and should be used rarely, if at all, by paramedics. The reliability of paramedic and nurse ATS allocations is sufficient to warrant a trial of the omission of retriage of ambulance presentations at Perth metropolitan emergency departments. However, early nursing assessment of a small proportion of ATS 3 patients may be required to ensure timely assessment for some mistriaged bone fide ATS 2 patients. Paramedic ATS allocations appear sufficiently reliable and valid to warrant a trial of their use as part of a two-tier trauma team activation system ... The implementation of standardised training between paramedics and nurses based on current Australasian College for Emergency Medicine guidelines is recommended. The implementation of paramedic triage audit, including comparison of paramedic ATS allocations with nurse ATS allocations may improve reliability between paramedics and nurses, and particularly the reliability of ATS 4 and ATS 5 allocations. Prehospital ATS allocations may prove useful in prehospital casemix analysis, the evaluation of prehospital service delivery and for prehospital research. Research opportunities include actual trials of the integration of prehospital use of ATS with emergency department triage and trauma system activation, and the evaluation of the ATS as a prehospital casemix and performance evaluation tool. Research into alternative triage tools to the ATS for use in the prehospital environment and into the impact of standardised triage training is also suggested.
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22

Reed, Deborah A. "Spatial and temporal biogeochemical changes of groundwater associated with managed aquifer recharge in two different geographical areas." University of Western Australia. School of Biomedical, Biomolecular and Chemical Sciences, 2008. http://theses.library.uwa.edu.au/adt-WU2008.0074.

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[Truncated abstract] Managed Aquifer Recharge (MAR) is a technique that can be used to capture and store water in aquifers for later reuse. This method recycles water that would normally be lost or discarded to the environment. MAR has been observed to have the potential for improving the quality of recharged water through a combination of physical, chemical and biological processes. The aim of this study was to investigate the changes in groundwater microbial population structure during MAR and the major influences that drive these population changes. Biogeochemical MAR studies have the potential to assist in the improved prediction of the removal of contaminants such as nutrients, pathogens and trace organics from the recharged water. Biological clogging during recharge also has the potential to overwhelm an aquifers ability to process wastewater thus reducing the hydraulic conductivity of the aquifer. Therefore further research into the spatial and temporal biogeochemical processes that occur during MAR is required. The geochemical and microbial population dynamics of two contrasting MAR techniques were investigated at two different geographical locations (Perth, Western Australia and Adelaide, South Australia). These MAR sites contained aquifers of dissimilar properties that were recharged with wastewater that contrasted in water quality. The Perth MAR site received secondary treated effluent which continuously infiltrated the unsaturated zone into an unconfined aquifer aided by infiltration galleries. Reclaimed water was extracted from a well at distance from the infiltration gallery. ... Notably the background and recovered water was most dissimilar in microbial and chemical population structure to that described for the infiltration gallery and injection well. Microbial and chemical evidence suggested that the background and extraction well groundwater were unaffected by plume migration. These results suggested that extraction well groundwater was similar in quality to that of ambient groundwater. Significant geochemical and microbial changes of secondary treated effluent during infiltration and lateral movement through aquifer were implicated in addition to the forced hydraulic gradient created from extracting fives time the volume of infiltrating wastewater. This study demonstrated that microbial populations and the geochemical processes associated with MAR can be studied and compared. Multivariate statistical methodology greatly simplified a vast array of dynamic biogeochemical information that could be dissected for meaningful interpretation over distance and time. The study evaluated the major biogeochemical influences which resulted in microbial and geochemical changes where it was noted that microbial populations were more dynamic than geochemical variation over time. Additionally biogeochemical comparative analysis indicated that microbial populations could change in population structure before a shift in aquifer geochemistry was detected. It is anticipated that the results from this study will benefit further research into the biogeochemical processes involved in water quality changes (e.g. nutrient removal, pathogen decay and biodegradation of trace organics) as well as controlling biological clogging of MAR schemes.
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23

Newlands, Ian. "The structure, deposition and diagenesis of Jurassic sandstones in the Mount Horner oil field, Northern Perth basin, Western Australia /." Title page, contents and introduction only, 1993. http://web4.library.adelaide.edu.au/theses/09S.B/09s.bn549.pdf.

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24

White, Terri-Ann. "Finding Theodore and Brina." Curtin University of Technology, School of Communication and Cultural Studies, 2000. http://espace.library.curtin.edu.au:80/R/?func=dbin-jump-full&object_id=10151.

