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1

J. Webb, T. Spurling, and A. Finch. "Australia, Innovation and International Collaboration." Scientific Inquiry and Review 2, no. 1 (January 31, 2018): 01–09. http://dx.doi.org/10.32350/sir/21/020101.

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Australia’s path to innovation began with the very early use of tools and cultivation by aboriginal communities. With the arrival of Europeans from 1788, innovation focused on supporting agricultural production and mineral extraction. More recently, Australian innovation has extended to include high technology products such as the Cochlea Ear and the production of plastic bank notes, developed through a strong foundation in fundamental science. Looking to the future, Australia has greatly expanded its international cooperation. Bibliometric data show strong growth in collaborative chemical research papers between chemists in Australia and those in China, greatly exceeding those with Japan and India, the next strongest partners in collaboration. The most productive areas of chemistry for international collaboration are physical chemistry and chemical engineering. Concerning Pakistan, bibliometric data show a dramatic growth in collaboration between Australian and Pakistani scientists. Data analysis support the benefits of international collaboration.
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Bandara, Wasana, Charon Abbott, Paul Mathiesen, Lara Meyers, and Mindy Nagra. "Developing Enterprise-wide Business Process Management Capability: A Teaching Case from the Financial Sector." Journal of Information Technology Teaching Cases 8, no. 2 (November 2018): 192–208. http://dx.doi.org/10.1057/s41266-018-0034-x.

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Continuously managing business processes is globally a high organisational priority. The necessity for organisation-wide process management approaches (as opposed to ad hoc initiatives) is widely recognised. Yet, the required skills and capabilities for such enterprise-wide BPM is a well-known gap, with little resources to date to address this. This teaching case is based on the Bank of Queensland (BOQ—one of the oldest financial institutions in Australia). The narrative provides an overview of a range of Enterprise level business process management (hereafter referred to as ‘E-BPM’) activities that have taken place to date at BOQ to build its E-BPM capability. The teaching case presents how the development of E-BPM capability is a continuous journey which requires applied management and strong governance, and articulates some of the issues encountered when embedding BPM within an organisational structure. Based on the case, a series of student activities pertaining to E-BPM practices covering key aspects of BPM governance, strategic alignment, culture, people, IT, methods, etc., is provided (with model answers). This case is complemented by a rich set of teaching notes, making it a valuable resource that can be easily and directly applied for E-BPM training.
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JPT staff, _. "E&P Notes (August 2022)." Journal of Petroleum Technology 74, no. 08 (August 1, 2022): 12–15. http://dx.doi.org/10.2118/0822-0012-jpt.

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Valaris Adds Fresh Rig Contracts to Backlog Valaris has scooped a number of new contracts and contract extensions, adding an associated $466 million to its contract backlog. The company received a 540-day contract with Equinor offshore Brazil for use of drillship Valaris DS-17. The rig will be reactivated for this contract, which is expected to begin in mid-2023. The total contract value is around $327 million, including an upfront payment totaling $86 million for mobilization costs, a contribution toward reactivation costs, and capital upgrades. The remaining contract value relates to the operating day rate and additional services. Also in Brazil, Valaris received a contract extension with TotalEnergies EP Brasil offshore Brazil for the use of drillship Valaris DS-15. The option is in direct continuation of the current firm program. “We are particularly pleased to have been awarded another contract for one of our preservation stacked drillships, Valaris DS-17, and look forward to partnering with Equinor on their flagship Bacalhau project in Brazil,” said Valaris Chief Executive Anton Dibowitz. “We expect Brazil to be a significant growth market for high-specification floaters over the next several years, and we are well positioned to benefit by now adding a third rig to this strategic basin.” The contractor also was awarded a two-well contract extension with Woodside offshore Australia for semisubmersible Valaris DPS-1. The two-well extension has an estimated duration of 38 days and will be in direct continuation of the existing firm program for Woodside’s Enfield plug-and-abandonment (P&A) campaign. The P&A work covers 18 wells in total. Woodside also awarded Valaris a separate one-well extension for the rig. The work has an estimated duration of 60 days with Woodside’s Scarborough development campaign. Elsewhere, Shell awarded a 4-year contract for heavy-duty modern jackup Valaris 115 offshore Brunei. The $159-million contract is expected to begin in April 2023. The contract was also awarded various short-term deals for jackups with Shell in the UK, an undisclosed operator in the Gulf of Mexico (GOM), Cantium in the GOM, and GB Energy offshore Australia. Shell Joins Equinor in GOM Sparta Development Shell has agreed to purchase 51% of Equinor’s interest in the North Platte deepwater development project in the US Gulf of Mexico (GOM). Equinor will retain 49% interest in the project, and Shell will become the new operator of the field. The new partners also have agreed to rename North Platte to Sparta. Sparta straddles four blocks of the Garden Banks area, 275 km off the coast of Louisiana in approximately 1300 m of water depth. Front-end engineering and design has been matured for the project. Equinor and Shell will review the work that has been completed and update the development plan. Shell said that Sparta aligns with its strategy to pursue upstream investments that can remain competitive over time, both from a financial and environmental-intensity perspective. North Platte was discovered by Cobalt Energy and Total in 2012. The partners said the Wilcox-aged discovery would require 20K-psi technology to develop. Cobalt went bankrupt in 2017 and its stake in the asset was sold to Equinor and Total. In early 2022, TotalEnergies walked away from the project and its operatorship to focus on other projects, leaving Equinor with 100% interest. BP Awarded King Mariout Block in Egypt’s West Med BP has been awarded the King Mariout exploration block offshore Egypt following its participation last year in the limited bid round organized by the Egyptian Natural Gas Holding Company. The King Mariout Offshore area is located 20 km west of the Raven field in the Mediterranean Sea and covers 2600 km2 with water depths ranging between 500 and 2100 m. The block is within the West Nile Delta area, for which material gas discoveries could be developed using existing infrastructure. BP holds a 100% stake in the block. BP is a major player in Egypt investing more than $35 billion in the area over the past 60 years. LLOG Begins Production From Spruance in GOM LLOG has kicked off production from its operated Spruance Field located in Ewing Bank Blocks 877 and 921 in the US GOM. The two-well subsea development is producing, in combination, approximately 16,000 B/D of oil and 13 MMcf/D via a 14-mile subsea tieback to the EnVen-operated Lobster platform in nearby Block 873. The Spruance Field was initially discovered by LLOG and its partners in mid-2019 via a subsalt exploratory well, the Ewing Bank 877 #1, which was drilled in 1,570 ft to a total depth of 17,000 ft and logged around 150 net ft of oil pay in multiple high-quality Miocene sands. A second well, the Ewing Bank 921 #1, was drilled from the same surface location as the discovery well to a total depth of 16,600 ft in early October 2020. The well delineated the main field pays and logged additional oil pay in the exploratory portion of the well, finding a total of more than 200 net ft of oil. LLOG is the operator of the Spruance Field and owns a 22.64% working interest with partners Ridgewood Energy (23.89%), EnVen (13.5%), Beacon Asset Holdings (11.61%), Houston Energy (11.2%), Red Willow (11.15%), and CL&F (6%). Egypt Signs Agreement With Chevron To Drill First Exploration Well in East Med Chevron is planning to drill the first exploration well in its concession area in the Eastern Mediterranean this September. The well plans come as Egyptian Natural Gas Holding signed a memorandum of understanding with the US-based producer to cooperate in transporting, importing, and exporting natural gas from the area. Chevron expanded its presence in the area following its $5-billion acquisition of Noble Energy in 2020. The two companies will evaluate options for natural gas transmission from the East Mediterranean to Egypt to optimize its value through liquefaction before re-exporting and selling it, according to the memorandum. In addition, the two firms will perform research on low-carbon natural gas. APA Suriname Campaign Offers Mixed Results APA Corporation successfully flow tested its Krabdagu exploration well (KBD-1) on Block 58 offshore Suriname, while its Rasper exploration well on Block 53 offered disappointing results. Flow-test data collected in the two lower intervals, the Upper Campanian (32 m of net oil pay) and Lower Campanian (32 m of net oil pay), indicate oil-in-place resources of approximately 100 million bbl and 80 million bbl, respectively, connected to the KBD-1 well. Appraisal drilling will be necessary to confirm additional resource and development-well locations, according to APA. The exploration well encountered another high-quality interval in the Upper Campanian that was not in a location suitable for flow testing. This shallower Campanian zone will need to be flow tested in the appraisal stage from a better location. The APA-TotalEnergies joint venture is currently drilling the Dikkop exploration well in the central portion of Block 58 with drilling rig Maersk Valiant. Following completion of operations at Dikkop, the rig is expected to continue exploration and appraisal activities in the central portion of Block 58. APA Suriname and operator TotalEnergies each hold a 50% working interest in the block. Meanwhile, APA’s Rasper well in Block 53 off Suriname encountered water-bearing reservoirs in the Campanian and Santonian intervals. The Noble Gerry de Souza drillship has been mobilized to the next exploration prospect, Baja, in the southwestern corner of Block 53. Baja lies 11 km northeast of the recently announced Block 58 discovery at Krabdagu and will test Maastrichtian and Campanian targets. APA Suriname, the operator, holds a 45% working interest in the block, Petronas holds a 30% working interest, and CEPSA a 25% working interest. Novatek JV Wins North Yarudeyskoye License Novatek’s Yargeo joint venture has won the license to survey, explore, and develop production at the North Yarudeyskoye oil and gas condensate field over the next 27 years. The license area is in the Yamal-Nenets autonomous region in the Arctic, Russia’s principal gas-producing area. North Yarudeyskoye holds an estimated hydrocarbon resource potential of 93.5 million BOE. The greater Yarudeyskoye field began producing in 2015 and by 2017 was responsible for nearly a third of Novatek’s liquids production. The company, Russia’s largest private natural gas producer, noted that it had participated in the recent auction to explore and develop North Yarudeyskoye through Gazprom Bank’s Electronic Trading Platform and that the win was Novatek’s first on that platform. PDC Energy Gets Green Light for Kenosha, Broe Developments The Colorado Oil and Gas Conservation Commission has approved PDC Energy’s Kenosha and Broe developments’ permit applications. The Kenosha development, which encompasses 69 wells on three pads in rural Weld County, Colorado, further increases PDC’s permitted inventory by another rig year and solidifies drilling and completion activity well into 2024. The Broe permit encompasses 30 wells in rural Weld County. The Broe plan was initiated by Great Western Petroleum, which was acquired by PDC in May 2022 and represents PDC’s first development plan approval on Great Western acreage. Combined with the Kenosha plan approval, PDC added 99 new wells to its inventory in June and will soon have more than 675 permits and drilled and uncompleted wells. Both fields are in the greater Wattenberg area. The new permits add to an already-established multiyear inventory of projects in the DJ Basin. Kenosha is the second oil and gas development plan to be approved, and the company anticipates further approvals with its Guanella area plan and others. PDC’s operations in the Wattenberg field are focused in the horizontal Niobrara and Codell plays. The Wattenberg represents PDC Energy’s largest asset with more than 85% of its 2021 production and 90% of its year-end 2021 proved reserves.
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Medway, David G. "The contribution of Thomas Pennant (1726–1798), Welsh naturalist, to the Australian ornithology of Cook's first voyage (1768–1771)." Archives of Natural History 38, no. 2 (October 2011): 278–86. http://dx.doi.org/10.3366/anh.2011.0034.

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Thomas Pennant – Welsh traveller, antiquary, naturalist, and author – visited Joseph Banks in September 1771 shortly after Banks returned from his voyage around the world (1768–1771) with James Cook. It was almost certainly on the occasion of this visit that Pennant was given access to manuscript descriptions of various birds and other animals that had been met with on the voyage, saw the specimens Banks had brought back to England, and was given some of them. Among the Pennant papers in the National Library of Wales is a collection of descriptions in Pennant's handwriting that relate to birds met with by Banks on Cook's voyage. These descriptions may be only part of what was once a more extensive collection in that regard. Of especial interest and importance among them are those of 13 Australian landbird species. Some years later, Pennant must have noticed that John Latham, in his monumental A general synopsis of birds (1781–1785), had not described some species that Pennant possessed specimens or descriptions of, or that Latham's information about some of those he described was deficient in certain respects. Pennant communicated descriptions and notes on those birds to Latham, most notably in relation to several landbirds that had been collected in eastern Australia by Banks in the course of his voyage with Cook. It is apparent from the sources discussed in this paper that Banks took more specimens of Australian birds back to England from the first Cook voyage than has previously been realised. It is a strange quirk of history that, today, more evidence in that regard is available from Pennant, who did not go on the voyage, than from Banks who did.
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Turner, Graeme, Elizabeth Tomlinson, and Susan Pearce. "Talkback Radio: Some Notes on Format, Politics and Influence." Media International Australia 118, no. 1 (February 2006): 107–19. http://dx.doi.org/10.1177/1329878x0611800114.

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This paper presents early results from an ARC-funded research project on the content, audience and influence of Australian talkback radio. Drawing upon the analysis of data from a survey of three talkback programs — John Laws and Neil Mitchell from the commercial sector and Australia Talks Back from the ABC — the paper focuses upon two aspects: the topics canvassed and the participation of the callers. Although very preliminary, the results of this survey narrow down the kinds of questions we need to ask as we move towards more sophisticated analysis of this media format.
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Wells, Alice, and Rosalind St Clair. "Review of the Australian endemic odontocerid genus Barynema and status of Australian Marilia (Trichoptera)." Memoirs of Museum Victoria 80 (2021): 151–62. http://dx.doi.org/10.24199/j.mmv.2021.80.05.

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In this review of Australian Odontoceridae, we revise details of the two established species in the endemic genus Barynema Banks – B. costatum Banks and B. australicum Mosely – and describe six new congeners: B. paradoxum sp. nov., B. lorien sp. nov., B. lobatum sp. nov., B. dilatum sp. nov., B. dolabratum sp. nov. and B. goomburra sp. nov. For the only other odontocerid genus recorded for Australia, Marilia Müller, we discuss the present status of the three described species – M. bola Mosely, M. aenigmata Neboiss and M. fusca Kimmins – and outline our efforts and those of others to resolve problems of species delimitation based on morphology. We select a new replacement name for Marilia fusca and provide brief notes on the larvae of both genera.
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Whiteoak, John. "‘Jazzing’ and Australia's First Jazz Band." Popular Music 13, no. 3 (October 1994): 279–95. http://dx.doi.org/10.1017/s0261143000007200.

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A growing tendency to study Australian popular musics as an aspect of Australian cultural studies has begun to bear fruit in the form of long overdue appraisal of the socio-cultural and musical significance of these musics. Yet in our justified enthusiasm for the exciting horizons made visible by this development, it is possible to forget that music research can serve more traditional but nevertheless important functions. In the study of popular musics, in particular, knowing how music was played can be more important than knowing what piece of repertoire was performed. For example, discovering what was ‘done’ to music in performance can tell us about the sound of unrecorded genres and can facilitate (for whatever reason) the reconstructed performance of these genres. Knowing that specific performance gestures (such as ‘flattened’ or ‘blues’ notes) were applied can of course increase our understanding of the social, cultural, and even the political nature of specific musics. In this article I am mostly concerned with applying this notion of ‘doing things’ to music to the retrieval of musical information about a specific ensemble. This more or less indigenous ensemble, which was promoted in 1918 as ‘Australia's First Jazz Band’, has captured the imagination of Australian jazz writers and is widely considered to represent the beginning of Australian jazz (Bissett 1979, p. 9).
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Marise, Chantel, and Peter Ross. "Identification of 1-methylaminoanthraquinone on Australian polymeric bank notes." Forensic Science International 206, no. 1-3 (March 2011): 207–10. http://dx.doi.org/10.1016/j.forsciint.2010.08.009.

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Smallbone, Chris. "Serbia's national welding capability (NWC) and its significance to the UN sustainable development goals (SDGs)." Zavarivanje i zavarene konstrukcije 67, no. 1 (2022): 27–31. http://dx.doi.org/10.5937/zzk2201027s.

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The International Institute of Welding (IIW) through its IIW Board of Directors Working Group Regional Activities and Liaison with Developing Countries (WGRA) introduced in 1994 the unique IIW WeldCare Programme to assist developing countries to improve their national welding capabilities particularly through the establishment and/or growth of a not-for-profit national welding organisation. Since then, IIW WGRA has assisted many countries freely through the holding of IIW technology innovation workshops, governance workshops and International Congresses as well as providing them with information, experiences and documentation on successful activities particularly from experiences in South Africa, Australia and globally. As an extension and expansion of the IIW WeldCare Programme through IIW WGRA, a project "Establishing a National Welding Capability (NWC)" was created and managed by the author. Several very successful NWC workshops have been held since then to assist not only developing countries but also developed countries which could utilise them to improve their national welding capabilities. These have included Romania, Bulgaria, Serbia, Greece, Hungary, South Africa, India, New Zealand and Thailand amongst others. Based on feedback from the workshops and International Congresses held, the need for 11 comprehensive guidance notes with links to a knowledge resource bank were identified. Improving a country's National Welding Capability can make a significant contribution to, and have a very positive effect on, many national and international programmes including the United Nations Sustainable Development Goals (SDGs). When one considers the networks which the IIW, its 50 Member countries, universities, colleges, research organisations and companies involved in welding have, bringing all the available welding resources to assist in achieving the SDGs can have a remarkable positive effect globally on all countries. UNESCO published a report titled "Engineering for Sustainable Development: Delivering on the Sustainable Development Goals". There is no reason why a similar initiative could not be undertaken for the welding field. This paper can serve as a catalyst, and the National Welding Capability Project as the basis, for such a report. It is hoped that this paper will stimulate ideas amongst the international welding community for feedback to the author and dissemination into countries to improve their SDGs.
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Liddell, Max. "If having child-centred policy is the answer, what's the question?" Children Australia 35, no. 2 (2010): 29–34. http://dx.doi.org/10.1017/s1035077200001036.