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The form I have chosen for this dissertation is fiction-of a certain kind- that incorporates historical detail, family history, and popular mythology of the Western Australian community. Through the details of family and social history, I aim to tell another version of settlement of Perth from the mid-nineteenth century to the present. This story belongs to my family, starting with great-grandparents who travelled from London to Australia in the 185Os: one as a convict, one a free settler; both were Jewish, and the convict was Polish.The writing is textured with forgotten voices, is self-reflexive, and tackles the paradoxes involved in telling stories from within the family I belong to, one that resists telling its own stories because of shame and the lack of an authoritative, or socially given, voice. From family history to social history, my interest is in the material that sits on the margins: the unspoken and generally unwritten histories of people on the edges of this society. This material, which is not recorded or spoken, nonetheless "speaks" a shame that shapes the ever-developing identity of a family and a community.The work is informed by feminist ideas about voice and the hierarchy which licenses select people in our society to speak. Relying on the varied materials that sit between historical writing and personal memories, it follows evidence, both written and oral, recognising how malleable memory can be. One of my purposes is to explore ideas about memory, from the individual act of memory to its transmutation into collective memory-to recover, recuperate, and explore what is involved in forgetting and remembering, and do this through a layering of stories, of voices, of form.
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25

Melville, William Ian. "An historical analysis of the structures established for the provision of Anglican schools in the diocese of Perth, Western Australia between 1917 and 1992." University of Western Australia. Graduate School of Education, 2006. http://theses.library.uwa.edu.au/adt-WU2006.0032.

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[Truncated abstract] Within the State of Western Australia, from its early years, education has been provided not only by the State, but also by religious denominations, particularly the Catholic Church, the Anglican Church and other Christian groups. This thesis is concerned with Anglican education in the State from the years 1917-92. The particular focus is on the structures established for the provision of Anglican education in the Diocese of Perth throughout the period. The central argument of the thesis is as follows. During the period 1917-92, the structures established for the provision of Anglican education in the Diocese of Perth changed across four subperiods: 1917-50, 1951-60, 1961-80 and 1981-92. During the first subperiod, provision was made under structures which allow for the schools which existed to be classified according to three ‘types’: ‘religious-order schools’, ‘parish schools’, and ‘schools of the Council for Church of England Schools’. The first two types continued during the second subperiod and were joined by two new types, namely, ‘Perth Diocesan Trustees’ schools’ and ‘synod schools’, while ‘schools of the Council for Church of England Schools’ceased as a type. During the third subperiod ‘synod schools’ continued as a type, but the other three types ceased to exist. At the same time, one new type emerged, namely, ‘schools of the Church of England Schools’ Trust’. During the fourth subperiod there were also two types of schools within the Diocese, but the situation was not the same as in the previous subperiod because while ‘synod schools’ continued as a type, ‘Perth Diocesan Trustees’ schools’ ceased to exist. Furthermore, a new type was established, namely ‘schools of the Anglican Schools Commission’. This two-type structure for provision which was established during the sub-period 1981-92, is still that which exists to the present day for the provision of Anglican education within the Diocese of Perth.
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26

Brown, Sarah. "Imagining 'environment' in Australian suburbia : an environmental history of the suburban landscapes of Canberra and Perth, 1946-1996." University of Western Australia. School of Humanities, 2009. http://theses.library.uwa.edu.au/adt-WU2009.0094.

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Australia is a suburban nation. Today, with increasing concern regarding the sustainability of cities, an appreciation of the complexities of Australian suburbia is critical to the debate about urban futures. As a built environment and a cultural phenomenon, the Australian suburbs have inspired considerable scholarly literature. Yet to date, such scholarly work has largely overlooked the changing environmental values and visions of those shaping and residing within suburban landscapes, and the practices through which such values and visions are materialised in the processes of suburban development. Focusing on the post-war suburban landscapes of Canberra and Perth, this thesis centralises the environmental, political and economic forces that have shaped human action to construct suburban spaces, paying particular attention to the extent to which individual understandings and visions of 'environment' have determined the shape and nature of suburban development. Specifically, it examines how those operating within Australia’s suburbs, including planners, developers, builders, landscape designers and residents have imagined the 'environment', and how such imaginaries have shifted in response to varying spatial, temporal and ideological contexts. Tracing the shifting nature of environmental concern throughout the mid-to-late twentieth century, it argues that despite the somewhat unsustainable nature of Australia's suburban landscapes, the planning and development of such landscapes has long been influenced by and has responded to differing understandings of 'environment', which themselves are the product of changing social, political and economic concerns. In doing so, this thesis challenges a number of perceptions concerning Australian suburbs, environmental awareness and sustainability. In particular, it contests the assumption that environmental concern for Australia's suburban development emerged with the urban consolidation debates of the 1980s and 1990s, and analyses a range of environmental sensibilities not often acknowledged in current histories of Australian environmentalism. By examining, for example, how the deterministic and economic concerns of differing planning bodies, along with the aesthetic and ecological concerns of various planners, are intertwined with the housing and domestic lifestyle preferences of suburban homeowners, this history brings to the fore the often conflicting environmental ideas and practices that arise in the course of suburban development, and provides a more nuanced history of the diversity of environmental sensibilities. In sum, this thesis enhances our understandings of the changing nature of environmental concern and illuminates the complex, still largely misunderstood, environmental ideas and practices that arise in the processes of suburban development.
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Sirr, Susan. "Comparison of spatial, vertical and seasonal distribution of palynomorphs in two Perth metropolitan wetlands." University of Western Australia. Centre for Forensic Science, 2007. http://theses.library.uwa.edu.au/adt-WU2008.0118.

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Forensic Palynology has helped to solve crimes ranging from fraud to murder. Pollen is ubiquitous, almost indestructible and microscopic in size. It is often sticky and easily carried, undetected, from one place to another. As pollen is unique to a plant species, combinations of pollen types (pollen assemblages) present in soil or other samples can identify the type of environment, and often the exact location, from which a sample originated. Although Forensic Palynology has been used routinely in New Zealand for over 25 years, is commonly used in the United Kingdom and has been used in several cases in Australia in the past ten years, little research has been done in this field. In Australia, police require an initial broad palynological analysis of samples from a crime scene prior to approving a more detailed analysis. This project investigates palynological samples from two superficially similar environments that could potentially be a crime scene and alibi location, in order to determine if they can be broadly distinguished from each other. Two Perth metropolitan wetlands, Herdsman Lake and Eric Singleton Bird Sanctuary, were chosen for study as potential sites for assaults and clandestine burials. Four sites within each wetland, with correspondingly similar vegetation communities, were sampled at surface level in different seasons. At three sites, 50 cm cores were taken and sampled at seven levels to simulate shallow grave profiles. Samples were prepared and analysed using standard palynological techniques. Surface and core (grave profile) pollen assemblages were compared site by site within each wetland, and with the corresponding site of the other wetland. The grave profile assemblages for each core were combined and averaged to represent mixed 'burial assemblages', and similarly compared across and within wetlands. Palynological analysis established that the surface soil samples were characteristic of wetland environments. The different vegetation sites in each wetland, and the corresponding vegetation site in the other wetland, were broadly palynologically distinct. The season in which samples were collected was difficult to determine. Grave profile assemblages generally differed from surface samples at each site, and broadly differed across and between the two wetlands, but the differences in the 'burial assemblages' were less marked. The findings of this study confirm that broad palynological analysis can differentiate between two wetlands at surface level and downhole, and that samples at different depths in a grave should be separately analysed. Collection of control samples from similar and possible alibi environments is essential. Caution should be taken when palynologically interpreting the season in which a crime was committed.
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28

au, jporsini@bigpond net, and Jean-Paul Orsini. "Human impacts on Australian sea lions, Neophoca cinerea, hauled out on Carnac Island (Perth, Western Australia): implications for wildlife and tourism management." Murdoch University, 2004. http://wwwlib.murdoch.edu.au/adt/browse/view/adt-MU20040520.154341.

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Over the last 15 years, pinniped tourism has experienced a rapid growth in the Southern Hemisphere, and particularly in Australia and New Zealand where at least four sites attract more than 100,000 visitors per year. Tourism focused on the Australian sea lion (Neophoca cinerea), a protected species endemic to Australia, occurs in at least nine sites in South Australia and Western Australia. Australian sea lions haul out on several offshore islands in the Perth region. Carnac Island Nature Reserve is one of the main sites where people can view sea lions near Perth, either during recreational activities or on commercial tours. This study sought: (1) to investigate the potential impact of human visitors on Australian sea lions hauled out on Carnac Island, (2) to consider implications of the results for the management of Carnac Island Nature Reserve, and (3) to examine under which conditions tourism and recreation around sea lions can be sustained in the long term. Sea lion numbers, rate of return to the site, behavioural response to human presence and incidents of disturbances of sea lions by visitors were recorded over a period of four months on Carnac Island. A survey of 207 visitors was also carried out. Findings indicated that there were two main types of human impacts on the sea lions: • A specific state of sea lion vigilance induced by low level, but ongoing, repetitive disturbances from human presence, sustained at various approach distances ranging to more than 15 m, vigilance that is different from the behaviour profile observed in the absence of human disturbance, • Impacts resulting from incidental direct disturbances of sea lions by visitors from inappropriate human recreational activities or from visitors trying to elicit a more ‘active’ sea lion response than the usual ‘sleeping or resting’ behaviour on display; these impacts included sea lions retreating and leaving the beach, or displaying aggressive behaviour. Impacts on sea lions from these disturbances may range from a potential sea lion physiological stress response to sea lions leaving the beach, a reduction in the time sea lions spend hauling out, and, in the longer term, the risk of sea lions abandoning the site altogether. Repeated instances of visitors (including unsupervised young children) approaching sea lions at very short distances of less than 2.5 m represented a public safety risk. Results also indicated that (1) the numbers of sea lions hauled out and their rate of return to the beach did not appear to be affected by an increase in the level of human visitation (although longer-term studies would be required to confirm this result); and (2) there appeared to be a high turnover rate of sea lions at the site from day to day, suggesting that there are frequent arrivals and departures of sea lions to and from Carnac Island. The visitor survey indicated that many visitors to Carnac Island had a recreational focus that was not primarily directed towards sea lion viewing (‘incidental ecotourists’). Although many visitors witnessed incidental disturbance caused by humans to sea lions, they did not seem to recognise that they themselves could disturb sea lions through their mere presence. Visitors also seemed to have a limited awareness of the safety risk posed by sea lions at close range. Visitors expressed support for the presence of a volunteer ranger on the beach and for more on-site information about sea lions. Finally, visitors indicated that they greatly valued their sea lion viewing experience. It is anticipated that the continued increase in visitation to Carnac Island from recreation and from tourism will result in intensified competition for space between humans and sea lions. Long-term impacts of human disturbances on sea lions are unknown, but a physiological stress response and/or the abandonment of haulout sites has been observed in other pinniped species. The findings of this study highlight the need to implement a long-term strategy to reduce disturbance levels of sea lions by visitors at Carnac Island to ensure that tourism and recreation around sea lions can be sustained in the long term. Recommendations include measures to control visitor numbers on the island through an equitable allocation system between various user groups, the development of on-site sea lion interpretation and a public education and awareness program, the setting up of a Sea Lion Sanctuary Zone on the main beach, ongoing monitoring of sea lion and visitor numbers and other data, and a system of training and accreditation of guides employed by tour operators.
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29