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This paper argues that having child-centred policy is not the straightforward matter it might seem. After presenting some historical snap-shots to demonstrate that children have frequently been the victims of policies aimed at addressing needs or perceived problems which are not child-centred, the author argues that contemporary policies frequently leave out significant variables, and the impact of culture is one of these. Focusing on the Australian-Asian region, the author notes the dominance of family and community over individual rights in many countries in our region. The likelihood is that family and children's services in Asian countries will conceptualise services to families and children in non-western ways, in spite of the fact that the principles underlying child protection which they espouse are frequently western in orientation (that is, they have a child's rights focus). Using these insights as a lens through which to look back at Australia, it is possible to see Australia as having ‘cultural’ traditions which also value family and community over the rights of children. It is argued in conclusion that future policy needs to take such realities more firmly into account, and given the increasing presence of and influence of cultures with a family-centred focus in Australia, greater attention also is needed to our international context.
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Forster, PI. "A taxonomic revision of Alyxia (Apocynaceae) in Australia." Australian Systematic Botany 5, no. 5 (1992): 547. http://dx.doi.org/10.1071/sb9920547.

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The genus Alyxia Banks ex R. Br. is revised for Australia. Seven species are recognised, namely A. buxifolia R. Br., A. grandis sp. nov., A. ilicifolia F. Muell., A. orophila Domin, A. ruscifolia R. Br., A. sharpei sp. nov. and A. spicata R. Br. Alyxia ruscifolia has three subspecies with subsp. major and subsp. tropica newly described. Alyxia ilicifolia has two subspecies with subsp. magnifolia comb. & stat. nov. based on A. magnifolia Bailey. Generic and specific descriptions, a key to species, notes on typification, variation, distribution, ecology and conservation status are provided. Lectotypes are chosen for a number of names.
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Dean, Anne-Marie, Mandy Matthewson, Melissa Buultjens, and Gregory Murphy. "Scoping review of claimants’ experiences within Australian workers’ compensation systems." Australian Health Review 43, no. 4 (2019): 457. http://dx.doi.org/10.1071/ah17244.

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Objective The aim of this scoping review was to map the literature on the lived experiences of injured workers in Australia in order to better understand the factors that inhibit the transition back to work and improved health. The ultimate aim of the study was to identify areas for further research into workers’ compensation systems and practices that are associated with improved occupational rehabilitation outcomes. Methods PubMed, ProQuest, Embase and Cumulative Index to Nursing and Allied Health Literature (CINAHL) were searched for eligible articles published in English in peer-reviewed journals from 2001 to 2017. Narrative data synthesis was used to analyse the data collected from included articles. Results Twelve articles examining injured workers’ experiences within Australian workers’ compensation systems were identified. Injured workers reported similar experiences across states and territories in Australia. Four common themes and three subthemes were noted, namely: (1) relationships and interactions; (2) injured workers’ perceptions (subthemes: mental health effects, social effects and financial effects); (3) the workers’ compensation process; and (4) independent medical evaluations. Conclusions There are common difficulties that injured workers experience within Australian workers’ compensation systems that are reported to impede rehabilitation and return to work. A less harmful, more cooperative approach to worker rehabilitation and compensation is needed. What is known about the topic? Different workers’ compensation systems exist throughout Australia. Little is known about injured workers’ perceptions of their experiences within these systems in Australia and whether these experiences are similar or different across systems. What does this paper add? This scoping review synthesises available evidence showing that injured workers report negative experiences of workers’ compensation systems, and that this experience is similar across the different systems. This review also identified a clear need for future research on workers’ compensation systems in order to promote evidence-based approaches to best support the occupational rehabilitation of injured workers. What are the implications for practitioners? Evidence suggests a more holistic, biopsychosocial approach is required by practitioners when facilitating an injured worker’s recovery and return to work. This approach is also vital when considering legislative reforms, such as workers’ compensation systems, processes and practices.
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Pratama, Ryanbi, Alicia G. Beukers, Christopher J. McIver, Caitlin L. Keighley, Peter C. Taylor, and Sebastiaan J. van Hal. "A vanA vancomycin-resistant Enterococcus faecium ST80 outbreak resulting from a single importation event." Journal of Antimicrobial Chemotherapy 77, no. 1 (October 29, 2021): 31–37. http://dx.doi.org/10.1093/jac/dkab379.

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Abstract Background A marked genotype shift among vancomycin-resistant Enterococcus faecium (VREfm) from vanB to vanA in Australia between 2011 and 2015 is a well-known phenomenon. It is hypothesized that this was caused by multiple independent clones emerging simultaneously in different settings and/or regions. Objectives To gain insights into the circumstances surrounding the shift from vanB to vanA VREfm in one Australian hospital. Methods The genomes of 69 vanA VREfm isolates from St George Hospital collected between 2009 and 2018 were studied. An expansion of ST80 vanA VREfm was noted following a single introduction. ST80 isolates were thus further characterized using hybrid sequencing and contextualized through comparisons with other published Australian ST80 isolates. Phylogenies were constructed with plasmid sequences compared with the index isolate. Results The 2011 expansion of ST80 vanA VREfm isolates in our institution originated from the 2009 index isolate, from a patient transferred from overseas. Phylogenetic analysis with other Australian ST80 vanA VREfm isolates showed that the 2011 expansion event was unique, with limited spread to adjacent local health districts. Plasmid analysis showed multiple variants, which can also be traced back to the 2009 isolate, consistent with ongoing plasmid adaptation over time. Conclusions These findings confirm an expansion event following a VREfm introduction event leading to a sustained clonal and plasmid outbreak over several years. Moreover, it demonstrates the complexity of countrywide replacement events. This study also highlights the use of hybrid sequencing in establishing an epidemiological relationship to the index isolate that was initially inapparent.
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Aragão, Áurea Machado de, and Antônio Martins De Oliveira Júnior. "Socioeconomic and demographic scenario of Brazil, India and Australia." International Journal for Innovation Education and Research 7, no. 9 (September 30, 2019): 193–202. http://dx.doi.org/10.31686/ijier.vol7.iss9.1725.

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This work presents a study on the social, economic and demographic aspects of Brazil, India and Australia. For this study, a socioeconomic and demographic survey was carried out, analysing Brazil, India and Australia, aimed at comparing the current scenario of these three countries. For the qualitative and quantitative analysis, data mining on the World Bank, IndexMundi, CountryEconomy, Trading Economics and the Organisation for Economic Co-operation and Development (OECD) databases was performed, having subsequently drawn graphs that summarise the textual information found. With the results, among other conclusions, it was observed that Indian women are not highly present in the job market, with Brazil and Australia having an analogous rate of working women. Furthermore, a similarity was found between the rates of articles published in scientific journals in both Brazil and Australia. Regarding per capita spending on health, it could be noted that the rate in Australia is 10 times higher than in Brazil, while this rate is 20 times lower in India when compared to Brazil. It was also concluded that, although India has 60% more requests for resident and non-resident patent applications, the revenue from intellectual property in this country is 36% lower than the one in Australia and 19% lower than in Brazil.
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Martin, Adrian. "Hold back the dawn: Notes on the position of experimental film in Australia 1993." Continuum 8, no. 1 (January 1994): 292–301. http://dx.doi.org/10.1080/10304319409365648.

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Muir, Dana, Junhai Liu, and Haiyan Xu. "The Future of Securities Class Actions against Foreign Companies: China and Comity Concerns." University of Michigan Journal of Law Reform, no. 46.4 (2013): 1315. http://dx.doi.org/10.36646/mjlr.46.4.securities.

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In Morrison v. National Australia Bank Ltd., the U.S. Supreme Court limited the application of U.S. securities fraud law in transnational situations. The Supreme Court noted that its decision was influenced by international comity considerations. In this Article, we evaluate the availability of class actions in China in cases involving alleged securities fraud. Because we find that the availability of those actions is too limited to fully protect U.S. shareholders, we argue that U.S. investors should be permitted to bring securities fraud class actions against non-U.S. companies whose securities are traded on a U.S. exchange regardless of where those investors entered into the relevant securities transactions.
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Ferreira, Giovanni E., Gustavo C. Machado, Christina Abdel Shaheed, Chung-Wei Christine Lin, Chris Needs, James Edwards, Rochelle Facer, Eileen Rogan, Bethan Richards, and Christopher G. Maher. "Management of low back pain in Australian emergency departments." BMJ Quality & Safety 28, no. 10 (June 4, 2019): 826–34. http://dx.doi.org/10.1136/bmjqs-2019-009383.

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BackgroundTo describe the diagnoses of people who present to the emergency department (ED) with low back pain (LBP), the proportion of people with a lumbar spine condition who arrived by ambulance, received imaging, opioids and were admitted to hospital; and to explore factors associated with these four outcomes.MethodsIn this retrospective study, we analysed electronic medical records for all adults presenting with LBP at three Australian EDs from January 2016 to June 2018. Outcomes included discharge diagnoses and key aspects of care (ambulance transport, lumbar spine imaging, provision of opioids, admission). We explored factors associated with these care outcomes using multilevel mixed-effects logistic regression models and reported data as ORs.ResultsThere were 14 024 presentations with a ‘visit reason’ for low back pain, of which 6393 (45.6%) had a diagnosis of a lumbar spine condition. Of these, 31.4% arrived by ambulance, 23.6% received lumbar imaging, 69.6% received opioids and 17.6% were admitted to hospital. Older patients (OR 1.79, 95% CI 1.56 to 2.04) were more likely to be imaged. Opioids were less used during working hours (OR 0.81, 95% CI 0.67 to 0.98) and in patients with non-serious LBP compared with patients with serious spinal pathology (OR 1.65, 95% CI 1.07 to 2.55). Hospital admission was more likely to occur during working hours (OR 1.74, 95% CI 1.48 to 2.05) and for those who arrived by ambulance (OR 2.98, 95% CI 2.53 to 3.51).ConclusionMany ED presentations of LBP were not due to a lumbar spine condition. Of those that were, we noted relatively high rates of lumbar imaging, opioid use and hospital admission.
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Baines, Donna, Paul Kent, and Sally Kent. "‘Off My Own Back’: Precarity on the Frontlines of Care Work." Work, Employment and Society 33, no. 5 (January 4, 2019): 877–87. http://dx.doi.org/10.1177/0950017018817488.

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Hailed by some as representing the ‘most profound change in Australian disability history’, care work in the disability sector under the new National Disability Insurance Scheme is described by one frontline worker as ‘a massive swing towards a casual workforce and a massive cultural shock’. This firsthand account draws on 13 pages of unsolicited hand-written notes from a long-time, frontline care worker and his wife, as well as an in-depth interview and subsequent telephone and email conversations. The article gives voice to the experience of the frontline as disability workers grapple with almost complete casualization of their work, as the state retreats from its role in regulating employment and protecting workers in favour of the marketization of services and the advancing of the human rights of people with disabilities.
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Boland, Cathy. "‘Walking my baby back home’ - Policy and Practice in Health Services and Single Parent Families." Children Australia 15, no. 4 (1990): 21–29. http://dx.doi.org/10.1017/s1035077200003114.

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The position of single parent families in Australia is examined from a historical perspective, and this is a prelude to a discussion of service provision in maternity hospitals and Baby Health Centres in New South Wales, which are now staffed under the auspices of the Community Health Program. The paper is concerned with issues raised by criteria used to predict child abuse. These criteria are examined from two methodological perspectives; the first applies to the welfare critiques of social control to health service delivery, and the second is an epidemiological critique that notes an extremely high error rate in predicting child abuse at one maternity hospital.Some data from the New South Wales Maternal/Perinatal Statistics Collection on low birthweight and hospital status is used to discuss some implications of this critique related to service delivery and social class of both providers and recipients of health services.
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Coleman, William. "Is It Possible That an Independent Central Bank Is Impossible? The Case of the Australian Notes Issue Board, 1920-1924." Journal of Money, Credit and Banking 33, no. 3 (August 2001): 729. http://dx.doi.org/10.2307/2673891.

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READ, GEOFFREY B. "Taxonomy of sympatric New Zealand species of Platynereis, with description of three new species additional to P. australis (Schmarda) (Annelida: Polychaeta: Nereididae)." Zootaxa 1558, no. 1 (August 24, 2007): 1–28. http://dx.doi.org/10.11646/zootaxa.1558.1.1.

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Metamorphosed, sexually mature Platynereis adults captured swimming nearshore at night off the New Zealand coast had major morphological differences that indicated four similar sympatric species existed, where previously only P. australis had been known. Simultaneous reproductive swarming of all taxa was possible at a locality. The three hitherto cryptic species are described as Platynereis mahanga sp. nov., P. kau sp. nov., and P. karaka sp. nov.. Paragnath arrangement and chaetal morphology are near identical in all four species. Homogomph notopodial falcigers, which are distinctive in shape in some Platynereis, are lacking in adults of this group of species. Pigmentation pattern differences and other minor variations are present in life in atokous (unmetamorphosed) benthic forms, but museum specimen atokes cannot be unambiguously separated into species by morphology. Heteronereid (metamorphosed) natatory forms of the four New Zealand species are distinct in several characters, including morphology of sperm papillae groups in males, and number of pre-natatory anterior segments in both sexes. Differences in size, habitat, peak spawning season, interbreeding, and juvenile development are noted. Morphology and biology are discussed in relation to other Platynereis. Presence of the P. australis group species beyond the continental shelf seas adjoining the three main islands is now undetermined except for P. australis at Chatham Islands, P. mahanga at the subantarctic Auckland and Campbell Islands, and P. karaka at Wanganella Bank; all prior reports of P. australis outside the New Zealand region need re-evaluation from specimens.
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22

Munro, Jordan, and Graham Grove. "Palliative pain: putting the patient back in control of their analgesia." International Journal of Palliative Nursing 28, no. 5 (May 2, 2022): 232–37. http://dx.doi.org/10.12968/ijpn.2022.28.5.232.

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A common reason for admission to palliative care wards is severe cancer-related pain. The delivery of therapy, an essential component in combating pain, is complicated by boundaries imposed by the law and quality use of medicines standards, which patients do not necessarily face in their own homes. These boundaries significantly delay the time until the patient is relieved of pain. Subcutaneous patient-controlled analgesia (PCA), delivered via a continuous ambulatory drug device, offers a potential method of mitigating these boundaries. This case series describes the experiences of the first four patients treated when subcutaneous PCA was introduced to an Australian palliative care ward and offers comments for consideration for future studies and wider implementation of use. It is noted that although PCA was generally effective overall, considerations about the patient's mental state and pain behaviours should be made before deciding to initiate PCA in lieu of nurse-administered breakthroughs.
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23

Estrella-Ruiz, Alejandra, Pablo Hernández-Alcántara, and Vivianne Solís-Weiss. "Description of a new species of Hirsutonuphis (Annelida: Onuphidae) from the Mexican Pacific, with notes on the world distribution of the genus." Journal of the Marine Biological Association of the United Kingdom 93, no. 7 (May 3, 2013): 1777–83. http://dx.doi.org/10.1017/s0025315413000441.

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A new species of Hirsutonuphis (Annelida: Onuphidae) is described from the continental shelf of the Gulf of California, Mexican Pacific. Hirsutonuphis paxtonae sp. nov. is easily distinguished from eight previously described species belonging to this genus, by the bi- and tri-dentate pseudocompound hooded falcigers on the first 5–6 chaetigers, the pectinate chaetae from chaetigers 6–11, the bidentate subacicular hooded hooks from chaetigers 18–21, and its colour pattern: a dark transverse band in the dorsal part of the peristomium and on each chaetiger, which gradually fades from chaetigers 12–27. Most species of Hirsutonuphis have been found in the Pacific Ocean, and more particularly in Australian waters, although this new onuphid is the third species of the genus described from the Mexican Pacific, in the Tropical Eastern Pacific. A taxonomic key is provided for all the species of the genus.
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24

Hiscock, Peter. "The conjoin sequence diagram: a method of describing conjoin sets." Queensland Archaeological Research 3 (January 1, 1986): 159–66. http://dx.doi.org/10.25120/qar.3.1986.186.

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Conjoin analysis involves physically fitting back together objects broken in antiquity. Objects which are refitted are said to be 'conjoined', and a number conjoined together are called a 'conjoin set'. Conjoin analyses of stone artefacts began over a century ago with the work of Spurrell (1980; 1984). Subsequently, this approach has been used for a number of purposes. Cahen and colleagues used the vertical separation of conjoined artefacts to measure the extent of post-depositional displacement at Old World sites (Cahen 1978; Cahen and Moyersons 1977; Cahen et al 1979; Van Noten et al 1980). A number of researchers have used conjoin data to discuss the horizontal movement of humans and their debris across living floors (eg. Leroi-Gourhan and Brezillon 1966, 1972; Frison 1968, 1974; Van Noten, et al 1980; Singer 1984). Discussions of artefact breakage have often been accompanied by drawings of refitted fragments (eg. Lenoir 1975; Mallouf 1982). By providing information about sequential blows applied to a core, conjoin analysis has also aided in the reconstruction of the knapping process (eg. Kobayashi 1970; Frison 1974; Van Noten 1975; Fasham and Ross 1978; Leach 1984). In Australia, conjoin analysis has been used to examine vertical displacement (eg. Stern 1980) and to assist reconstruction of prehistoric stoneworking technology (eg. Noetling 1908; Luebbers 1978; Witter 1977).
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Akita, Manabu, Satoru Yoshida, Yoshitaka Nakamura, Takeshi Morimoto, Tomoo Ushio, Zen Kawasaki, and Daohong Wang. "Effects of Charge Distribution in Thunderstorms on Lightning Propagation Paths in Darwin, Australia." Journal of the Atmospheric Sciences 68, no. 4 (April 1, 2011): 719–26. http://dx.doi.org/10.1175/2010jas3597.1.

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Abstract The charge distributions in a thundercloud play an important role in the initiation and propagation of lightning discharges. To further understand the effects of charge distributions on lightning discharge, the authors conducted a very high-frequency (VHF) lightning observation campaign during the 2006/07 monsoon in Darwin, Australia, using a VHF broadband digital interferometer (DITF). A C-band polarimetric weather radar to estimate the precipitation profiles such as hydrometeor classification was operated by the Bureau of Meteorology (BOM) Research Centre. Cloud-to-ground (CG) and intracloud (IC) flashes were initiated from the outer and the inner parts of the upper side of the graupel regions, respectively. In the cases of CG flashes, the negative leaders travel first about 10 km horizontally through positive charge regions and then begin to bend toward the ground when they reach the edge of the positive charge regions where there is no graupel region underneath. In contrast, in the cases of the IC flashes the negatively charged graupel regions block the downward developments of negative leaders. It is noted that positive charge regions could facilitate the extension of the horizontal negative leader. These results may suggest that lightning flash types are closely dependent on their initiation locations and the surrounding charge distributions. The experimental results are consistent with other previous observation results and charge model simulations.
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26

Martinez-Pastor, F., F. Olivier, T. Spies, L. Anel, and P. Bartels. "195 CHANGES OF BLESBOK AND BLUE WILDEBEEST EPIDIDYMAL SPERM AFTER INCUBATION AT 37°C." Reproduction, Fertility and Development 17, no. 2 (2005): 248. http://dx.doi.org/10.1071/rdv17n2ab195.

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Postmortem recovery of epididymal spermatozoa and their preservation in Biological Resource Banks is a convenient source of germplasm, providing a possible future conservation resource for selected endangered wildlife species. It is necessary to gain knowledge of the biology of the gametes of the different species, in order to define effective protocols for cryopreservation and future assisted reproductive technology application. A pilot study on the changes in blue wildebeest (Connochaetes taurinus) and blesbok (Damaliscus dorcas phillipsi) epididymal sperm was carried out in order to provide some insight into the effects of incubation at 37°C. Chemicals were aquired from Sigma (South Africa), except JC-1 (Molecular Probes, Leiden, The Netherlands). Sperm was obtained by flushing the vas deferens and cauda epididymis of 6 adult blue wildebeests and 4 adult blesbok after the breeding season using 1 mL of Biladyl (fraction A; Minitüb, Tiefenbach, Germany). Cells were washed and resuspended in buffered medium (20 mM HEPES, 197 mM NaCl, 10 mM glucose, 2.5 mM KOH). Part of each sample was analyzed and part was incubated for 1 h at 37°C, and then analyzed. Analysis consisted of: motility (% of motile sperm, TM; and % of linear sperm, LM), vitality (fluorescent dye propidium iodide, 7 μM; % of unstained cells noted after 10 min at RT: vital, VIT), mitochondrial status (fluorescent dye JC-1, 7.5 μM; % of cells with orange midpiece noted after 30 min at 37°C: active mitochondria, MIT), and induction of acrosome reaction (15 min at 37°C in buffered medium complemented with 3 mM CaCl; % of intact acrosomes noted in control: splits no ionophore, ACR, and test: splits 1 μM calcimycin, ION). Samples were assessed using phase contrast microscopy (×400; ×200 for motility). Results are showed in Table 1. No significant differences (Wilcoxon Rank Sign test) were detected, possibly due to the low number of samples. However, LM appeared to decrease after incubation. Incubaton may increase the sensitivity of blue wildebeest sperm to ionophore (ION). Motility was least for blesbok, and the decrease of LM after incubation was more apparent. This treatment may induce different physiologycal changes between the species (different LM variation). The rest of the parameters suggest that the treatment did not induce extensive cell damage. Further research must be carried out to confirm these findings. Table 1. Median values for the analyzed parameters Sponsors of this project include Vodacom, Joan St. Leger Lindburgh Charitable Trust, Tony and Lizette Lewis Foundation, Department Science and Technology (South Africa), British Airways, IMV Technologies/CBS (France), NECSA, Zeiss Microscopes, AEC-Amersham, CryoLogic (Australia), Cook Veterinary (Australia), Mazda Wildlife Fund, The Scientific Group, Genaust (Australia), and SCI – Chesapeake Chapter.
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Berry, Karen, Yun-Hee Jeon, Kim Foster, and Jennifer Fraser. "Extended parenting education in an early parenting centre." Journal of Child Health Care 20, no. 4 (July 26, 2016): 446–55. http://dx.doi.org/10.1177/1367493515603827.

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This article reports findings from a process and impact study of a residential early parenting centre programme in Australia. The programme supports parents with young children under the age of three, referred from health and child protection services. Multiple sources of data were used from interviews, focus groups, direct observations, observer notes and a parenting sense of competence questionnaire. Qualitative data were analysed using thematic analyses, and paired t-tests were used to test data from the questionnaire. Three themes emerged from thematic analysis of the qualitative data: engaging families, building parenting capacity and transitioning back to the community. Parents’ perceptions of parent competence improved significantly between admission and discharge for participating families. Detailed accounts of the way in which nurses work to achieve positive outcomes in relation to parenting confidence and satisfaction in the short term have provided useful insights into often taken-for-granted support processes in working with referred parents. The complexity of the nurses’ role and implications for nursing practice in residential parenting centres are discussed. Future research is warranted to determine longer-term benefits of this programme being delivered in a residential early parenting centre.
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Dolan, Brenda, Steven A. Rutledge, S. Lim, V. Chandrasekar, and M. Thurai. "A Robust C-Band Hydrometeor Identification Algorithm and Application to a Long-Term Polarimetric Radar Dataset." Journal of Applied Meteorology and Climatology 52, no. 9 (September 2013): 2162–86. http://dx.doi.org/10.1175/jamc-d-12-0275.1.

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AbstractA new 10-category, polarimetric-based hydrometeor identification algorithm (HID) for C band is developed from theoretical scattering simulations including wet snow, hail, and big drops/melting hail. The HID is applied to data from seven wet seasons in Darwin, Australia, using the polarimetric C-band (C-POL) radar, to investigate microphysical differences between monsoon and break periods. Scattering simulations reveal significant Mie effects with large hail (diameter > 1.5 cm), with reduced reflectivity and enhanced differential reflectivity Zdr and specific differential phase Kdp relative to those associated with S band. Wet snow is found to be associated with greatly depreciated correlation coefficient ρhv and moderate values of Zdr. It is noted that large oblate liquid drops can produce the same electromagnetic signatures at C band as melting hail falling quasi stably, resulting in some ambiguity in the HID retrievals. Application of the new HID to seven seasons of C-POL data reveals that hail and big drops/melting hail occur much more frequently during break periods than during monsoon periods. Break periods have a high frequency of vertically aligned ice above 12 km, suggesting the presence of strong electric fields. Reflectivity and mean drop diameter D0 statistics demonstrate that convective areas in both monsoon and break periods may have robust coalescence or melting precipitation ice processes, leading to enhanced reflectivity and broader distributions of D0. Conversely, for stratiform regions in both regimes, mean reflectivity decreases below the melting level, indicative of evaporative processes. Break periods also have larger ice water path fractions, indicating substantial mixed-phase precipitation generation as compared with monsoonal periods. In monsoon periods, a larger percentage of precipitation is produced through warm-rain processes.
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Whittaker, Andrea, Davina Lohm, Chris Lemoh, Allen C. Cheng, and Mark Davis. "Investigating Understandings of Antibiotics and Antimicrobial Resistance in Diverse Ethnic Communities in Australia: Findings from a Qualitative Study." Antibiotics 8, no. 3 (September 2, 2019): 135. http://dx.doi.org/10.3390/antibiotics8030135.

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This paper explores the understandings of antibiotics and antimicrobial resistance (AMR) among ethnically diverse informants in Melbourne, Australia. A total of 31 face-to-face semi-structured qualitative interviews were conducted with a sample of ethnic in-patients who were admitted with an acquired antimicrobial infection in a public hospital (n = 7); five hospital interpreters; and ethnic members of the general community (n = 19) as part of a broader study of lay understandings of AMR. Thematic analysis revealed there was poor understanding of AMR, even among informants being treated for AMR infections. Causes of the increasing incidence of AMR were attributed to: weather fluctuations and climate change; a lack of environmental cleanliness; and the arrival of new migrant groups. Asian informants emphasized the need for humoral balance. Antibiotics were viewed as ‘strong’ medicines that could potentially disrupt this balance and weaken the body. Travel back to countries of origin sometimes involved the use of medical services and informants noted that some community members imported antibiotics from overseas. Most used the internet and social media to source health information. There is a lack of information in their own languages. More attention needs to be given to migrant communities who are vulnerable to the development, transmission and infection with resistant bacteria to inform future interventions.
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30

Baker, Philip. "Historical Developments in Chinese Pidgin English and the Nature of the Relationships Between the Various Pidgin Englishes of the Pacific Region." Journal of Pidgin and Creole Languages 2, no. 2 (January 1, 1987): 163–207. http://dx.doi.org/10.1075/jpcl.2.2.04bak.

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The development of pronouns, copulas, and other key features of Chinese Pidgin English (CPE) is traced from 1743 onwards. Major grammatical and lexical changes in the early 19th century are found to coincide with the period when foreigners were increasingly allowed to reside in Canton instead of merely being tolerated as transient visitors. The resulting continuity of interaction between Chinese and non-Chinese is seen as the catalyst for these developments in CPE. First attestations of 34 key features in CPE are compared with their earliest occurrence (if any) in more than a dozen Pacific varieties of Pidgin English (PPE). It is shown that none of the latter can possibly be a "direct descendant" of CPE. While four features exclusively shared by CPE and PPE indicate a modest degree of CPE influence on PPE, it is suggested that three key features of PPE, found only sporadically and/or tardily in CPE, provide evidence of some hitherto unsuspected influence of PPE on CPE. In the course of the above it is noted that most of the CPE features which also occur in three or more varieties of PPE have their earliest PPE attestation in New South Wales, the only Pacific territory in which there was continuity of interaction (in this case between Aborigines and whites) from the outset, and it is claimed that this social circumstance favors both the expansion and stabilization of a pidgin. Data from early Australian Pidgin English are presented showing that it includes the earliest known attestations of a number of features generally associated with PPE of the islands of the Southwest Pacific. This leads to the claim that New South Wales Pidgin English was a far more important influence on the PPE of those islands than what has often been termed "South Sea Jargon." After reviewing the linguistic implications of the labor trade which took many Pacific islanders to work on plantations in Queensland, Samoa, and elsewhere, it is claimed that the interrelationships between the many varieties of Pidgin English spoken, currently or formerly, in the vast area from China to Hawaii to the Marquesas to Australia and back to China cannot adequately be represented by means of "family tree" type diagrams.
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31

Baykov, A. A., and V. A. Gnevasheva. "Econometric Estimates of Russia's Turn to the East." MGIMO Review of International Relations 13, no. 6 (December 31, 2020): 175–207. http://dx.doi.org/10.24833/2071-8160-2020-6-75-175-207.

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The emerging trend in Russia’s foreign policy is its reorientation from active interstate and socio-economic interaction with the states of the "collective West" to the countries that make up the Asian macroregion. The article presents the qualitative and quantitative assessment of the emerging relations between Russia and the countries of the East, namely the ASEAN countries, Northeast Asia and the Indo-Pacific region. Assuming that the prerequisites for the strengthening of such relationships between countries should be reflected in changes in trade relations, increased migration flows, and changes in policy in terms of countries' military spending, the study attempts to evaluate such changes econometrically. We use the method of constructing multiple linear regression, as well as indicators for assessing country-by-country correlation and cluster analysis. The object of the research is the countries of Northeast Asia (China, Japan, Republic of Korea); ASEAN countries (Thailand, Indonesia, Vietnam, Malaysia, Singapore); India; Australia and Oceania. The empirical base of the study is the official statistics of World Bank, SIPRI, FSGS. The findings indicate the emerging conditions for Russia's turn to the East. The analysis reveals a number of stable features indicating the possibility of modeling a reasonable predictive scenario. The proposed estimates can also be used for further study of the directions of interaction between Russia and the East, methodological and empirical clarification of the emerging relationships, determination of significant factors strengthening the noted interactions.
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Galwey, N. W., K. Adhikari, M. Dracup, and R. Thomson. "Agronomic potential of genetically diverse narrow-leafed lupins (Lupinus angustifolius L.) with restricted branching." Australian Journal of Agricultural Research 54, no. 7 (2003): 649. http://dx.doi.org/10.1071/ar02192.

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The indeterminate growth habit of narrow-leafed lupin appears to cause a suboptimal pattern of grain filling in the Mediterranean-type environment of south-western Australia. Development of cultivars with genetically restricted branching (RB) has been proposed to overcome the problem. However, restriction of branching causes profound phenological and architectural changes, and it may be necessary to compensate for these by incorporating RB into a genetic background that confers high shoot mass. In order to make a robust assessment of the value of RB in a range of backgrounds, the trait was incorporated from 5 donor parents into the genetic background of 10 recurrent parents by 2 rounds of back-crossing followed by self-fertilisation of the progeny for 4 generations to produce BC2S4 lines. Thirty-two of these lines were obtained with highly RB or mildly RB, a range of flowering times from 68 to 118 days after sowing, and 16–34 leaf nodes on the main stem. They were tested with their parents in replicated field trials at 3 sites in Western Australia at latitudes from 28°S to 33°S. The RB genotypes generally gave higher grain yield than the normal-branching genotypes at the high-latitude, high-rainfall, long growing season, high shoot mass producing site of Esperance, and the 2 types gave approximately equal yield in the low-latitude, low-rainfall, short-season, low shoot mass site of Mullewa. Only at the intermediate site of Wongan Hills did the normal-branching genotypes have a clear advantage. RB genotypes had higher harvest index than corresponding normal-branching genotypes, particularly at Esperance, and tended to produce more pods but slightly fewer seeds per pod and lighter seeds. There was no consistent difference in performance between highly and mildly RB genotypes, contrary to an expectation that the highly RB type would produce insufficient shoot mass. There was a tentative indication that, within RB lines, a large number of leaf nodes on the main stem conferred more reliably high grain yield in the environments of Esperance and Wongan Hills. Overall, these results provide ample justification for the development and further evaluation of RB cultivars. However, this conclusion comes with 2�caveats: that a different background development pattern should be adopted to that used in normal branching lupins, and that RB cultivars should be evaluated in the target environments where the character confers an advantage.
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Kellam, Lynda, and Celia Emmelhainz. "Guest editors' notes: Special issue on qualitative research support." IASSIST Quarterly 43, no. 2 (June 21, 2019): 1–2. http://dx.doi.org/10.29173/iq954.

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Welcome to the second issue of Volume 43 of the IASSIST Quarterly (IQ 43:2, 2019). Four papers are presented in this issue on qualitative research support. This special issue arises from conversations in the Qualitative Social Science and Humanities Data Interest Group (QSSHDIG) at IASSIST about how best to support qualitative researchers. This group was founded in 2016 to explore the challenges and opportunities facing data professionals in the social sciences and humanities, and has focused on using, reusing, sharing, and archiving of qualitative, textual, and other non-numeric data. In ‘Annotation for transparent inquiry (ATI),’ Sebastian Karcher and Nic Weber present their work on a new approach to transparency in qualitative research by the same name, which they have been exploring at the Qualitative Data Repository at the University of Syracuse, New York. As one solution to the problem of ‘showing one’s work’ in qualitative research, ATI allows researchers to link final reports back to the underlying qualitative and textual data used to support a claim. Using the example of Hypothes.is, they discuss the positives and negatives of ATI, particularly the amount of time required to annotate a qualitative article effectively and technical limitations in widespread web display. The next article highlights how archived materials can be re-used by qualitative researchers and used to build their arguments. In ‘Research driven approaches to archival discovery,’ Diana Marsh examines what qualitative researchers need from the collections at the National Anthropological Archives in the United States, in order to improve archival discovery for those not as accustomed to working in the archives. In ‘Bringing method to the madness,’ Mandy Swygart-Hobaugh, Leader of the Research Data Services Team at the Georgia State University Library, outlines a project created to bridge the gap between training researchers to use qualitative data software and training them in qualitative methods. Her answer has been a collaborative workshop with a sociology professor who provides a methodological framework while she applies those principles to a project in NVivo. These successful workshops have helped to encourage researchers to consider qualitative methods while at the same time promoting the use of CAQDAS software. Jonathan Cain, Liz Cooper, Sarah DeMott, and Alesia Montgomery in their article ‘Where QDA is hiding?’ draw on a study originally conducted for QSSHDIG to create a list of qualitative data services in libraries. When they realized that finding these services was quite difficult, they expanded the study to examine the discoverability of library sites supporting QDA. This study of 95 academic library websites provides insight into the issues of finding and accessing library websites that support the full range of qualitative research needs. They also outline the key characteristics of websites that provide more accessible access to qualitative data services. We thank our authors for participating in this special issue and providing their insights on qualitative data and research. If you are interested in issues related to qualitative research, then please join the Qualitative Social Sciences and Humanities Data Interest Group. Starting with IASSIST 2019 in Australia, our interest group has a new leadership team with two of our authors, Sebastian Karcher and Alesia Montgomery, taking over as co-conveners. We are certain that they would love to hear your ideas for the group, and we look forward to working with the qualitative data community more in the future. Lynda Kellam, Cornell Institute for Social & Economic Research Celia Emmelhainz, University of California, Berkeley
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JPT staff, _. "E&P Notes (March 2021)." Journal of Petroleum Technology 73, no. 03 (March 1, 2021): 14–17. http://dx.doi.org/10.2118/0321-0014-jpt.