Orsini, Jean-Paul. "Human impacts on Australian sea lions, Neophoca cinerea, hauled out on Carnac Island (Perth, Western Australia) : implications for wildlife and tourism management /." Orsini, Jean-Paul (2004) Human impacts on Australian sea lions, Neophoca cinerea, hauled out on Carnac Island (Perth, Western Australia): implications for wildlife and tourism management. Masters by Research thesis, Murdoch University, 2004. http://researchrepository.murdoch.edu.au/238/.

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Over the last 15 years, pinniped tourism has experienced a rapid growth in the Southern Hemisphere, and particularly in Australia and New Zealand where at least four sites attract more than 100,000 visitors per year. Tourism focused on the Australian sea lion (Neophoca cinerea), a protected species endemic to Australia, occurs in at least nine sites in South Australia and Western Australia. Australian sea lions haul out on several offshore islands in the Perth region. Carnac Island Nature Reserve is one of the main sites where people can view sea lions near Perth, either during recreational activities or on commercial tours. This study sought: (1) to investigate the potential impact of human visitors on Australian sea lions hauled out on Carnac Island, (2) to consider implications of the results for the management of Carnac Island Nature Reserve, and (3) to examine under which conditions tourism and recreation around sea lions can be sustained in the long term. Sea lion numbers, rate of return to the site, behavioural response to human presence and incidents of disturbances of sea lions by visitors were recorded over a period of four months on Carnac Island. A survey of 207 visitors was also carried out. Findings indicated that there were two main types of human impacts on the sea lions: * A specific state of sea lion vigilance induced by low level, but ongoing, repetitive disturbances from human presence, sustained at various approach distances ranging to more than 15 m, vigilance that is different from the behaviour profile observed in the absence of human disturbance, * Impacts resulting from incidental direct disturbances of sea lions by visitors from inappropriate human recreational activities or from visitors trying to elicit a more 'active' sea lion response than the usual 'sleeping or resting' behaviour on display; these impacts included sea lions retreating and leaving the beach, or displaying aggressive behaviour. Impacts on sea lions from these disturbances may range from a potential sea lion physiological stress response to sea lions leaving the beach, a reduction in the time sea lions spend hauling out, and, in the longer term, the risk of sea lions abandoning the site altogether. Repeated instances of visitors (including unsupervised young children) approaching sea lions at very short distances of less than 2.5 m represented a public safety risk. Results also indicated that (1) the numbers of sea lions hauled out and their rate of return to the beach did not appear to be affected by an increase in the level of human visitation (although longer-term studies would be required to confirm this result); and (2) there appeared to be a high turnover rate of sea lions at the site from day to day, suggesting that there are frequent arrivals and departures of sea lions to and from Carnac Island. The visitor survey indicated that many visitors to Carnac Island had a recreational focus that was not primarily directed towards sea lion viewing ('incidental ecotourists'). Although many visitors witnessed incidental disturbance caused by humans to sea lions, they did not seem to recognise that they themselves could disturb sea lions through their mere presence. Visitors also seemed to have a limited awareness of the safety risk posed by sea lions at close range. Visitors expressed support for the presence of a volunteer ranger on the beach and for more on-site information about sea lions. Finally, visitors indicated that they greatly valued their sea lion viewing experience. It is anticipated that the continued increase in visitation to Carnac Island from recreation and from tourism will result in intensified competition for space between humans and sea lions. Long-term impacts of human disturbances on sea lions are unknown, but a physiological stress response and/or the abandonment of haulout sites has been observed in other pinniped species. The findings of this study highlight the need to implement a long-term strategy to reduce disturbance levels of sea lions by visitors at Carnac Island to ensure that tourism and recreation around sea lions can be sustained in the long term. Recommendations include measures to control visitor numbers on the island through an equitable allocation system between various user groups, the development of on-site sea lion interpretation and a public education and awareness program, the setting up of a Sea Lion Sanctuary Zone on the main beach, ongoing monitoring of sea lion and visitor numbers and other data, and a system of training and accreditation of guides employed by tour operators.
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30

Cordin, Robin M. "Psychopathic-like-traits and aggression in suspended mainstream school children and adolescents." University of Western Australia. Graduate School of Education, 2008. http://theses.library.uwa.edu.au/adt-WU2008.0100.

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[Truncated abstract] The overall aim of the research reported in this thesis was to explore the viability and utility of the construct of psychopathy and aggression in children and adolescents. Specifically, by taking a developmentally informed approach it sought to develop new instrumentation which measured psychopathic-like-traits, and verbal proactive and reactive aggression in non-referred mainstream school children and adolescents. To achieve this, four separate yet interrelated studies were conducted. Study One comprised three phases relating to the development and validation of two new instruments. In Phase One the instruments currently used to measure psychopathy were reviewed and items relevant to young persons were selected for inclusion in a draft version of the new psychopathy screening instrument. Phase Two, which sought to further explore the construct of psychopathy in children and adolescents, comprised a series of interviews with school principals, deputy principals, psychologists, and education officers at the main juvenile detention centre in Perth, Western Australia. These interviews provided information relating to the behaviour and characteristics of children and adolescents who present with psychopathic-like-traits. As a consequence of the feedback from the Phase Two data, Phase Three reviewed the instrumentation currently used to measure aggression in children and adolescents. From this items were selected for possible inclusion in an aggression questionnaire. The data gathered over these three phases resulted in 117 psychopathy related items being generated for the new instrument, which were subsequently reduced to 56 when duplicated items were identified and the extant knowledge of the construct applied. The 56 items were retained in a draft version of the newly developed instrument, which was named the Child and Adolescent Psychopathy Screening Instrument (CAPSI). The Study One data revealed the instrumentation used to date provided few measures of physical and verbal aggression - a characteristic of psychopathic-like behaviour. Thus, a review of instrumentation together with the information from the interviews resulted in 63 aggression items being generated. ... Study Four utilised information from the CAPSI and the CASA in conjunction with in-depth interviews to generate case studies to further elucidate the characteristics of children and adolescents with psychopathic-like-traits and extreme aggression. Case studies were undertaken with seven male students ranging in age from 8 to 15 years who had been suspended from mainstream schools. All boys scored very highly on the new instruments. All presented with extreme aggression, with some exhibiting proactive or premeditated aggression combined with a superficially engaging personality, insincere charm, lack of remorse, and lack of empathy. The findings from all four research studies are discussed in the light of the literature reviewed and the aims of the research. Implications are then drawn for researchers and clinicians, and directions for further research are suggested.
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31

Learnihan, Vincent B. "The physical environment as an influence of walking in the neighbourhood : objective measurement and validation." University of Western Australia. School of Population Health, 2007. http://theses.library.uwa.edu.au/adt-WU2008.0033.

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Over the last decade, there has been rapid growth in research into the influence of the physical environment on physical activity. Previously, individual and social factors dominated research into the influences of physical activity. This new area of study has been built on the understanding that the physical environment may create an opportunity or a barrier to engagement in physical activity behaviours (Sallis & Owen, 1997). This research develops objectively measured features of the physical environment in order to investigate relationships with walking behaviour. Public health research of this nature is still at a preliminary stage, although research expertise outside of public health including transportation, urban planning and geographic information science has much to contribute to this emerging field. This study investigated walking in the neighbourhood in a sample of adults residing in Perth, Western Australia. Objective measurement of the physical environment using Geographic Information Systems (GIS) was conducted including measurement of street connectivity, residential density, land use mix and retail floor area ratio at three different geographic scales (suburb, census collection district, 15 minute walk from a survey participants home). These measures were then combined into an index known as a walkability index and validated against survey participant reported data on walking within the neighbourhood using binary logistic regression. Among other findings, the evidence presented shows that depending on which geographic scale the physical environment is measured at and what type of walking in the neighbourhood is reported, the strength of relationship varies between an objectively measured walkability index and walking behaviour in the neighbourhood. These findings highlight the need to differentiate between walking for transport and walking for recreation, health and exercise when investigating the relationship between physical activity and the environment. These findings also show the importance of geographic scale of measurement in the relationship between physical activity and the physical environment, and the need for current high quality geographic data in this type of research.
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32

Leighton, Kim. "Improving enhanced surveillance of notifiable enteric illnesses." University of Western Australia. School of Population Health, 2005. http://theses.library.uwa.edu.au/adt-WU2005.0074.

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[Truncated abstract] Gastroenteritis is frequently associated with a food or water borne source and the investigation of such cases is undertaken to identify potential sources of infection. Where contaminated food or water are identified as the source of infection/intoxication, action may be taken to limit or prevent further people being affected, and in so doing limit costs to the health care system. This study was undertaken to determine if there is a more effective and efficient way to collect information from patients with certain enteric illnesses. This was based on a trial process of posting self-administered questionnaires with a reply-paid return envelope to the patient and compared with the existing process where local government Environmental Health Officers interview the patient and provide a report to the Department of Health. A limiting factor in the existing process is the time lapse between the onset of illness and follow-up by Environmental Health Officers (EHOs), which results in difficulties in contacting the patient and obtaining a dietary history. Furthermore, the existing system is resource intense, requiring officers to individually interview patients either in person or by telephone. The study was of those patients living in the Perth metropolitan area whose doctor notified the Department of Health that the patient had contracted any of three notifiable enteric illnesses (campylobacterosis, giardiasis or salmonellosis), and the patient was not part of a known outbreak and was assessed as not requiring urgent follow-up. The trial process was used for patients living in five local government areas and the return rate, timeliness of return and completeness of questionnaires in the trial process was compared with the reports returned under the existing process of investigation and reporting by EHOs from 24 metropolitan local government areas that were not part of the trial process. An estimate of the potential costs to local government and the Department of Health was undertaken for both the existing and trial processes of collecting information from patients. A survey of local government EHOs in the metropolitan area was also undertaken to assess the perception of EHOs about roles and responsibilities in the follow-up investigation, the use of the Enteric Disease Investigation Report (EDIR) and the limitations that they identified in the current investigation process.
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33

Ernst, Wolfgang F. "The economic rationale for stochastic urban transport models and travel behaviour : a mathematical programming approach to quantitative analysis with Perth data." UWA Business School, 2003. http://theses.library.uwa.edu.au/adt-WU2005.0004.