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KrisEnergy Pumps Cambodia’s First Crude in 17 Years A Cambodian concession has commenced production after years of delays in a venture between Singapore’s KrisEnergy and the government. The crude comes from oil fields in Block A, comprising 3083 km2 of the Khmer basin in the oil-rich Gulf of Thailand, off the southwestern coast of Sihanoukville. The concession will progress in phases once new wells are commissioned and completed. Kelvin Tang, chief executive of KrisEnergy’s Cambodian operations, called the 29 December event “an important strategic milestone” for the company, while Prime Minister Hun Sen hailed the first extraction as “a new achievement for Cambodia’s economy” and “a huge gift for our nation.” Ironbark Australian Exploration Well Declared Dry; Co-Owner Stocks Plummet BP has come up dry at its Ironbark-1 exploration well, the anticipated multi-trillion-scf prospect off the west Australian Pilbara coast. The disappointing prospect was once seen as a potential gas supplier to the emptying North West Shelf (NWS) LNG plant, where BP is a co-owner, within 5 to 10 years. After 2 months of drilling to a total depth of 5618 m, “no significant hydrocarbon shows were encountered in any of the target sands,” according to co-owner New Zealand Oil and Gas (NZOG). Petrorecôncavo Buys Petrobras’ Onshore Bahian Stake for $30 Million Brazilian operator Petrobras on 23 December signed a contract with independent producer Petrorecôncavo to sell its entire stake in 12 onshore E&P fields, the Remanso Cluster, in the state of Bahia. The sale value for the fields was $30 million; $4 million was paid on signing, $21 million at the closing of the transaction, and $5 million will be paid 1 year after that. The Remanso Cluster comprises the onshore fields of Brejinho, Canabrava, Cassarongongo, Fazenda Belém, Gomo, Mata de São João, Norte Fazenda Caruaçu, Remanso, Rio dos Ovos, Rio Subaúma, São Pedro, and Sesmaria. Zion Spuds the Israeli Megiddo-Jezreel #2 Well On 6 January, Zion Oil and Gas officially spudded the Megiddo­Jezreel #2 on its 99,000­acre Megiddo­Jezreel license area in Israel. “With unique operating conditions in the COVID­19 environment, our crews have performed an amazing task,” Zion CEO Robert Dunn said. “Mobilizing a rig into a new coun­try during a pandemic and rigging up is the most challenging part of the drilling operation,” Zion’s vice president of operations, Monty Kness, added. Exxon Declares a Dud at Second Guyana Well Exxon Mobil said on 15 January that its exploration well in the prolific Stabroek Block off Guyana’s coast did not find oil in its target area. Exxon, which operates the Stabroek Block in a consortium with Hess and China’s CNOOC, has made 18 discoveries in the area in 5 years, totaling more than 8 billion BOE, for a combined potential for producing up to 750,000 B/D of crude. The Hassa­1 exploration well was the giant’s second setback to its drilling campaign in recent months. Heirs Holdings Buys 45% of Shell Nigeria’s OML 17 Field Shell Nigeria announced on 15 January it had completed a $533 million sale of its stakes in an onshore OML 17 oil field in Nigeria to African strategic investor Heirs Holdings, Nigeria’s largest publicly listed conglomerate. The deal is one of the largest oil and gas financings in Africa in more than a decade, with a financing component of $1.1 billion provided by a consortium of global and regional banks and investors. Heirs Holdings, in partnership with Transcorp, one of the largest power producers in Nigeria with 2000 MW of installed capacity, purchased 45% stake in the field. It acquired the stakes of Shell, Total, and Eni to further its expansion into the oil and gas industry. Apex Discovers Oil in Egypt’s Western Desert Privately held independent E&P firm Apex International Energy, backed in part by UK energy investment firm Blue Water Energy, on 18 January announced a discovery in the Southeast Meleiha Concession (SEM) in the western desert of Egypt. The discovery was made at the SEMZ-11X well located 10 km west of Zarif field, the nearest producing field. The well was drilled to a total depth of 5,700 ft and encountered 65 ft of oil pay in the Cretaceous sandstones of the Bahariya and Abu Roash G formations. Testing of the Bahariya resulted in a peak rate of 2,100 B/D with no water. Additional uphole pay exists in the Bahariya and Abu Roash G formations that can be added to the production stream in the future. Kosmos Announces Oil at Winterfell Well Dallas-based E&P independent Kosmos Energy announced on 19 January an oil discovery in deepwater US Gulf of Mexico. The Winterfell discovery well, the product of infrastructure-led exploration (ILX), was drilled to a total depth of approximately 23,000 ft and is located in approximately 5,300 ft of water. This subsalt Upper Miocene prospect in off-shore Louisiana encountered approximately 85 ft of net oil pay in two intervals. ILX exploration, which has featured prominently in upstream operators’ portfolios in recent years of relatively low oil prices, is exploration around producing hubs that can be hooked up to those facilities easily and cheaply. The development sidesteps the need for costly and time-consuming individual hub construction. Equinor Gets Permit To Drill North Sea Wildcat Well The Norwegian Petroleum Directorate has granted Equinor a drilling permit for wildcat well 31/11-1 S in the North Sea offshore Norway, 62 km south of the Troll field. The drilling program is the first exploration well to be drilled in production license 785 S, awarded on 6 February 2015 (APA 2014). Operator Equinor and Total E&P Norge are 50/50 partners in the license, which consists of parts of Blocks 26/2 and 31/11. Petrobras, ExxonMobil Hit Hydrocarbons at Urissanê Well, Offshore Brazil Brazilian state-owned Petrobras announced on 29 January it had discovered hydrocarbons in a well located in the Campos Basin presalt off Brazil’s coast of Campos dos Gotyacaze in the State of Rio de Janeiro. Well 1-BRSA-1377-RJS (informally called Urissanê) is located in Block C-M-411, at a depth of 2950 m approximately 200 km offshore. Petrobras, which operates the block in a 50/50 partnership with Exxon Mobil, said it would analyze the well data to better target exploratory activities and assess the potential of the discovery. BP Offloads 20% Share of Oman’s Block 61 To PTTEP Marking another significant step in its divestment program, BP will sell a 20% participating interest in Oman’s 3950 km2 Block 61 in central Oman to Thailand’s national PTT Exploration and Production (PTTEP) for $2.59 billion. BP will remain operator of the block, holding a 40% interest.‎ The sale comprises $2.45 billion payable on completion and $140 million payable contingent on preagreed conditions.‎ After the sale, BP will hold 40% interest in Block 61, while OQ holds 30%, PTTEP ‎20%, and ‎Petronas 10%.‎ Block 61 contains the largest tight gas development in the Middle East.
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Balmer, John M. T. "Advances in corporate brand, corporate heritage, corporate identity and corporate marketing scholarship." European Journal of Marketing 51, no. 9/10 (September 12, 2017): 1462–71. http://dx.doi.org/10.1108/ejm-07-2017-0447.

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Purpose This article introduces the special symposium entitled “Advances in corporate brand, corporate heritage, corporate identity and corporate marketing scholarship” and provide a synopsis of the five articles constituting this symposium. By means of context, this article celebrates the anniversaries of four marketing milestones apropos the formal introduction of the corporate brand concept (1995), the formal introduction of the corporate heritage notion (2006), the first special edition (in this journal) devoted to corporate identity (1997) and the formal introduction of the corporate marketing philosophical approach (1998). The latter – corporate marketing – can be viewed as a revolution in marketing thought by noting that mutually beneficial company–stakeholder relationship can be based on corporate identities and corporate brands are not restricted to products and/or services. Design/methodology/approach Taking a retrospective, this paper explains the four marketing milestones detailed above and notes the revolutionary notion of corporate marketing. All of the aforementioned have meaningfully advanced marketing scholarship over the last 20 years. Findings This study provides 18 reflections of developments with the corporate brand and corporate identity fields. It also shows the seminal importance of European Journal of Marketing (EJM) special editions on the territory dating back to 1997. Practical implication This paper discusses how corporate identity, corporate branding, corporate heritage, corporate identity and corporate marketing have, increasingly, become mainstream marketing concerns. Originality/value In marking these milestones, this celebratory EJM symposium comprises cutting-edge scholarship on the aforementioned areas, penned by renowned and prominent scholars from Australia, England, Germany and the USA.
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Lecoq, Marie-Elise, Anne-Sophie Archambeau, Fabien Cavière, Kourouma Koura, Sophie Pamerlon, and Jean Ganglo. "GBIF Benin's Data Portal." Biodiversity Information Science and Standards 2 (May 22, 2018): e25890. http://dx.doi.org/10.3897/biss.2.25890.

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GBIF Benin, hosted at the University of Abomey-Calavi, has published more than 338,000 occurrence records in 87 datasets and checklists. It has been a Global Biodiversity Information Facility (GBIF) node since 2004 and is a leader in several projects from the Biodiversity Information for Development (BID) programme. GBIF facilitates collaboration between nodes at different levels through its Capacity Enhancement Support Programme (CESP) [https://www.gbif.org/programme/82219/capacity-enhancement-support-programme]. One of the actions included in the CESP guidelines is called ‘Mentoring activities’. Its main goal is the transfer of knowledge between partners such as information, technologies, experience, and best practices. Sharing architecture and development is the key solution to solve some technical challenges or impediments (hosting, staff turnover, etc.) that GBIF nodes could face. The Atlas of Living Australia (ALA) team developed a functionality called ‘data hub’. It gives the possibility to create a standalone website with a dedicated occurrence search engine that seeks among a range of data (e.g. specific genus, geographic area). In 2017, GBIF Benin and GBIF France wanted to strengthen their partnership and started a CESP project. One of the core objectives of this project is the creation of the Atlas of Living Benin using ALA modules. GBIF France developers, with the help of the GBIF Benin team, are in the process of configuring a data hub that will give access to Beninese data only, while at the same time Atlas of Living France will give access to French data only. Both data portals will use the same back end, therefore the same databases. Benin is the first African GBIF node to implement this kind of infrastructure. On this poster, we will present the Atlas of Living Benin specific architecture and how we have managed to distinguish data coming from Benin and coming from France.
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Trueman, S. J., and D. M. Richardson. "In vitro propagation of Corymbia torelliana × C. citriodora (Myrtaceae) via cytokinin-free node culture." Australian Journal of Botany 55, no. 4 (2007): 471. http://dx.doi.org/10.1071/bt06163.

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Hybrids between Corymbia torelliana (F.Muell.) K.D.Hill & L.A.S.Johnson and C. citriodora subsp. variegata (F.Muell.) A.R.Bean & M.W.McDonald are used extensively to establish forestry plantations in subtropical Australia. Methods were developed for in vitro seed germination, shoot multiplication and plantlet formation that could be used to establish in vitro and ex vitro clone banks of juvenile Corymbia hybrids. Effects of sodium hypochlorite concentration and exposure time on seed contamination and germination, and effects of cytokinin and auxin concentrations on shoot multiplication and subsequent rooting, were assessed. A two-step surface sterilisation procedure, involving 70% ethanol followed by 1% sodium hypochlorite, provided almost no contamination and at least 88% germination. A novel method of cytokinin-free node culture proved most effective for in vitro propagation. Lateral bud break of primary shoots was difficult to induce by using cytokinin, but primary shoots rooted prolifically, elongated rapidly and produced multiple nodes in the absence of exogenous cytokinin. Further multiplication was obtained either by elongating lateral shoots of nodal explants in cytokinin-free medium or by inducing organogenic callus and axillary shoot proliferation with 2.2 µm benzyladenine. Plantlets were produced using an in vitro soil-less method that provided extensive rooting in sterile propagation mixture. These methods provide a means for simultaneous laboratory storage and field-testing of clones before selection and multiplication of desired genotypes.
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Vorontsova, A., and Y. Malyshenko. "PECULIARITIES OF FORMATION OF FACTORS OF INCREASING COMPETITIVENESS IN THE INTERNATIONAL MARKET OF EDUCATIONAL SERVICES." Vìsnik Sumsʹkogo deržavnogo unìversitetu 2022, no. 1 (2022): 129–36. http://dx.doi.org/10.21272/1817-9215.2022.1-14.

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This work is devoted to the study of factors that shape the competitiveness of higher education institutions in the international market of educational services. To this end, the work considers the areas of state participation, which provide incentives for the export of educational services that have not only financial but also reputational and innovative benefits. In addition, it is noted that specialized organizations that operate in many countries and are involved in attracting foreign students to their country (for example, national agencies, academic services, educational foundations, international exchange centers, etc.) and educational TNCs (as DAAD, British Council, CIMO, EduFrance 35, IDP Education Australia, etc.) play an important role. International organizations (such as the Council of Europe, UNESCO, the World Bank, the OECD, etc.) also form an information and advisory field for the international market of educational services, public authorities - regulatory. Increasing competition in the international market of educational services encourages the identification of factors that affect the competitiveness of educational institutions and their competitive advantages. These include the following: stability of financial and economic situation and flexible pricing policy, development of international relations and its advertising activities, the formation of a positive image, the availability of innovative educational programs using information technology, geographical location, specifics of public and private funding, teaching quality and training, etc. However, it is necessary not only to have them, but also to use them correctly, depending on the specifics of each educational institution. In addition, rankings are considered an effective tool for ensuring the quality of higher education. In the course of this work the top institutions of higher education according to QS World University Ranking, Academic Ranking of World Universities, Times Higher Education World University Ranking are analyzed. This revealed that American higher education institutions have the greatest competitive advantages in the international market of educational services and accumulate a large percentage of foreign students.
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Westcott, David A., and Frederieke J. Kroon. "Geographic Song Variation and its Consequences in the Golden Bowerbird." Condor 104, no. 4 (November 1, 2002): 750–60. http://dx.doi.org/10.1093/condor/104.4.750.

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Abstract Geographic variation in birdsong is known from a variety of taxa, but is especially common and most frequently reported in passerines with resource-based territorial mating systems. To date, relatively little data have been presented on patterns of song variation in species with lek and leklike mating systems. In this paper, we describe geographic song variation in the Golden Bowerbird (Prionodura newtonia) a species with a leklike mating system. We compared recordings of the species advertisement song, collected from five isolated forest blocks from across the species range in northeastern Australia. Golden Bowerbird advertisement song shows marked geographic variation in form. All males within a population sing a song similar to each other, but distinct from that of males from other locations. The song traits important in discriminating between the songs of the different populations were bandwidth, number of peaks, dominant frequency, fundamental frequency, internote interval, and pureness. Discriminant function analyses based on these traits were highly accurate in assigning songs to their population of origin. We then used playback experiments to test whether geographic song variation in Golden Bowerbirds is functional. In the playback experiments males responded more strongly to song from local dialects than from foreign dialects. We discuss our results in light of current hypotheses on the evolution of geographic song variation. Variación Geográfica del Canto y Sus Consecuencias en Prionodura newtonia Resumen. La variación geográfica del canto de las aves es conocida para muchos taxa, pero es especialmente común en paserinos con sistemas reproductivos territoriales basados en la disponibilidad de recursos. Hasta ahora, se han presentado relativamente pocos datos sobre la variación del canto en especies con un sistema reproductivo con asambleas de cortejo (lek) y con sistemas reproductivos similares al tipo lek. En este trabajo, describimos las variaciones geográficas del canto de Prionodura newtonia, una especie que presenta un sistema reproductivo del tipo lek. Comparamos grabaciones de los cantos de anuncio, colectados en cinco bosques aislados a lo largo del rango geográfico de la especie en el noreste de Australia. El canto de anuncio de P. newtonia mostró una marcada variación geográfica en cuanto a la forma. Todos los machos pertenecientes a una misma población cantaron de forma similar entre ellos, pero difirieron de machos pertenecientes a otras poblaciones. Los caracteres importantes que permitieron discriminar los cantos de las diferentes poblaciones fueron el ancho de la banda, el número de picos, la frecuencia dominante y fundamental, el intervalo entre notas, y la pureza. Los análisis de función discriminante basados en estos caracteres fueron altamente precisos en asignar los cantos a sus poblaciones de origen. Luego, utilizamos experimentos de play-back para probar si la variación geográfica del canto en esta especie es funcional. En los experimentos de play-back los machos respondieron más fuertemente a los cantos de los dialectos locales que a los extranjeros. Discutimos nuestros resultados en relación a las hipótesis actuales respecto a la evolución de la variación geográfica del canto.
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Coombes, Caitlin, Keisuke Horikawa, Sanjiv Jain, Jun Hee Lim, Sewa Rijal, Kartik Saxena, and Dipti Talaulikar. "Somatic Mutations Associated with IgVH4-34 FR1 Region Unmutated QW and Avy Motifs in DLBCL Patients." Blood 136, Supplement 1 (November 5, 2020): 20–21. http://dx.doi.org/10.1182/blood-2020-142486.