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[Formulae and special characters can only be approximated here. Please see the pdf version of the abstract for an accurate reproduction.] This thesis reviews, extends and applies to urban traffic analysis the entropy concept of Shannon and Luce's mathematical psychology in a fairly complex and mathematically demanding model of human decision making, if it is solved as a deeply nested structure of logit calculus. Recognising consumers' different preferences and the universal propensity to seek the best choice when going to some desired goal (k), a transparent mathematical program (MP) is developed: the equivalent of a nested multinomial logit model without its inherent computational difficulty. The MP model makes a statistical assessment of individual decisions based on a randomised (measurable) utility within a given choice structure: some path through a diagram (Rk, Dk), designed a priori, of a finite number of sequential choices. The Equivalence Theorem (ET) formalises the process and states a non-linear MP with linear constraints that maximises collective satisfaction: utility plus weighted entropy, where the weight (1/θn) is a behavioural parameter to be calibrated in each case, eg for the Perth CBD. An optimisation subject to feasible routes through the (Rk, Dk) network thus captures the rational behaviour of consumers on their individually different best-choice decision paths towards their respective goals (k). This theory has been applied to urban traffic assignment before: a Stochastic User Equi-librium (SUE). What sets this thesis apart is its focus on MP models that can be solved with standard Operations Research software (eg MINOS), models for which the ET is a conditio sine qua non. A brief list of SUE examples in the literature includes Fisk's logit SUE model in (impractically many) route flows. Dial's STOCH algorithm obviates path enumeration, yet is a logit multi-path assignment procedure, not an MP model; it is nei-ther destination oriented nor an optimisation towards a SUE. A revision of Dial's method is provided, named STOCH[k], that computes primal variables (node and link flows) and Lagrangian duals (the satisfaction difference n→k). Sheffi & Powell presented an unconstrained optimisation problem, but favoured a probit SUE, defying closed formulae and standard OR software. Their model corresponds to the (constrained) dual model here, yet the specifics of our primary MP model and its dual are possible only if one restricts himself to logit SUE models, including the ET, which is logit-specific. A real world application needs decomposition, and the Perth CBD example is iteratively solved by Partial Linearisation, switching from (measured) disutility minimisation to Sheffi & Powell's Method of Successive Averages near the optimum. The methodology is demonstrated on the Perth Central Business District (CBD). To that end, parameter Θ is calibrated on Main Roads' traffic count data over the years 1997/98 and 1998/99. The method is a revision of Liu & Fricker's simultaneous estimation of not only Θ but an appropriate trip matrix also. Our method handles the more difficult variable costs (congestion), incomplete data (missing observations) and observation errors (wrong data). Finally, again based on Main Roads' data (a sub-area trip matrix), a Perth CBD traffic assignment is computed, (a) as a logit SUE and - for comparison - (b) as a DUE (using the PARTAN method of Florian, Guélat and Spiess). The results are only superficially similar. In conclusion, the methodology has the potential to replace current DUE models and to deepen transport policy analysis, taking into account individual behaviour and a money-metric utility that quantifies 'social benefits', for instance in a cost-benefit-analysis.
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34

McNamara, Phillip Anthony. "A modernist sensibility and Christian wit in the work of Tom Gibbons." University of Western Australia. School of Architecture and Fine Arts, 2006. http://theses.library.uwa.edu.au/adt-WU2006.0124.

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This thesis is an investigation of how spiritual ideas have contributed to West Australian academic and artist Tom Gibbons’s approach to Modernism. Against the backdrop of the local context I show how Gibbons’s 1950s undergraduate and 1960s post-graduate studies in the area of the occult and esoteric influences on Early Modernism provided him with an atypical perspective on Modernism itself but that this perspective resulted in his development of a Modernist sensibility particularly suitable for the type of questions asked about art in the later part of last century. My thesis traces Gibbons’s development of an integrated aesthetic “theory” that bridged for him the gap between a host of contrary sources. For Gibbons the bridge between divergent views on art, from the Modern period to the Renaissance period, is an ahistorical perspective based on Christian Immanence. He thus adopted a perspective that redefined the metaphysical aspects of Modernist abstraction through a particular approach to realism which celebrates the everyday world because of the Christian structures that for him condition it. I argue that his sensibility, which combines the stylistic features of a Modernist literature witty juxtaposition, irony and paradox with the concept of Christian Immanence, resulted in an oeuvre which can be read as a particular example of what Ken Wilber in the late 1990s termed Integral Studies. I argue that underlying Gibbons’s use of Christian Immanence is the Integralist’s understanding that the world’s great philosophical and spiritual traditions approach consciousness and experience through similar ideas. The argument presented, in agreement with writers such as Wilber, is that Gibbons’s capacity to develop a sense of life’s irony and metaphor, and to then use this as a capacity to embrace the beauty and outrageousness of the whole, is a mature spirituality that provides an integrated perspective filled with joy for the ordinary. I conclude that his art provides a particular example of how the loss of meaning felt by Modernists may be addressed.
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35

Dahari, Zainurin. "The effect of price and health information in shifting young children [sic] preference towards healthier food." UWA Business School, 2007. http://theses.library.uwa.edu.au/adt-WU2008.0011.

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Young children have becoming an important target by marketers. Marketers have used many strategies to influence their food choices including advertising and free gifts. According to literature, young children, are cognitively vulnerable and may make unhealthy decisions about their food choices that could lead to serious problems associated with being overweight and obese. This thesis examines whether price and health claim information can shift young childrens' choices towards healthier foods. Most of the previous published research literature has focused on adults. Those findings, using surveys and experiments, suggest that adults' food preferences and choices can be influenced by setting price and by providing health information. These findings suggest that these strategies may have a potential effect in young children decision making. The literature on Children Socialization and Information Processing Theory in consumer behaviour suggests that most young children under 8 are not cognitively skilled to use price and health claim information for their decision making. Nonetheless, most 5 to 8 year olds are making purchases of food at their school canteen several times a week. In order to test for the effects of price and nutrition information, several experiments that used discrete choice modelling were conducted to determine their choices, the reliability of their choices and the between their experimental choice behaviour and their choice in the market place. More than one hundred young children, aged from five to eight years old, completed the discrete choice experiments conducted in two primary schools in the suburbs of Perth. The choice experiments on subjects that had previous experience with the food items, but did not know their relative nutritional value, showed a strong positive effect of price. In other words, higher priced options were often in more demand. Although this may appear a poor response to price by an observer, children have little knowledge of food costs, so they may use price as a surrogate for quality. Price level was also a main effect in reducing the share of unhealthy choices. The results of the analyses also show that young children can provide reliable choice decisions within 5 months of experiment. However, their experimental choices were not associated with their later choices in the canteen. These findings provide evidence of the effectiveness of price and health claim information in changing young childrens' preference toward healthy choices, and the potential usefulness of using discrete choice techniques to shift children to more healthy food options.
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36

Samuel, Jos Martinus. "Effects of multi-scale rainfall variability on flood frequency : a comparative study of catchments in Perth, Newcastle and Darwin, Australia." University of Western Australia. School of Environmental Systems Engineering, 2008. http://theses.library.uwa.edu.au/adt-WU2009.0066.

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Issues arising from climate change and long-term natural climate variability have become the focus of much recent research. In this study, we specifically explore the impacts of long-term climate variability and climate changes upon flood frequencies. The analyses of the flood frequencies are carried out in a comparative manner in catchments located in semiarid-temperate and tropical landscapes in Australia, namely Perth, Newcastle and Darwin, using a process-based derived flood frequency approach. The derived flood frequency analyses are carried out using deterministic rainfall-runoff models that capture the intrinsic water balance variability in the study catchments, and driven by temporal rainfall event sequences that are generated by a stochastic rainfall model that incorporates temporal variabilities over a multiplicity of time scales, ranging from within-event, between-event to seasonal, multi-annual and multi-decadal time scales. Six climate scenarios are considered for Newcastle, that combine the ENSO (El Niño Southern Oscillation) and IPO (Inter-decadal Pacific Oscillation) modes of variability, and six different climate scenarios are considered for Perth and Darwin that combine these different ENSO modes and step changes in climate (upwards or downwards) that occurred in 1970 in both regions, which were identified through statistical analysis. The results of the analyses showed that La Niña years cause higher annual maximum floods compared to El Niño and Neutral years in all three catchments. The impact of ENSO on annual maximum floods in the Newcastle catchment is enhanced when the IPO is negative and for Perth, the impact of ENSO weakens in the post-1970 period, while it strengthens in Darwin in the same period. In addition, the results of sensitivity and scenario analyses with the derived flood frequency model explored the change of dominant runoff generation processes contributing to floods in each of the study catchments. These analyses highlighted a switch from subsurface stormflow to saturation excess runoff with a change of return period, which was much more pronounced in Perth and Darwin, and not so in Newcastle. In Perth and Darwin this switch was caused by the interactions between the out-of-phase seasonal variabilities of rainfall and potential evaporation, whereas the seasonality was much weaker in Newcastle. On the other hand, the combination of higher rainfall intensities and shallower soil depths led to saturation excess runoff being the dominant mechanism in Newcastle across the full range of return periods. Consequently, within-storm rainfall intensity patterns were important in Newcastle in all major flood producing events (all return periods), where they were only important in Perth and Darwin for floods of high return periods, which occur during wet months in wet years, when saturation excess runoff was the dominant mechanism. Additionally, due to the possibility of a change of process from subsurface stormflow to saturation excess when conditions suited this switch, the estimates of flood frequency are highly uncertain especially at high return periods (in Darwin and Perth) and much less in Newcastle (when no process change was involved).
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37

Paul, Suzanna. "Comparative assessment of the effectiveness of online vs paper based post graduate courses in occupational and environmental safety and health at Edith Cowan University, Perth, Western Australia." Connect to thesis, 2006. http://portal.ecu.edu.au/adt-public/adt-ECU2007.0030.html.