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There is increasing evidence for antigen-driven B-cell receptor (BCR) signalling in diffuse large B-cell lymphoma (DLBCL) and other lymphoid malignancies. This includes antigens from infections e.g.Helicobacter pyloriand Hepatitis C virus, but it is theorised that self-antigens may play a major role in some cases of lymphoid malignancy. IgVH4-34 demonstrates intrinsic autoreactivity to self-antigens on red cells, which appears to be largely mediated by two motifs within the first framework region (FR1); Q6W7 and A24V25Y26. These motifs work together to for a hydrophobic patch which determines red cell antigen binding and are frequently mutated away from self-reactivity in normal B cells. IgVH4-34 has been reported to be over-represented in DLBCL compared with expression in normal B cells. We therefore sought to identify IgVH4-34 DLBCL cases from a local cohort and to screen them for Q6W7 and A24V25Y26 motifs expecting them to be less frequently mutated in DLBCL compared with normal B cells.We also aimed to screen V4-34 cases for associated somatic mutations in other genes using high-throughput sequencing. DLBCL patient samples were obtained via the Haematology Research Tissue Bank (HRTB) in Canberra, Australia, and the Victoria Cancer BioBank. Forty-eight Formalin-Fixed, Paraffin-Embedded (FFPE) samples and 26 fresh frozen samples were screened. All samples were collected at the time of diagnosis. Patients were treated with standard chemoimmunotherapy approaches. IgVH 4-34 gene sequences were determined using an IgVH4 family-specific leader primer in combination with a JH consensus reverse primer. The IgVH region was then sequenced using Sanger sequencing. Sequences were analyzed using the IgBLAST database (National Centre for Biotechnology Information). DNA extracted from FFPE samples generally proved to have low concentration and fragmented DNA. Only 1 IgVH4-34 sequence was obtained from FFPE tissue. Five samples sequenced from fresh tissue were identified as using IgVH4-34. Using Hans criteria, it was possible to classify 3 of the 6 cases as germinal center (GC) and 1 as non-GC origin. Using fresh samples, we estimated the frequency of IgVH4-34 cases at 23%. Within FR1, Q6W7 was unmutated in all 6 samples. One sample had mutations in the A24V25Y26 motif resulting in a change to A24V25F26. The other 5 samples (83.3%) had unmutated AVY motifs. We extracted genomic DNA from and performed next generation sequencing on the 5 samples with unmutated Q6W7 and A24V25Y26 motifs using a customized capture library (SureSelectXT Target Enrichment System, Aqilent Technologies) covering genes involved in lymphomagenesis. The purified libraries were sequenced on the Illumina NextSeq500 platform at AGRF (Australian Genome Research Facility, Australia). Several genes (FCGR3A,NOTCH2andNOTCH2NLR) had mutations in all 5 samples.FCGR3Ais an IgG Fc receptor gene, and mutations inFCGR3Ahave previously been linked to systemic lupus erythematosus (SLE).NOTCH2pathway genes are frequently mutated in DLBCL.CREBBPwas mutated in four of the five samples. Mutations inCREBBPhave previously been linked with DLBCL development and regulation of immune responses. We identified high rates of IgVH4-34 (23%) in our cohort of fresh samples as previously reported. Further, we noted preservation of the Q6W7 and A24V25Y26 motifs in IgVH4-34-expressing DLBCL. This over-representation of unmutated FR1 motifs suggests that the ability to recognise self-antigens likely provides important ongoing BCR signalling that promotes survival in DLBCL. This study also highlights the difficulties in conducting DNA-based research on FFPE clinical samples which have not been collected for research purposes and the importance of tissue banking fresh samples. Studies are currently being conducted into the efficacy of BCR pathway inhibitors e.g. ibrutinib in the treatment of DLBCL and testing for unmutated IgVH4-34 FR1 motifs may present a method to predict patients who are more likely to respond. Mutations in genes such as FCGR3A,NOTCH2andCREBBPmay work in conjunction with the preserved QW and AVY motifs to promote lymphomagenesis in IgVH4-34-expressing B cells and may present targets for future research into treatment therapies. Figure Disclosures Talaulikar: Roche:Consultancy, Honoraria, Membership on an entity's Board of Directors or advisory committees, Research Funding;Janssen:Consultancy, Honoraria, Membership on an entity's Board of Directors or advisory committees, Research Funding, Speakers Bureau;Amgen:Consultancy, Honoraria, Membership on an entity's Board of Directors or advisory committees, Research Funding;Takeda:Research Funding.
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JPT staff, _. "E&P Notes (October 2022)." Journal of Petroleum Technology 74, no. 10 (October 1, 2022): 16–20. http://dx.doi.org/10.2118/1022-0016-jpt.

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CNOOC Turns Taps on Bohai Bay Fields Volumes are flowing from two new CNOOC-operated field developments in the Bohai Sea, offshore China. Production began at the Luda 5-2 oil field north phase 1 project in Liaodong Bay. The field is in an average water depth of around 32 m. CNOOC installed one thermal recovery wellhead platform and one production platform, and connected processing facilities serving the Suizhong 36-1 oil field. The company plans to drill a total of 26 production and two water-source wells, with peak crude oil production of 8,200 B/D targeted for 2024. Oil also is flowing at the Kenli 6-1 oil field 4-1 block development in the southern Bohai Sea. A new wellhead platform in about 17 km of water is connected to processing facilities at the Bozhong 34-9 oil field. CNOOC plans a total of seven producer and five water-injector wells at Kenli 6-1, with peak oil production later this year of around 4,000 B/D. CNOOC holds a 100% stake in both projects. Sailaway for GTA FPSO Expected by Year-End A BP executive told conference goers in Senegal recently that the FPSO destined for that country’s Greater Tortue Ahmeyim (GTA) gas project is expected to leave China prior to year-end. BP Executive Vice President for Production and Operations Gordon Birrell added that the first phase of the GTA project is 80% complete. The main function of the FPSO will be to remove water and condensate and reduce impurities in the gas stream before exporting processed gas to a nearby FLNG facility and domestic gas offtake. BP and Kosmos Energy are leading the development of GTA and Yakaar-Teranga, Senegal’s first natural gas projects. GTA straddles the border between Senegal and Mauritania. Phase 1 of the planned development is expected to start delivering gas by the end of 2023. Birrell added that BP is in discussions with Senegal and Mauritania about GTA’s second phase and other projects in both countries, but did not get into specifics, according to Reuters. Phase two should double expected production from 2.5 to 5.0 mtpa. ReconAfrica, NAMCOR Reach Target Depth on Namibia Well Reconnaissance Energy Africa and its joint venture partner NAMCOR, the state oil company of Namibia, confirmed the third stratigraphic test well in the Kavango basin of northeast Namibia, 1819/8-2, reached target depth. The well was drilled to a total depth of 2056 m reaching all geological targets. However, the duo did not reveal what was found in the well. Instead, the pair said current operations were focused on well data capture and initiating analysis of the data. Company-owned rig Jarvie-1 will remain on site until logging and coring operations are completed. A vertical seismic profile tool will also be run to total depth to tie into the 2D seismic program. Processing of the second phase of 761 km of 2D seismic is near completion, where early results are being used to refine drilling locations for the upcoming stratigraphic wells. The next well of this planned continuous drilling program was scheduled to have the rig on location by the end of last month. Pantheon Resources Alaska Discovery Deemed “World Class” Pantheon Resources has uncovered a “world-class” oil discovery on its Theta West acreage in Alaska, according to independent consultants brought in to assess the area’s potential. Baker Hughes Advanced Hydrocarbon Stratigraphy (AHS) was charged with compiling a report based on data collated after a successful appraisal well drilled early this year. The firm believes there is a continuous column of oil-bearing cuttings of at least 1,360 ft that is host to a light crude in the order of 37–39 °API. The AHS report concluded there are “abundant good-quality reservoirs” with an “ultimate, nonpermeable seal” at 7,070 ft. Pantheon said the results are supportive of analyses of cuttings from previous work on the acreage on Alaska’s prolific North Slope. The company estimated the project, which is close to infrastructure, is host to 17 billion bbl of which 10%, or 1.7 billion bbl, is deemed recoverable. Invictus Well in Zimbabwe a “Game Changer” The Mukuyu-1 exploration well being drilled in Zimbabwe by Australian firm Invictus Energy in partnership with the government is being called “a game changer” for the country by President Emmerson Mnangagwa. The well is in license SG 4571, which covers 250,000 acres located in the most prospective portion of the Cabora Bassa Basin in northern Zimbabwe. The license is currently in the second exploration period which runs to June 2024. Invictus entered into an agreement with the Zimbabwe government in March 2022 to increase the license area sevenfold to 1.77 million acres. Previously explored by Mobil Oil, the project contains the largest undrilled structure in onshore Africa. The Muzarabani anticline feature has more than 200 km2 under closure and up to 1500 m vertical relief at favorable depths for conventional oil and gas. Invictus completed the acquisition of 840 km of high-resolution infill 2D seismic data ahead of spudding the well using Exalo Rig 202 in August. Drilling Results a Mixed Bag for APA Offshore Suriname APA Corporation has made an oil discovery offshore Suriname with its Baja-1 well in Block 53 but came away empty with a probe in Block 58. Baja-1 was drilled to a depth of 5290 m and encountered 34 m of net oil pay in a single interval within the Campanian. Preliminary fluid and log analysis indicates light oil with a gas/oil ratio (GOR) of 1,600 to 2,200 scf/bbl, in good-quality reservoir. The discovery at Baja-1 is a down-dip lobe of the same depositional system as the Krabdagu discovery, 11.5 km to the west in Block 58. Evaluation of openhole well logs, cores, and reservoir fluids is ongoing. The success at Baja marks the sixth oil discovery in which APA has participated in offshore Suriname and the first on Block 53. The company said the result confirms its geologic model for the Campanian in the area and helps to de-risk other prospects in the southern portion of both Blocks 53 and 58. APA recently received regulatory approval regarding an amendment to the Block 53 production-sharing contract, which provides options to extend the exploration period by up to 4 years. The company is currently proceeding with formalizing the first one-year extension, for which all work commitments are complete. APA is operator and holds a 45% working interest in Block 53; partners Petronas and CEPSA hold 30% and 25% stakes, respectively. Baja-1 was drilled using drillship Noble Gerry de Souza in water depths of approximately 1140 m. The rig will mobilize to Block 58 following the completion of current operations, where it will drill the Awari exploration prospect, approximately 27 km north of the Maka Central discovery. APA was not as fortunate with its Dikkop exploration well in Block 58. The well encountered water-bearing sandstones in the targeted interval and has been plugged and abandoned. Operator TotalEnergies holds a 50% working interest, while APA holds the remaining 50% stake. The drillship Maersk Valiant will be moving to the Sapakara field to drill a second appraisal well at Sapakara South, where the joint venture conducted a successful flow test late last year. Helix Energy Solutions Secures Production, P&A Work With Thunder Hawk Buy Helix Energy Solutions Group subsidiary Deepwater Abandonment Alternatives (DAA) acquired all of MP GOM’s 62.5% interest in Mississippi Canyon Block 734, comprising three wells and related subsea infrastructure, collectively known as the Thunder Hawk field. MP GOM is a subsidiary of Murphy Oil. Financial terms of the deal were not disclosed. “This acquisition furthers Helix’s energy transition business model by taking on decommissioning obligations in exchange for production revenues,” said Owen Kratz, president and chief executive of Helix. “We have long communicated our unique position as a qualified offshore field operator that can also assume and efficiently discharge decommissioning obligations. We continue to pursue opportunities that enable us to enhance and extend the life of existing reserves and safely perform the related decommissioning of the infrastructure in transactions that allow producers to remove noncore assets from their balance sheets.” Under the terms of the transaction, Helix receives the benefit of ownership of MP GOM’s interest, with a 1 November 2021 effective date purchase price adjustment resulting in nominal cash paid by MP GOM at closing, in exchange for the assumption of MP GOM’s abandonment obligations at the Thunder Hawk Field. In addition to anticipated future production revenue, DAA will operate the Thunder Hawk field with Helix eventually expected to perform the required plug and abandonment operations. Kolibri Continues Tishamingo Program in Oklahoma Kolibri Global Energy has completed the location work for the Glenn 16-3H and Brock 9-3H wells, which are the third and fourth wells in its 2022 drilling program. A fifth location is also being prepped. All three wells in the Tishamingo area of the SCOOP play are planned to be drilled back-to-back, and the completion operations for the Glenn 16-3H and Brock 9-3H wells have been tentatively scheduled for the first week of October. Neptune Energy Confirms New Discovery in the Gjøa Area Neptune Energy and its partners announced a new commercial discovery at the Ofelia exploration well (PL 929), close to the Gjøa field in the Norwegian sector of the North Sea. Neptune has completed drilling of the Ofelia well, 35/6-3 S, and encountered oil in the Agat formation. The preliminary estimate of recoverable volume is in the range of 16 to 39 million BOE. In addition to the Agat volumes, north of the well there is an upside of around 10 million BOE recoverable gas in the shallower Kyrre formation, which brings the total recoverable volume to approximately 26 to 49 million BOE. Located 15 km north of the operated Gjøa platform, at a water depth of 344 m, Ofelia will be considered for development as a tieback to Gjøa, in parallel with the company’s recent oil and gas discovery at Hamlet. The Ofelia well, drilled by Odfjell-operated semisubmersible Deepsea Yantai, confirmed an oil/water contact at 2639 m total vertical depth. It is the third discovery by Neptune Energy in the Agat formation, a reservoir which until recently was not part of established exploration models on the Norwegian Shelf. The first was at the Duva field, which is now onstream and being operated by Neptune. The second was the company’s discovery at Hamlet, with estimated recoverable volumes between 8 and 24 million BOE.
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JPT staff, _. "E&P Notes (August 2021)." Journal of Petroleum Technology 73, no. 08 (August 1, 2021): 15–17. http://dx.doi.org/10.2118/0821-0015-jpt.

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Energean Secures Rig for Multiwell Program off Israel Energean has signed a contract with Stena Drilling for an up to five-well drilling program offshore Israel, which is expected to target the derisking of unrisked prospective recoverable resources of more than 1 billion BOE. The contract is for the drilling of three firm wells and two optional wells using drillship Stena Icemax. The first firm well is expected to spud in early 2022. The firm wells are all expected to be drilled during 2022. “Our five-well growth program off-shore Israel, commencing in the first quarter of 2022, has the potential to double Energean reserve base with resource volumes that can be quickly, economically, and safely monetized,” said Mathios Rigas, chief executive of Energean. “Combined with first gas from our flagship Karish gas development project in mid-2022, the next 12 months are set to be truly transformational for Energean.” One of the firm wells is the Karish North development well. The scope includes re-entry, sidetracking, and completion of the previously drilled Karish North well and completion as a producer. The Karish North development will commercialize 1.2 Tcf of natural gas plus 31 million bbl of liquids and is expected to deliver first gas during the first half of 2023. The program also includes the Karish Main-04 appraisal well and the Athena exploration well, located in Block 12, directly between the Karish and Tanin leases. Athena is estimated to contain unrisked recoverable prospective resource volumes of 0.7 Tcf of gas plus 4 million bbl of liquids. Exxon Hits, Misses off Guyana ExxonMobil made another new discovery in the Stabroek Block offshore Guyana but came away empty with a well on the Canje block. The Longtail-3 well on the Stabroek block struck 230 ft of net pay, including newly identified reservoirs below those intervals found in the Longtail-1 probe. “Longtail-3, combined with our recent discovery at Uaru-2, has the potential to increase our resource estimate within the Stabroek block, demonstrating further growth of this world-class resource and our high-potential development opportunities offshore Guyana,” said Mike Cousins, senior vice president of exploration and new ventures at ExxonMobil. Exxon operates the 6.6-million-acre Stabroek Block as part of a consortium that includes Hess and China’s CNOOC. The new well was drilled 2 miles south of Longtail-1, which was drilled in 2018 and encountered 256 ft of oil-bearing sandstone. The Uaru-2 well in the Stabroek Block was announced in April. That well struck 120 ft of pay. While Stabroek drilling success continues, the operator suffered a set-back on the nearby Canje block and its Jabillo-1 well. The Stena Carron drillship reached a planned target depth of 6475 m; however the well failed to encounter commercial hydrocarbons. According to partner Eco Oil and Gas, the well was drilled to test Upper Cretaceous reservoirs in a stratigraphic trap. Drillship Stena Drillmax will next mobilize to drill the Sapote-1 prospect located in the south-eastern section of Canje, in a separate and distinct target from Jabillo. Sapote-1 lies approximately 100 km southeast of Jabillo and approximately 50 km north of the Haimara discovery in the Stabroek Block, which encountered 207 ft of gas-condensate-bearing sandstone reservoir. Erdogan Touts Turkish Black Sea Natural Gas Discoveries Turkey President Recep Tayyip Erdogan announced the discovery of new natural gas deposits in the Black Sea, where the country plans to start production in 2023. State energy company Tpao found 135 Bcm of gas at the Amasra-1 off-shore well, bringing the total amount of deposits discovered over the past year to 540 Bcm, according to Erdogan. Turkey has ramped up offshore exploration for hydrocarbons over the past few years. Last year, explorers found 405 Bcm of gas at the Tuna-1 well in Sakarya field. Turkey currently imports nearly all the 50 Bcm of gas it consumes annually. Equinor Hits Oil Near Visund Equinor struck oil in Production License 554 with a pair of wells at its Garantiana West prospect. Exploration wells 34/6-5 S and 34/6-5 ST2 were drilled some 10 km north-east of the Visund field, with the former encountering a total oil column of 86 m in the Cook formation. The latter well encountered sandstones in the Nansen formation, but did not encounter commercial hydro-carbons. Recoverable resources are esti-mated at between 8 and 23 million BOE. “This is the first Equinor-operated well in the production license, and the fifth discovery on the Norwegian continental shelf this year,” said Rune Nedregaard, senior vice president, exploration and production south. “The discovery is in line with our roadmap of exploring near existing infrastructure in order to increase the commerciality.” Well 34/6-5 S was drilled using Seadrill semisubmersible rig West Hercules. Equinor operates the discovery; partners include Var Energi and Aker BP. ExxonMobil Eyes Flemish Pass Well ExxonMobil is looking to secure a semi-submersible to complete the drilling of a deepwater wildcat in the Flemish Pass offshore eastern Canada. The operator began drilling the Hampden K-41 probe in the spring of last year using Seadrill semisubmersible rig West Aquarius, but the unit was pulled off the well soon thereafter for reasons unknown. ExxonMobil is currently prequalifying companies to supply a mobile offshore drilling unit to continue the well at Hampden in Exploration License (EL) 1165A. The operator is targeting a mid-year 2022 start to the probe to be drilled in around 1175 m of water, some 454 km from St. John’s, Newfoundland. Meanwhile, China’s CNOCC has wrapped up drilling on its Pelles prospect, its first exploration well offshore Newfoundland. The prospect, in about 1163 m of water, is located within license EL 1144. The wildcat was originally set to spud in early 2020 but was delayed due to impacts of the COVID-19 pandemic. The company confirmed that drilling operations onboard drillship Stena Forth were complete and the rig plugged and abandoned the well. The results of the well were not released. Equinor To Drop Mexican Offshore Leases Equinor will exit two Mexican deepwater blocks as part its upstream investment strategy to focus on assets offering rapid and strong returns. The two blocks located in the Salina Sureste basin were acquired in Mexico’s 1.4 bid round in an equal equity split with BP and TotalEnergies. Block 3, where Equinor holds a 33% operating interest, has water depths ranging from 900 to 2500 m. Block 1, where BP is the operator, has water depths ranging from 200 to 3100 m. Exploration commitments include a single well on each block, not yet drilled. The announcement to exit Mexico was made by Executive Vice President for E&P International Al Cook during the company’s Capital Markets Day event held in June. The company also unveiled plans to leave Nicaragua and Australia, as part of its upstream investment plans. Cook added that Equinor will only operate offshore assets moving forward and will no longer operate onshore, unconventional projects. The company will instead opt to partner with others on those projects. Equinor will also look to offload its exploration assets in the Austin Chalk play in the US and Terra Nova in Canada, he said. Var Energi Strikes North Sea Oil Var Energi has confirmed a discovery at its King and Prince exploration wells in the Balder area in the Southern North Sea. Success at the combined King and Prince exploration wells lifts preliminary estimates of recoverable oil equivalents between 60 and 135 million bbl. King/Prince was drilled in PL 027 by semisubmersible rig Scarabeo 8. The Prince well encountered an oil column of about 35 m in the Triassic Skagerrak formation within good to moderate reservoir sandstones, while the King well discovered a gas column of about 30 m and a light oil column of about 55 m with some thick Paleogene sandstone. An additional King appraisal side-track further confirmed a 40-m gas column and an oil column of about 55 m of which about 35 m are formed by thick and massive oil-bearing sandstone with excellent reservoir quality. The licensees consider the discoveries to be commercial and will assess tie-in to the existing infrastructure in the Balder area. The wells are located about 6 km north of the Balder field and 3 km west of the Ringhorne platform. Var Energi operates and holds a 90% stake of the license. Mime Petroleum holds the remaining 10%.
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Shahid, Mohammad, Abdel Halim Deifalla, Abdulrahman Yusuf Ismaeel, Khaled Saeed Tabbara, Ali Al-Mahmeed, Mohd Shadab, and Ahmed Ramadan. "A Pilot study screening bank currency in community circulation for potential carriage of SARS-CoV-2: how safe handling the currency is?" Arab Gulf Journal of Scientific Research, April 28, 2022, 1–13. http://dx.doi.org/10.51758/agjsr-02-2021-0018.