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38

Evans, Michaela Skye. "The elusive clean machine : rational order and play in a public railway." University of Western Australia. School of Social and Cultural Studies, 2009. http://theses.library.uwa.edu.au/adt-WU2009.0106.

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[Truncated abstract] Rational order and play are often conceptualised as oppositional forces. In modern urban life especially, rational order is presented as destructive of a playful orientation towards life eschewing mystery through coherence, spontaneity through predictability, and contingency through systematic planning. In turn, the postmodern debate often asserts the reinvigoration of free, playful, and contingent individuals whose collective acts are destructive of the rationality of modern order with the present, in contrast to the past, offering a condition of enduring and unremitting uncertainty. This thesis explores the dynamic relation between rational order and play in urban society through an ethnographic account of a public commuter railway in Perth, Western Australia. Notwithstanding this ethnographic setting, the thesis addresses questions of broader significance through an analysis of the railway as an instance of public space and state techno-bureaucratic order. I investigate the creative process through which the state attempts to standardise the various operational components of the railway as well as the reasons underpinning the state's desire to produce what I term a 'clean machine'. In turn, I investigate how differentially positioned actors live within this carefully crafted machine. I do so by following the stories, experiences, and practices of: government administrators charged with building the railway; the managers who oversee the network's operation; the staff members who operate trains, clean stations, and discipline passengers; and the railway's end-users, including passengers and graffiti artists. ... In examining the two tensions of rational order/play and revelation/ concealment, I attempt to explicate how it is that people experience life as simultaneously coherent and serendipitous. In the thesis, I document the ways in which railway officials, passengers, and graffiti artists express a pervasive ambivalence towards their experience of the railway system. On the one hand, these actors experience the railway as a system of constraint that produces 'robotic' behaviours and automated transactions. On the other, they see the railway as a liberating space that enables autonomous expression and spontaneous interaction. By examining these contending experiences and associated sentiments, I highlight the railway as a stimulating site within which to explore the meaning and significance of urban modernity. Lastly, this thesis contributes to debate on the challenges posed by the character of contemporary social processes to anthropological research methodology. I illustrate the utility of such methods as written and photographic diaries as well as mental-mapping exercises, but primarily advocate the documentary and analytical advantages of participant observation in a mobile field-site. I assert that while participant observation poses a number of personal and professional challenges in this setting, these challenges uncover the stimulating complexity of contemporary urban life. To this end, I contest emergent academic commentary that propounds the destabilisation of anthropological techniques in what is frequently described as an equally destabilised world.
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39

Elliott, Diana. "The impact of genetic counselling for familial breast cancer on women's psychological distress, risk perception and understanding of BRCA testing." University of Western Australia. School of Population Health, 2008. http://theses.library.uwa.edu.au/adt-WU2008.0190.

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[Truncated abstract] Background: A review of the literature indicated there was a need for more long-term randomised controlled studies on the effects of BRCA counselling/testing on high risk women, including improved strategies for risk communication. Reviews have also shown women are confused about the significance of inconclusive or non informative results with a need for more research in this area. Aims: The general aim of this study was to evaluate the impact of breast cancer genetic counselling on psychological distress levels, perception of risk, genetic knowledge and understanding of BRCA testing/test results in a cohort of 207 women from high risk breast cancer families who were referred for genetic counselling in Perth during the period 1997 to 2001. Short- and long-term impact of BRCA genetic counselling/testing was determined in women with and without cancer in a randomised controlled trial as part of which women were randomised to either receive immediate versus delayed genetic counselling. This included family communication patterns before BRCA testing, anticipated outcomes of testing on oneself and family including intentions for result disclosure. Comprehension of index and predictive BRCA testing with possible results was assessed both in the short- and the long-term and understanding of individual or family BRCA test results was evaluated at long-term. The effect of genetic counselling on breast cancer risk perception in unaffected women was evaluated. This study considered a theoretical framework of educational learning theories to provide a basis for risk communication with possible relevance for future research. ... Only 25% of the original study population (52/207) reported BRCA results and women's understanding of results is concerning. Key findings were: 1. The majority of affected women received an inconclusive result. 2. Out of twelve unaffected women who reported results, seven were inconclusive which are not congruent with predictive testing. This implies that these women did not understand their test result. 3. A minority of untested relatives did not know whether a family mutation had or had not been found in their tested family member or what their actual test result was. This implies either a lack of disclosure or that woman did not understand the rationale for and significance of testing for a family mutation. 4. Three relatives did not understand a positive result was a mutation. Conclusion: The implication of this research for breast cancer counselling and testing services is that women who wait for counselling are no worse off in terms of short- or long-term general psychological distress than women who receive the intervention early. There is a suggestion that unaffected women without the disease found counselling more advantageous than affected women. The meaning of BRCA results as reported by women is concerning particularly women's understanding of negative and inconclusive results and further research is needed in this area. Too much information presented at counselling may affect women's comprehension of risk, BRCA testing and future test results and further research is required to evaluate the effects of information overload.
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