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Purpose: Currency seems to represent an important vehicle for transmission of pathogenic microorganisms, thus a potential in affecting the public health. Digital transactions are more common in developed countries; however, handling cash currency is still very common in many countries including Bahrain. A recent study from Australia reported that SARS-CoV-2 may survive for 28 days on smooth surfaces (including banknotes), however the study was purely experimental and done in controlled laboratory environment. There were worldwide speculations suggesting the possible transmission of SARS-CoV-2 infection through currency notes. A recent study from Bangladesh reported presence of SARS-CoV-2 in approximately 7% of currency samples collected from the community. No such study has been performed on Bahraini currency, so the present study was proposed to screen the cash currency in circulation in Bahrain for the possible presence of SARS-CoV-2. Method: We collected notes and coins of Bahraini currency and a few of Saudi riyals from different public sources of currency exchange. Two time points were selected for collection when percentage of tested positive cases was on its peak. All the samples were tested for the presence of SARS-CoV-2 antigen with rapid antigen detection kit and qRT-PCR method. For initial validation, 5 samples each of potential SARS-CoV-2 RNAs extracted from known positive cases and 5 samples of extracted RNA from known negative persons were tested by rapid antigen detection kit and qRT-PCR. The results of qRT-PCR were interpreted as per the interpretation chart provided by the supplier. Results: During the study period, a total of 250 currency samples were collected including different denominations of currency notes and coins. Majority of the currency samples were collected from grocery stores followed by food outlets. Following validation, the currency samples were tested, and all turned negative for SARS-CoV-2 by rapid antigen detection test as well as by RT-PCR. Conclusion: This study predicts on Bahraini currency posing no threat of SARS-CoV-2 transmission via currency exchange.
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Shahid, Mohammad, Abdel Halim Deifalla, Abdulrahman Yusuf Ismaeel, Khaled Saeed Tabbara, Ali Al-Mahmeed, Mohd Shadab, and Ahmed Ramadan. "A Pilot study screening bank currency in community circulation for potential carriage of SARS-CoV-2: how safe handling the currency is?" Arab Gulf Journal of Scientific Research, April 28, 2022, 1–13. http://dx.doi.org/10.51758/agjsr-s2-2021-0018.

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Purpose: Currency seems to represent an important vehicle for transmission of pathogenic microorganisms, thus a potential in affecting the public health. Digital transactions are more common in developed countries; however, handling cash currency is still very common in many countries including Bahrain. A recent study from Australia reported that SARS-CoV-2 may survive for 28 days on smooth surfaces (including banknotes), however the study was purely experimental and done in controlled laboratory environment. There were worldwide speculations suggesting the possible transmission of SARS-CoV-2 infection through currency notes. A recent study from Bangladesh reported presence of SARS-CoV-2 in approximately 7% of currency samples collected from the community. No such study has been performed on Bahraini currency, so the present study was proposed to screen the cash currency in circulation in Bahrain for the possible presence of SARS-CoV-2. Method: We collected notes and coins of Bahraini currency and a few of Saudi riyals from different public sources of currency exchange. Two time points were selected for collection when percentage of tested positive cases was on its peak. All the samples were tested for the presence of SARS-CoV-2 antigen with rapid antigen detection kit and qRT-PCR method. For initial validation, 5 samples each of potential SARS-CoV-2 RNAs extracted from known positive cases and 5 samples of extracted RNA from known negative persons were tested by rapid antigen detection kit and qRT-PCR. The results of qRT-PCR were interpreted as per the interpretation chart provided by the supplier. Results: During the study period, a total of 250 currency samples were collected including different denominations of currency notes and coins. Majority of the currency samples were collected from grocery stores followed by food outlets. Following validation, the currency samples were tested, and all turned negative for SARS-CoV-2 by rapid antigen detection test as well as by RT-PCR. Conclusion: This study predicts on Bahraini currency posing no threat of SARS-CoV-2 transmission via currency exchange.
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45

Leishman, Kirsty. "And the Winner Is Fiction." M/C Journal 2, no. 1 (February 1, 1999). http://dx.doi.org/10.5204/mcj.1739.

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In Australia, we are more prepared for the year 2000 than many. With regard to the technical difficulties that might be experienced, we have the honour of being the 12th most prepared nation in the event of worst predictions. In addition to the usual effects the impending millennium is wreaking however, Australia is also anticipating the year we will be hosting the Olympic games. The fervour that has seen religious cult members invest in matching pairs of Nike trainers (and coincidentally, buy plane tickets to Australia) has also infected this nation's official image-makers, who have been busy preparing for the definitive moment when the world's television cameras will be pointed at Sydney Harbour, and Australia, by association, will be the subject of international media scrutiny. Since the closing ceremony of the Atlanta-hosted Olympic games in 1996, commentators have expressed the uneasiness that such observation provokes in Australians. The entrance of inflated kangaroos on bikes into the Atlanta Olympic stadium was described by David Marr in the Sydney Morning Herald as "the first in a long line of cringes", and he warned Australians that "we must all understand from now on that embarrassment is part of the Olympic Spirit. It's a key to us surviving the next four difficult years until the torch goes out in Homebush. All of us are going to be embarrassed some of the time by the Olympic image of ourselves". Marr's anxiety is further revealed in his comparison of the inferior display (with the exception of the Bangarra dancers)1 of the "few minutes of the Royal Easter Show" presented by the Australian contingent at the ceremony, with the efforts of the representatives of the United States of America, who are described as "some of the greatest stars in the West". Marr is convinced of his assessment of Australia's lesser cultural talent, noting that not only did the Atlanta audience seem puzzled by the display of Australian culture before they were able to recognise "the profile of the Opera House", but also that the transmission of the event via a "bank of [television] sets in David Jones's window" failed to elicit much of a response from those who watched, and was unable to distract those who didn't watch away from their involvement in shopping, working or driving. Marr's generally pessimistic assessment of Australia's artistic and cultural merits is not one that is obviously shared by the organisers of the four Olympic arts festivals that are being held leading up to the Sydney 2000 games. From the 1997 "Festival of the Dreaming" through to 1998's "A Sea Change", this year's "Reaching the World", and next year's finale "Harbour of Light", the rhetoric has focused on showcasing "a strong vision of Australian culture" (Cochrane). It would appear Marr's advice, that Australians resign ourselves to a painful four year cringe festival, is at odds with the enthusiasm being invested in creating those images by the directors of the respective festivals. There are, however, more similarities in these apparently different visions of Australia than are immediately apparent. In National Fictions, Graeme Turner identifies a dominant tradition in the construction of Australian narratives which dates from the nationalist pastoral ideals of the 1890's. Turner explores how in fiction, the Australian individual has been formed through an imagined experience of "exile, divorce and isolation" (60). This experience is closely linked to a view of the land as uncompromising, and brutal in its effects. In contrast to the North American protagonist who sets out to conquer the Western Frontier, the belief of the Australian protagonist is that she, or more likely he, can do nothing to overcome the harshness of the landscape, and therefore must simply endure its effects. This attitude also transfers itself to the relationship the individual has with society. Again, where the North American individual will generally triumph over the constraints of society, and is prized for her or his difference, for the Australian individual difference is problematic; it will ensure she or he is viewed with suspicion and resentment within the narrative. It is only through accepting and conforming to the values of the community that the Australian individual will survive. Turner's thesis is "one that insists on the connection between the individual narratives on the one hand and the culture which produces them on the other". Thus, it is argued that "narrative is an epistemological category, one of the means through which we construct our world" (National Fictions 142). Certainly, it is a narrative of communal embarrassment, frustration and survival that Marr invokes when he urges Australians to accept our exile in all matters cultural. It is also this narrative of cultural frustration and isolation that is informing the Sydney 2000 cultural Olympics. The planning of the Sydney Olympics Arts Festival has drawn on discourses around the occasion the Olympics presents for Australia to clearly establish a cultural identity. This has been contrasted with evidence of the extent to which former Olympic host cities Atlanta and Barcelona were able to assert the extensive credentials of their cultures. Craig Hassall, the general manager of the Sydney Olympic Arts Festivals identifies Barcelona as "the benchmark", arguing that "Barcelona reinforced the cultural fabric of that city by reminding the world of the power of Miró, Gaudi and the Catalan culture" (Cochrane). Hassall's assessment of the Barcelona cultural Olympics recalls Marr's comments about the strength of the American artists in Atlanta. In contrast to the inarguable evidence of the cultural achievements of Spain and the United States, the Australian cultural Olympics is perceived as the moment when we will have the opportunity to present our culture for the first time; we will overcome our cultural exile and take our first steps onto the world's stage. Thus Hassall maintains that "the brief for Sydney is slightly more complicated [than that proposed in Barcelona]. Our task is to establish rather than reinforce, a strong vision of Australian culture" (Cochrane). Although Robert Fitzpatrick, the director of the Los Angeles 1984 Olympic Arts Festival, is less enthusiastic about the other cities' efforts, claiming "Atlanta botched it [and] Barcelona did only slightly better", he nevertheless arrives at similar conclusions to Hassall, suggesting that "this is an occasion for Australia's arts mitzvah" (Hallet). Turner offers an explanation for this connection between the Australian experience of exile and shows how it engenders a response to constantly establish and re-establish a particularly Australian identity when he argues: if the myth of exile proposes that life does not go on here as it does elsewhere, and if there is an intuition of a society beyond these shores in which the 'norm' resides, then 'universal' philosophical solutions to the problems of existence within the society may not be convincing. Our fictions characteristically address not only the modern, 'universal', problem of meaning that has its own archaeology within world literature, but also specifically Australian physical and metaphysical problems. Metaphysically, Australia becomes a special case, since existence here is defined as being Australian as well as human. As victims of cosmic xenophobia, we are still bailed up by the problem of being Australian as well as by (the usual) problems of inventing or discovering meaning. Far from being an indication of cultural immaturity, or the failure of our writers' and film-makers' attempts to articulate a national identity, this is in fact a defining feature of the portrait of the individual as protagonist in Australian narrative. (National Fictions 80-1) The narrative trajectory of the four festivals bears out this dominant Australian characteristic of defining our identity through exile. While Andrea Stretton, the artistic director of "A Sea Change" and "Reaching the World" applies the analogy of a concerto to the arrangement of the Olympic arts festivals -- "beginning and ending with a bang, with a change of pace in the middle" (Morgan) -- it is also possible to locate in their narrative a shift between an assertion of cultural identity, using specific notions of indigenous identity in "Festival of the Dreaming", and multi-cultural identity in "A Sea Change", towards an ever-present awareness of separation from the rest of the world, so that the third festival is entitled "Reaching the World" and the final festival anticipates sending out a beacon, a "Harbour of Light", beckoning the world to join us in the year 2000. Although the distinction between the assertion of identity and the frustrated feeling of exile are not quite so clearly distinguished in terms of their relationship to a particular festival in the manner that I have described (they are both in operation to varying degrees in all the festivals), it is from a culture that understands itself to be in permanent exile that the narratives being employed by the organisers of the cultural Olympics are derived. So, rather than orchestrating our debut onto the world's stage, it might be argued that the role of the Olympic arts festivals is one of co-ordinating participation in our favourite national pastime: inventing Australia, again. Footnote Marr notes, "Bangarra held the night together. As they were leaving there was a moment that was exactly as the world should see us -- the dancers throwing handfuls of dust in the Atlanta air. Thank God for their dignity and sense of themselves". In making the exception of the Bangarra dancers Marr resorts to a notion of indigeneity as authentic and fixed. However good the intention, the use of this concept of indigenous identity is highly problematic. Graeme Turner has observed the spectacle of the contrast between the way indigenous Australians participated in the Brisbane-hosted 1982 Commonwealth Games opening ceremony, and the demonstration that took place outside the stadium. He suggests that if Australians are to avoid a repeat of this scenario at the Sydney 2000 Olympics "we will need to find other ways of representing the nation" (Making It National 144). In Marr's article, at least, there is little evidence, two years on from Turner's comments, of moving beyond the 'noble savage' representation of indigeneity. Further study of the participation and representations of Australian Aboriginals and Torres Strait Islanders in the Olympics Arts Festivals and the Olympics will be required before deciding whether other ways of representing Australia are being articulated for the occasion Sydney 2000. References Cochrane, Peter. "Here's Looking at You, White Australia." Sydney Morning Herald 24 June 1997: 15. Hallet, Bryce. "Sydney 'Must Take Risks'." Sydney Morning Herald 25 June 1998: 15. Marr, David. "The First in a Long Line of Cringes." Sydney Morning Herald 6 Aug. 1996: 2. Morgan, Joyce. "A Change of Pace." Sydney Morning Herald 1 May 1998: 19. Turner, Graeme. Making It National: Nationalism and Australian Popular Culture. St Leonards, NSW: Allen & Unwin, 1994. Turner, Graeme. National Fictions: Literature, Film and the Construction of Australian Narrative. 2nd ed. St Leonards, NSW: Allen & Unwin, 1993. Citation reference for this article MLA style: Kirsty Leishman. "'And the Winner Is Fiction': Inventing Australia, Again, for the Sydney Y2K Olympics." M/C: A Journal of Media and Culture 2.1 (1999). [your date of access] <http://www.uq.edu.au/mc/9902/sydney.php>. Chicago style: Kirsty Leishman, "'And the Winner Is Fiction': Inventing Australia, Again, for the Sydney Y2K Olympics," M/C: A Journal of Media and Culture 2, no. 1 (1999), <http://www.uq.edu.au/mc/9902/sydney.php> ([your date of access]). APA style: Kirsty Leishman. (1999) 'And the winner is fiction': inventing Australia, again, for the Sydney y2k Olympics. M/C: A Journal of Media and Culture 2(1). <http://www.uq.edu.au/mc/9902/sydney.php> ([your date of access]).
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46

Journal Coordinator, TESOL in Context. "Notes for contributors." TESOL in Context 30, no. 2 (December 6, 2022). http://dx.doi.org/10.21153/tesol2022vol30no2art1648.

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Notes for contributors It is understood that articles submitted to TESOL in Context have not been previously published and are not under consideration for publication elsewhere. Articles around 6,000 words including references are preferred, and an abstract of up to 200 words should be included with each article submitted. Electronic submission as attached files is required (Microsoft Word or rich text format). One file should contain a separate cover page with the article’s title, the names of the author/s, their preferred titles, and the contact details for the author to whom correspondence should be sent (address, telephone numbers, and email address). About 70 words of biographical data should also be included. A second file should contain the title followed by the abstract, the body of the paper and the list of references. Number the pages but do not use identifying headers or footers. Headings and sub-headings should be left aligned, with the first letter capitalised. Indicate new paragraphs by using one extra line space. Text should be Times New Roman, 12 points, with 1.5 spacing. Short quotations should be incorporated into the text and enclosed with double quotation marks. Quotations of more than about 40 words should be set off from the main text by indentation, without any quotation marks. Referencing should follow the APA referencing style; for examples, see a recent issue of the journal at http:// www.tesolincontext.org.au/. References in the text should be ordered alphabetically and contain the name of the author and the year of publication, e.g. (Adams, 2001; Jones, 1998). For direct quotations include the relevant page number(s), e.g. (Jones, 1998, p. 34). TESOL in Context, Volume 30, No.1 TESOL in Context Tables, figures or diagrams should be numbered consecutively and included in the relevant part of the text. Each should have an explanatory title. Numbers up to and including ten should be spelt out and numbers over ten should be expressed as figures. The spellings used should be those given in The Macquarie Dictionary. All articles submitted are subject to blind, impartial refereeing; referees are asked to report against the following criteria: * The topic of the article is of relevance to readers of the journal (see ACTA Statement at https://tesol. org.au/publications/#publications-1). * The article is grounded appropriately in relevant published literature. * The article’s claims/conclusions are based on rigorous analysis of primary data and/or well-supported argument and/or analysis of teaching practice. * The article is well structured and clearly linked. * Language use and style are appropriate to the audience and purpose. * Notes for contributors have been followed in all respects, including consistent use of APA style. * The article has potential to make a worthwhile contribution to the TESOL field. Address for submissions: Journal Manager: tic@tesol.org.au Advertising rates The advertising rates for TESOL in Context are as follows: Full page 1⁄2 page horizontal 1⁄4 page vertical 130mm x 205mm 100mm x 130mm 65mm x 100mm $350.00 $200.00 $150.00 All enquires should be directed to: Journal Manager, TESOL in Context tic@tesol.org.au TESOL in Context Journal of the Australian Council of TESOL Associations Back copies are available on request by contacting tic@tesol.org.au Cost per issue for print back copies for Australia is $13.00 AUD ($10.00 plus $3.00 postage). Outside of Australia is $20 AUD ($10 plus $10 postage). When print copies are not available an electronic PDF copy is available at $10.00 per issue.
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47

McDonnell, Margaret. "The Colour of Copyright." M/C Journal 5, no. 3 (July 1, 2002). http://dx.doi.org/10.5204/mcj.1965.

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Along with all the other baggage the British brought with them to Port Jackson in 1788 were laws of ownership that were totally foreign to the original inhabitants. The particular law I'll consider here is that of copyright. The result of a few hundred years of evolution, moulded by the common law and acts of Parliament, copyright protects the intellectual property of writers and artists (Saunders). It has three requirements: originality, material form and identifiable author. However, superimposed on the creative practices of the original inhabitants of Australia, copyright has proved a dismal failure. Its inability to continue its evolution means that it does not serve Indigenous Australians, whose creative practices do not fit neatly within its confines. The notions of 'rights' or 'ownership' inherent in current copyright law do not reflect, and are therefore unable to protect, Indigenous intellectual property. The limits of protection are summed up by Janke et al: '[c]ommercial interests are protected … rather than interests pertaining to cultural integrity … [r]ights are valid for a limited period … whereas under Indigenous laws, they exist in perpetuity. Individual notions of ownership are recognised, rather than the Indigenous concept of communal ownership' (Janke 1997). Practical effects of these limitations are the loss of copyright of stories written down or electronically recorded by outsiders, and the absence of special consideration for, or protection of, secret or sacred material (Janke 1997). Mansell notes that Aboriginal intellectual property rights are poorly protected by current laws be they copyright, patent, plant breeders, design laws or trademarks where 'the creative customs and practices of Aborigines' are different to those of whites, who 'emphasise the individual and provide the mechanisms for the commercialisation of an individual's activity. The traditional base of Aboriginal art forms was not created with this in mind' (Mansell 196). Indigenous cultures have their own systems for the protection of intellectual property which are predicated not on the protection of commercial advantage but on the meaning and cultural integrity of the work of art (Janke 1996 15; 1998a 4). Some of these so-called works of art are, in fact, 'law bearers'; these 'Indigenous traditional cultural productions are … legal titles to clan land' (Morris 6). Ignoring this meaning of cultural productions is a little like your bank manager framing your mortgage document or rental agreement for its aesthetic qualities, and evicting you from your house. While copyright law does acknowledge legally-defined entities like corporations or government departments as copyright holders, it is too limited in its definitions to recognise the complex familial relationships and reciprocal responsibilities of Aboriginal society. Under Indigenous laws 'individuals are differentiated in their awareness of elements of the local culture and in the way they make use of those elements depending on such things as their sex, their moiety or skin group, and their initiatory status' (Johnson 10). Given the complex nature of Indigenous attitudes to rights in and ownership of intellectual property, those concerned with questions of fairness in the administration of copyright law must take a new perspective. While copyright law appears, in the main, to have been unable to deal with a system of law which pre-dates it by thousands of years, there have recently been some tentative steps towards a recognition of Indigenous concerns. Golvan, acknowledging that much work needs to be done 'to ensure that the legal system is meaningful to Aboriginal people', sees some aspects of the judgement in the Carpets Case1 which 'show a strong determination to seek to unite Western copyright principles with the need to deal with issues of indigenous cultural harm' (Golvan 10). And, in Foster v Mountford 1976 (discussed below), Justice Muirhead noted that 'revelation of the secrets [contained in the offending book] … may undermine the social and religious stability of [the] hard-pressed community' (quoted in McDonald 24). These examples show some willingness on the part of the courts to take into account matters which fall outside of common law. While there has as yet been very little litigation regarding copyright ownership of written works, there is no reason to assume that this situation will continue. The first case of infringement of Aboriginal copyright to surface in the media occurred in 1966, when David Malangi's painting 'The Hunter' was adapted without permission as part of the design for the new one-dollar note (Johnson 13). Ten years later, the Pitjantjatjara Council was involved in litigation with Dr Mountford, 'an anthropologist who had been given information by the Pitjantjatjara people … in 1940 … about tribal sites and objects, communal legends, secrets, paintings, engravings, drawings and totemic geography' (McDonald 23). Interestingly, this particular case relied not on copyright law but on a breach of confidence as 'the material … was not protected by copyright, being material in which copyright either did not subsist, or in which copyright had expired' (23). This is a good example of the lack of protection afforded by copyright law to intellectual property of religious and spiritual significance.2 At first glance, the implications of the 1992 Mabo land rights case for publishing in Australia today might seem remote. However, some of the implications of this historic case hold the potential for a new approach to intellectual property rights which may actually serve the interests of Indigenous artists and writers. The importance to intellectual property rights of the Mabo decision lies in the fact that 'the Court held that … local law remains in place except to the extent that it may be in conflict with British law, and until it is over-ruled by the colonisers' 3 (McDonald 26). This meant that not only the myth of terra nullius was repudiated, but with it any notion that Australia was 'either a wild and lawless place or a legal blank slate. Indigenous customary law … was thereby given both recognition and validity' (26). Gray goes further than this, and states in relation to native title and Aboriginal art: 'the two in fact are quite inseparable if not exactly the same' (Gray 12). This statement strongly emphasises Morris' concerns expressed above, regarding the diminution of authority of 'cultural productions' when they are perceived as merely artistic objects. Pearson, in discussing Mabo, talks of native title as the 'recognition space' 4 between common law and Aboriginal law (Pearson 154). He points out that Aboriginal law exists, is practised is in fact a 'social reality', and adds that 'it is fictitious to assume that Aboriginal law is extinguished where the common law is unable to recognise that law' 5 (155). Recently the Australian Society of Authors (Heiss) prepared two discussion papers and a checklist for non-Indigenous writers who want to write about Indigenous culture. One of the papers, 'Australian Copyright vs Indigenous Intellectual and Cultural Property Rights', reiterates the point that the Copyright Act 1968 'as it stands is unsuited to protecting Indigenous culture'. It briefly discusses the desirability of the sharing of copyright between the Indigenous storyteller or informant and their non-Indigenous collaborator an issue I will examine in greater depth in my thesis on cross-cultural editing. A problematic practice, shared copyright deals with 'ownership' in a way that satisfies white or western conceptions but may compromise the Indigenous sense of (Indigenous) communal title to the work. The importance of effective copyright law for Indigenous Australians goes beyond the earning of royalties or the commercial 'ownership' of creative work: it refers to the protection of their cultural heritage (Heiss). One solution suggested by Janke is an amendment to 'the Copyright Act to provide moral rights (rights of attribution, no false attribution and cultural integrity)' (in Heiss). Another possible, though longer term solution, may lie in the way common law itself develops. It has evolved over time, albeit slowly, to suit the needs of the particular environment economic, technological, cultural or other in which it has to operate. As Ginsberg remarks in the context of the introduction of moral rights law to two common law countries, the US and Australia, regarding the gradual adoption of moral rights: 'a Common Law approach to moral rights … slowly builds up to the general principle from gritty examples worked out fact-by-fact. This accretion method is familiar to both our countries' legal approaches' (Ginsberg 34). This same accretion method could be used to change copyright law so that it more adequately protects Indigenous intellectual property. Whatever solution is reached, at present the copyright laws are colour-blind when presented with the complex and alien nature of Indigenous cultural practice. In the interests of reconciliation, natural justice and the integrity of Indigenous culture, reform cannot come too soon. NOTES 1. Milpurrurru v Indofurn Pty Ltd, 1995; an Australian company copied and adapted various Indigenous works of art and had them woven into carpets in Vietnam, and imported into Australia. Permission to use the designs was never sought. An award of almost $200,000 was made to the 8 artists involved, and the offending carpets were withdrawn from sale. By 1996, Indofurn had been wound up and the director declared bankrupt: the artists have not received a cent. (Janke 1998b 9). 2. Fortunately for the Pitjantjatjara elders, the court held that Mountford's book did constitute a breach of confidence. 3. 'The Court held that the rights of Indigenous inhabitants of a colony are the same as the rights of a conquered nation: local law remains in place except to the extent that it may be in conflict with British law, and until it is over-ruled by the colonisers' (McDonald 26). 4. 'Native title is therefore the space between the two systems, where there is recognition. Native title is, for want of a better formulation the recognition space between the common law and the Aboriginal law which now afforded recognition in particular circumstances' (Pearson 154). 5. However, some cases subsequent to Mabo place limitations upon the recognition of Indigenous traditional law. Justice Mason in Coe v Commonwealth of Australia (1993, at 115) stated that 'Mabo … is at odds with the notion … that [Indigenous Australians] are entitled to any rights and interest other than those created or recognised by the law of the Commonwealth, the [relevant] State… and the common law' (McDonald 2627). References Coe v Commonwealth of Australia (1993) 68 ALJR 110 Ginsberg, J. (1992). Moral Rights in a Common Law System. Moral Rights in a Copyright System. P. Anderson and D. Saunders. Brisbane, Qld: Institute for Cultural Policy Studies, Griffith University. Golvan, C. (1996). 'Aboriginal Art and Copyright.' Culture and Policy 7(3): 512. Gray, S. (1996). 'Black Enough? Urban and non-traditional Aboriginal art and proposed legislative protection for Aboriginal art.' Culture and Policy 7(3): 29-44 Heiss, A. (2001). Australian Copyright vs Indigenous Intellectual and Cultural Property Rights, Australian Society of Authors. < http://www.asauthors.org/resources> Accessed 15.08.01. Janke, T. (1996). 'Protecting Australian indigenous arts and cultural expression.' Culture and Policy 7(3): 1327. Janke, T. (1998a). Editorial. Queensland Community Arts Network News 1: 45. Janke, T. (1998b). Federal Court awards record damages to Aboriginal artists. Queensland Community Arts Network News 1: 89. Janke, T., Frankel, M. & Company, Solicitors (1997). Proposals For The Recognition and Protection of Indigenous Cultural and Intellectual Property, AIATSIS for the Indigenous Cultural and Intellectual Property Project. <http://www.icip.lawnet.com.au/> Accessed 25.4.98. Johnson, V. (1996). Copyrites: Aboriginal art in the age of reproductive technologies. Sydney, NSW: NIAAA & Macquarie University. Mansell, M. (1997). Barricading our last frontier Aboriginal cultural and intellectual propery rights. Our land is Our Life: Land rights past, present and future. G. Yunupingu. St Lucia, Qld, UQP: 195209. Milpurrurru v Indofurn Pty Ltd (1995) 30 IPR 209. Morris, C. (1998). The Responsibility of Maintaining the Oldest Continuous Culture in the World. Queensland Community Arts Network News 1: 67. Pearson, N. (1997). The Concept of Native Title at Common Law. Our Land is Our Life: Land rights past, present and future. G. Yunupingu. St Lucia, Qld, UQP: 150162. Saunders, D. (1992). Early Modern Law of Copyright in England: Statutes, courts and book cultures. Authorship and Copyright. D. Saunders. London, Routledge: 3574. Links http://www.icip.lawnet.com.au/ http://www.asauthors.org/resources Citation reference for this article MLA Style McDonnell, Margaret. "The Colour of Copyright" M/C: A Journal of Media and Culture 5.3 (2002). [your date of access] < http://www.media-culture.org.au/0207/copyright.php>. Chicago Style McDonnell, Margaret, "The Colour of Copyright" M/C: A Journal of Media and Culture 5, no. 3 (2002), < http://www.media-culture.org.au/0207/copyright.php> ([your date of access]). APA Style McDonnell, Margaret. (2002) The Colour of Copyright. M/C: A Journal of Media and Culture 5(3). < http://www.media-culture.org.au/0207/copyright.php> ([your date of access]).
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Gans, Joshua S., and Stephen P. King. "The Neutrality of Interchange Fees in Payment Systems." Topics in Economic Analysis & Policy 3, no. 1 (January 9, 2003). http://dx.doi.org/10.2202/1538-0653.1069.

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Abstract There has been considerable public debate over the effect of interchange fees on credit card transactions. Regulators in Australia and Europe have argued that these fees can be set by banks to have an anticompetitive effect. In the US, it has been argued that these fees, together with a rule that prevents a surcharge for credit purchases, might create a cross subsidy between cash and credit customers. Academics have noted that, in particular circumstances, interchange fees have no real effects in the absence of such a no-surcharge rule. This paper demonstrates that the potential neutrality of interchange fees is a general result. We show that in the absence of a no surcharge rule or, alternatively, if there is perfect competition at the merchant level, interchange fees can be changed without leading to any real effects. This result does not depend on the degree or nature of competition at either the bank or the merchant level. We conclude that the elimination of no surcharge rules may provide practical policy solutions for authorities concerned about the level of interchange fees.
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Brien, Donna Lee. "Bringing a Taste of Abroad to Australian Readers: Australian Wines & Food Quarterly 1956–1960." M/C Journal 19, no. 5 (October 13, 2016). http://dx.doi.org/10.5204/mcj.1145.

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IntroductionFood Studies is a relatively recent area of research enquiry in Australia and Magazine Studies is even newer (Le Masurier and Johinke), with the consequence that Australian culinary magazines are only just beginning to be investigated. Moreover, although many major libraries have not thought such popular magazines worthy of sustained collection (Fox and Sornil), considering these publications is important. As de Certeau argues, it can be of considerable consequence to identify and analyse everyday practices (such as producing and reading popular magazines) that seem so minor and insignificant as to be unworthy of notice, as these practices have the ability to affect our lives. It is important in this case as these publications were part of the post-war gastronomic environment in Australia in which national tastes in domestic cookery became radically internationalised (Santich). To further investigate Australian magazines, as well as suggesting how these cosmopolitan eating habits became more widely embraced, this article will survey the various ways in which the idea of “abroad” is expressed in one Australian culinary serial from the post-war period, Australian Wines & Food Quarterly magazine, which was published from 1956 to 1960. The methodological approach taken is an historically-informed content analysis (Krippendorff) of relevant material from these magazines combined with germane media data (Hodder). All issues in the serial’s print run have been considered.Australian Post-War Culinary PublishingTo date, studies of 1950s writing in Australia have largely focused on literary and popular fiction (Johnson-Wood; Webby) and literary criticism (Bird; Dixon; Lee). There have been far fewer studies of non-fiction writing of any kind, although some serial publications from this time have attracted some attention (Bell; Lindesay; Ross; Sheridan; Warner-Smith; White; White). In line with studies internationally, groundbreaking work in Australian food history has focused on cookbooks, and includes work by Supski, who notes that despite the fact that buying cookbooks was “regarded as a luxury in the 1950s” (87), such publications were an important information source in terms of “developing, consolidating and extending foodmaking knowledge” at that time (85).It is widely believed that changes to Australian foodways were brought about by significant post-war immigration and the recipes and dishes these immigrants shared with neighbours, friends, and work colleagues and more widely afield when they opened cafes and restaurants (Newton; Newton; Manfredi). Although these immigrants did bring new culinary flavours and habits with them, the overarching rhetoric guiding population policy at this time was assimilation, with migrants expected to abandon their culture, language, and habits in favour of the dominant British-influenced ways of living (Postiglione). While migrants often did retain their foodways (Risson), the relationship between such food habits and the increasingly cosmopolitan Australian food culture is much more complex than the dominant cultural narrative would have us believe. It has been pointed out, for example, that while the haute cuisine of countries such as France, Italy, and Germany was much admired in Australia and emulated in expensive dining (Brien and Vincent), migrants’ own preference for their own dishes instead of Anglo-Australian choices, was not understood (Postiglione). Duruz has added how individual diets are eclectic, “multi-layered and hybrid” (377), incorporating foods from both that person’s own background with others available for a range of reasons including availability, cost, taste, and fashion. In such an environment, popular culinary publishing, in terms of cookbooks, specialist magazines, and recipe and other food-related columns in general magazines and newspapers, can be posited to be another element contributing to this change.Australian Wines & Food QuarterlyAustralian Wines & Food Quarterly (AWFQ) is, as yet, a completely unexamined publication, and there appears to be only three complete sets of this magazine held in public collections. It is important to note that, at the time it was launched in the mid-1950s, food writing played a much less significant part in Australian popular publishing than it does today, with far fewer cookbooks released than today, and women’s magazines and the women’s pages of newspapers containing only small recipe sections. In this environment, a new specialist culinary magazine could be seen to be timely, an audacious gamble, or both.All issues of this magazine were produced and printed in, and distributed from, Melbourne, Australia. Although no sales or distribution figures are available, production was obviously a struggle, with only 15 issues published before the magazine folded at the end of 1960. The title of the magazine changed over this time, and issue release dates are erratic, as is the method in which volumes and issues are numbered. Although the number of pages varied from 32 up to 52, and then less once again, across the magazine’s life, the price was steadily reduced, ending up at less than half the original cover price. All issues were produced and edited by Donald Wallace, who also wrote much of the content, with contributions from family members, including his wife, Mollie Wallace, to write, illustrate, and produce photographs for the magazine.When considering the content of the magazine, most is quite familiar in culinary serials today, although AWFQ’s approach was radically innovative in Australia at this time when cookbooks, women’s magazines, and newspaper cookery sections focused on recipes, many of which were of cakes, biscuits, and other sweet baking (Bannerman). AWFQ not only featured many discursive essays and savory meals, it also featured much wine writing and review-style content as well as information about restaurant dining in each issue.Wine-Related ContentWine is certainly the most prominent of the content areas, with most issues of the magazine containing more wine-related content than any other. Moreover, in the early issues, most of the food content is about preparing dishes and/or meals that could be consumed alongside wines, although the proportion of food content increases as the magazine is published. This wine-related content takes a clearly international perspective on this topic. While many articles and advertisements, for example, narrate the long history of Australian wine growing—which goes back to early 19th century—these articles argue that Australia's vineyards and wineries measure up to international, and especially French, examples. In one such example, the author states that: “from the earliest times Australia’s wines have matched up to world standard” (“Wine” 25). This contest can be situated in Australia, where a leading restaurant (Caprice in Sydney) could be seen to not only “match up to” but also, indeed to, “challenge world standards” by serving Australian wines instead of imports (“Sydney” 33). So good, indeed, are Australian wines that when foreigners are surprised by their quality, this becomes newsworthy. This is evidenced in the following excerpt: “Nearly every English businessman who has come out to Australia in the last ten years … has diverted from his main discussion to comment on the high quality of Australian wine” (Seppelt, 3). In a similar nationalist vein, many articles feature overseas experts’ praise of Australian wines. Thus, visiting Italian violinist Giaconda de Vita shows a “keen appreciation of Australian wines” (“Violinist” 30), British actor Robert Speaight finds Grange Hermitage “an ideal wine” (“High Praise” 13), and the Swedish ambassador becomes their advocate (Ludbrook, “Advocate”).This competition could also be located overseas including when Australian wines are served at prestigious overseas events such as a dinner for members of the Overseas Press Club in New York (Australian Wines); sold from Seppelt’s new London cellars (Melbourne), or the equally new Australian Wine Centre in Soho (Australia Will); or, featured in exhibitions and promotions such as the Lausanne Trade Fair (Australia is Guest;“Wines at Lausanne), or the International Wine Fair in Yugoslavia (Australia Wins).Australia’s first Wine Festival was held in Melbourne in 1959 (Seppelt, “Wine Week”), the joint focus of which was the entertainment and instruction of the some 15,000 to 20,000 attendees who were expected. At its centre was a series of free wine tastings aiming to promote Australian wines to the “professional people of the community, as well as the general public and the housewife” (“Melbourne” 8), although admission had to be recommended by a wine retailer. These tastings were intended to build up the prestige of Australian wine when compared to international examples: “It is the high quality of our wines that we are proud of. That is the story to pass on—that Australian wine, at its best, is at least as good as any in the world and better than most” (“Melbourne” 8).There is also a focus on promoting wine drinking as a quotidian habit enjoyed abroad: “We have come a long way in less than twenty years […] An enormous number of husbands and wives look forward to a glass of sherry when the husband arrives home from work and before dinner, and a surprising number of ordinary people drink table wine quite un-selfconsciously” (Seppelt, “Advance” 3). However, despite an acknowledged increase in wine appreciation and drinking, there is also acknowledgement that this there was still some way to go in this aim as, for example, in the statement: “There is no reason why the enjoyment of table wines should not become an Australian custom” (Seppelt, “Advance” 4).The authority of European experts and European habits is drawn upon throughout the publication whether in philosophically-inflected treatises on wine drinking as a core part of civilised behaviour, or practically-focused articles about wine handling and serving (Keown; Seabrook; “Your Own”). Interestingly, a number of Australian experts are also quoted as stressing that these are guidelines, not strict rules: Crosby, for instance, states: “There is no ‘right wine.’ The wine to drink is the one you like, when and how you like it” (19), while the then-manager of Lindemans Wines is similarly reassuring in his guide to entertaining, stating that “strict adherence to the rules is not invariably wise” (Mackay 3). Tingey openly acknowledges that while the international-style of regularly drinking wine had “given more dignity and sophistication to the Australian way of life” (35), it should not be shrouded in snobbery.Food-Related ContentThe magazine’s cookery articles all feature international dishes, and certain foreign foods, recipes, and ways of eating and dining are clearly identified as “gourmet”. Cheese is certainly the most frequently mentioned “gourmet” food in the magazine, and is featured in every issue. These articles can be grouped into the following categories: understanding cheese (how it is made and the different varieties enjoyed internationally), how to consume cheese (in relation to other food and specific wines, and in which particular parts of a meal, again drawing on international practices), and cooking with cheese (mostly in what can be identified as “foreign” recipes).Some of this content is produced by Kraft Foods, a major advertiser in the magazine, and these articles and recipes generally focus on urging people to eat more, and varied international kinds of cheese, beyond the ubiquitous Australian cheddar. In terms of advertorials, both Kraft cheeses (as well as other advertisers) are mentioned by brand in recipes, while the companies are also profiled in adjacent articles. In the fourth issue, for instance, a full-page, infomercial-style advertisement, noting the different varieties of Kraft cheese and how to serve them, is published in the midst of a feature on cooking with various cheeses (“Cooking with Cheese”). This includes recipes for Swiss Cheese fondue and two pasta recipes: spaghetti and spicy tomato sauce, and a so-called Italian spaghetti with anchovies.Kraft’s company history states that in 1950, it was the first business in Australia to manufacture and market rindless cheese. Through these AWFQ advertisements and recipes, Kraft aggressively marketed this innovation, as well as its other new products as they were launched: mayonnaise, cheddar cheese portions, and Cracker Barrel Cheese in 1954; Philadelphia Cream Cheese, the first cream cheese to be produced commercially in Australia, in 1956; and, Coon Cheese in 1957. Not all Kraft products were seen, however, as “gourmet” enough for such a magazine. Kraft’s release of sliced Swiss Cheese in 1957, and processed cheese slices in 1959, for instance, both passed unremarked in either the magazine’s advertorial or recipes.An article by the Australian Dairy Produce Board urging consumers to “Be adventurous with Cheese” presented general consumer information including the “origin, characteristics and mode of serving” cheese accompanied by a recipe for a rich and exotic-sounding “Wine French Dressing with Blue Cheese” (Kennedy 18). This was followed in the next issue by an article discussing both now familiar and not-so familiar European cheese varieties: “Monterey, Tambo, Feta, Carraway, Samsoe, Taffel, Swiss, Edam, Mozzarella, Pecorino-Romano, Red Malling, Cacio Cavallo, Blue-Vein, Roman, Parmigiano, Kasseri, Ricotta and Pepato” (“Australia’s Natural” 23). Recipes for cheese fondues recur through the magazine, sometimes even multiple times in the same issue (see, for instance, “Cooking With Cheese”; “Cooking With Wine”; Pain). In comparison, butter, although used in many AWFQ’s recipes, was such a common local ingredient at this time that it was only granted one article over the entire run of the magazine, and this was largely about the much more unusual European-style unsalted butter (“An Expert”).Other international recipes that were repeated often include those for pasta (always spaghetti) as well as mayonnaise made with olive oil. Recurring sweets and desserts include sorbets and zabaglione from Italy, and flambéd crepes suzettes from France. While tabletop cooking is the epitome of sophistication and described as an international technique, baked Alaska (ice cream nestled on liquor-soaked cake, and baked in a meringue shell), hailing from America, is the most featured recipe in the magazine. Asian-inspired cuisine was rarely represented and even curry—long an Anglo-Australian staple—was mentioned only once in the magazine, in an article reprinted from the South African The National Hotelier, and which included a recipe alongside discussion of blending spices (“Curry”).Coffee was regularly featured in both articles and advertisements as a staple of the international gourmet kitchen (see, for example, Bancroft). Articles on the history, growing, marketing, blending, roasting, purchase, percolating and brewing, and serving of coffee were common during the magazine’s run, and are accompanied with advertisements for Bushell’s, Robert Timms’s and Masterfoods’s coffee ranges. AWFQ believed Australia’s growing coffee consumption was the result of increased participation in quality internationally-influenced dining experiences, whether in restaurants, the “scores of colourful coffee shops opening their doors to a new generation” (“Coffee” 39), or at home (Adams). Tea, traditionally the Australian hot drink of choice, is not mentioned once in the magazine (Brien).International Gourmet InnovationsAlso featured in the magazine are innovations in the Australian food world: new places to eat; new ways to cook, including a series of sometimes quite unusual appliances; and new ways to shop, with a profile of the first American-style supermarkets to open in Australia in this period. These are all seen as overseas innovations, but highly suited to Australia. The laws then controlling the service of alcohol are also much discussed, with many calls to relax the licensing laws which were seen as inhibiting civilised dining and drinking practices. The terms this was often couched in—most commonly in relation to the Olympic Games (held in Melbourne in 1956), but also in relation to tourism in general—are that these restrictive regulations were an embarrassment for Melbourne when considered in relation to international practices (see, for example, Ludbrook, “Present”). This was at a time when the nightly hotel closing time of 6.00 pm (and the performance of the notorious “six o’clock swill” in terms of drinking behaviour) was only repealed in Victoria in 1966 (Luckins).Embracing scientific approaches in the kitchen was largely seen to be an American habit. The promotion of the use of electricity in the kitchen, and the adoption of new electric appliances (Gas and Fuel; Gilbert “Striving”), was described not only as a “revolution that is being wrought in our homes”, but one that allowed increased levels of personal expression and fulfillment, in “increas[ing] the time and resources available to the housewife for the expression of her own personality in the management of her home” (Gilbert, “The Woman’s”). This mirrors the marketing of these modes of cooking and appliances in other media at this time, including in newspapers, radio, and other magazines. This included features on freezing food, however AWFQ introduced an international angle, by suggesting that recipe bases could be pre-prepared, frozen, and then defrosted to use in a range of international cookery (“Fresh”; “How to”; Kelvinator Australia). The then-new marvel of television—another American innovation—is also mentioned in the magazine ("Changing concepts"), although other nationalities are also invoked. The history of the French guild the Confrerie de la Chaine des Roitisseurs in 1248 is, for instance, used to promote an electric spit roaster that was part of a state-of-the-art gas stove (“Always”), and there are also advertisements for such appliances as the Gaggia expresso machine (“Lets”) which draw on both Italian historical antecedence and modern science.Supermarket and other forms of self-service shopping are identified as American-modern, with Australia’s first shopping mall lauded as the epitome of utopian progressiveness in terms of consumer practice. Judged to mark “a new era in Australian retailing” (“Regional” 12), the opening of Chadstone Regional Shopping Centre in suburban Melbourne on 4 October 1960, with its 83 tenants including “giant” supermarket Dickens, and free parking for 2,500 cars, was not only “one of the most up to date in the world” but “big even by American standards” (“Regional” 12, italics added), and was hailed as a step in Australia “catching up” with the United States in terms of mall shopping (“Regional” 12). This shopping centre featured international-styled dining options including Bistro Shiraz, an outdoor terrace restaurant that planned to operate as a bistro-snack bar by day and full-scale restaurant at night, and which was said to offer diners a “Persian flavor” (“Bistro”).ConclusionAustralian Wines & Food Quarterly was the first of a small number of culinary-focused Australian publications in the 1950s and 1960s which assisted in introducing a generation of readers to information about what were then seen as foreign foods and beverages only to be accessed and consumed abroad as well as a range of innovative international ideas regarding cookery and dining. For this reason, it can be posited that the magazine, although modest in the claims it made, marked a revolutionary moment in Australian culinary publishing. As yet, only slight traces can be found of its editor and publisher, Donald Wallace. The influence of AWFQ is, however, clearly evident in the two longer-lived magazines that were launched in the decade after AWFQ folded: Australian Gourmet Magazine and The Epicurean. Although these serials had a wider reach, an analysis of the 15 issues of AWFQ adds to an understanding of how ideas of foods, beverages, and culinary ideas and trends, imported from abroad were presented to an Australian readership in the 1950s, and contributed to how national foodways were beginning to change during that decade.ReferencesAdams, Jillian. “Australia’s American Coffee Culture.” Australian Journal of Popular Culture 2.1 (2012): 23–36.“Always to Roast on a Turning Spit.” The Magazine of Good Living: Australian Wines and Food 4.2 (1960): 17.“An Expert on Butter.” The Magazine of Good Living: The Australian Wine & Food 4.1 (1960): 11.“Australia Is Guest Nation at Lausanne.” The Magazine of Good Living: Australian Wines and Food 4.2 (1960): 18–19.“Australia’s Natural Cheeses.” The Magazine of Good Living: The Australian Wine & Food 4.1 (1960): 23.“Australia Will Be There.” The Magazine of Good Living: Australian Wines and Food 4.2 (1960): 14.“Australian Wines Served at New York Dinner.” Australian Wines & Food Quarterly 1.5 (1958): 16.“Australia Wins Six Gold Medals.” Australian Wines & Food: The Magazine of Good Living 2.11 (1959/1960): 3.Bancroft, P.A. “Let’s Make Some Coffee.” The Magazine of Good Living: The Australian Wine & Food 4.1 (1960): 10. Bannerman, Colin. Seed Cake and Honey Prawns: Fashion and Fad in Australian Food. Canberra: National Library of Australia, 2008.Bell, Johnny. “Putting Dad in the Picture: Fatherhood in the Popular Women’s Magazines of 1950s Australia.” Women's History Review 22.6 (2013): 904–929.Bird, Delys, Robert Dixon, and Christopher Lee. Eds. Authority and Influence: Australian Literary Criticism 1950-2000. Brisbane: U of Queensland P, 2001.“Bistro at Chadstone.” The Magazine of Good Living 4.3 (1960): 3.Brien, Donna Lee. “Powdered, Essence or Brewed? Making and Cooking with Coffee in Australia in the 1950s and 1960s.” M/C Journal 15.2 (2012). 20 July 2016 <http://journal.media-culture.org.au/index.php/mcjournal/article/view/475>.Brien, Donna Lee, and Alison Vincent. “Oh, for a French Wife? Australian Women and Culinary Francophilia in Post-War Australia.” Lilith: A Feminist History Journal 22 (2016): 78–90.De Certeau, Michel. The Practice of Everyday Life. 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Chadha, Aakansha, Olusegun O. Osunkoya, Boyang Shi, Singarayer K. Florentine, and Kunjithapatham Dhileepan. "Soil Seed Bank Dynamics of Pastures Invaded by Navua Sedge (Cyperus aromaticus) in Tropical North Queensland." Frontiers in Agronomy 4 (May 27, 2022). http://dx.doi.org/10.3389/fagro.2022.897417.

Full text
Abstract:
Navua sedge (Cyperus aromaticus) is threatening crops, pasture species and natural ecosystems in Pacific Island countries and northern Queensland, Australia. To aid future management efforts of this exotic invasive weed, research was conducted to understand the soil seed bank dynamics of pastures invaded by Navua sedge. Six grazing properties were chosen across two landscapes, coastal and inland/upland, with areas that had Navua sedge infestations in Queensland, Australia. At each site, soil was collected from two soil depths, 0-5 and 5-10 cm, and from plots with high and low infestation levels of Navua sedge. It was observed that the soil seed bank dynamics varied significantly between these study sites. Navua sedge was the dominant species in the soil seed bank at all the sites contributing between 62% to 95% of the total seed bank, while pasture seeds occupied only 3% to 24%. Broadleaf seeds were even lower in abundance, showing between 2% to 13% of the total seed count. The abundance of Navua sedge seed present in the soil was significantly correlated with the aboveground biomass of Navua sedge (r=0.53, p=0.006), but no correlation was found with the infestation age of Navua sedge. Based on this work, it is clear that the seed bank of Navua sedge is very large and concentrated within the top 0-5 cm of the soil, with, 83% of total Navua sedge seeds being in this layer. It was also noted that, although, high infestation plots had significantly higher number of seeds than low infestation plots, more than 18,000 Navua sedge seeds/m2 were still found in the 0-5 cm soil layer of plots regarded as low infestation. We suggest that insights achieved from our soil seed bank study may be used to devise management strategies to minimise the impact of Navua sedge weed in critical grazing and agricultural areas.
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