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1

Great Britain. Lord Chancellor's Department. The Lord Chancellor's Departments supply estimates: Main estimates 2001-02, correction slips and winter supplementary estimate 2001-02. London: Stationery Office, 2001.

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2

Heckman, James J. Bias corrected estimates of GED returns. Cambridge, Mass: National Bureau of Economic Research, 2006.

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3

Henry, S. G. B. UK manufacturing investment in the 1980s: Some estimates using error correction models. London: National Institute of Economic and Social Research, 1988.

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4

Labor, United States Congress House Committee on Education and. Access demonstration programs correction: Report (to accompany H.R. 678) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1989.

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5

Anderson, Richard G. Analysis of panel vector error correction models using maximum likelihood, the bootstrap, and canonical-correlation estimators. St. Louis, Mo.]: Federal Reserve Bank of St. Louis, 2006.

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6

Isaac, Rani. How population growth estimates affect housing market projections: Will economic growth hold up under the weight of the housing correction? Sacramento, CA: California State Library, California Research Bureau, 2007.

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7

United States. Congress. House. Committee on Commerce. Medicaid health insuring organization correction: Report (to accompany H.R. 3056) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1996.

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8

United States. Congress. House. Committee on the Judiciary. Carjacking Correction Act of 1996: Report (to accompany H.R. 3676) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1996.

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9

Colorado River Indian Reservation Boundary Correction Act: Report (to accompany H.R. 2941) (including cost estimate of the Congressional Budget Office. [Washington, D.C: U.S. G.P.O., 2004.

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10

United States. Congress. House. Committee on the Judiciary. Correction of committee names in United States Code: Report (to accompany H.R. 4777) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1994.

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11

Judiciary, United States Congress House Committee on the. Correction of committee names in United States Code: Report (to accompany H.R. 4777) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1994.

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12

United States. Congress. House. Committee on the Judiciary. Correction of committee names in United States Code: Report (to accompany H.R. 4777) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1994.

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13

Swap Data Repository and Clearinghouse Indemnification Correction Act of 2012: Report (to accompany H.R. 4235) (including cost estimate of the Congressional Budget Office). [Washington, D.C: U.S. G.P.O., 2012.

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14

United States. Congress. Senate. Committee on Environment and Public Works. Coastal barrier resources system map correction, unit FL-35, Florida: Report (to accompany S. 2470) (including cost estimate of the Congressional Budget Office). [Washington, D.C: U.S. G.P.O., 1998.

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15

Coastal barrier resources system map correction--Captiva Island Unit, P19-P: Report (to accompany H.R. 34) (including cost estimate of the Congressional Budget Office). [Washington, D.C: U.S. G.P.O., 2000.

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16

United States. Congress. Senate. Committee on Environment and Public Works. Coastal Barrier Resources System map correction--Unit SC-03, South Carolina: Report (to accompany S. 2474) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1998.

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17

Plouff, Donald. Field estimates of gravity terrain corrections and Y2K-compatible method to convert from gravity readings with multiple base stations to tide- and long-term drift-corrected observations. Menlo Park, CA: U.S. Dept. of the Interior, U.S. Geological Survey, 2000.

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18

Geological Survey (U.S.), ed. Field estimates of gravity terrain corrections and Y2K-compatible method to convert from gravity readings with multiple base stations to tide- and long-term drift-corrected observations. Menlo Park, CA: U.S. Dept. of the Interior, U.S. Geological Survey, 2000.

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19

Geological Survey (U.S.), ed. Field estimates of gravity terrain corrections and Y2K-compatible method to convert from gravity readings with multiple base stations to tide- and long-term drift-corrected observations. Menlo Park, CA: U.S. Dept. of the Interior, U.S. Geological Survey, 2000.

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20

United States. Congress. House. Committee on Resources. Map correction relating to Cape Henlopen unit of Coastal Barrier Resources System: Report (to accompany H.R. 535) (including cost estimate of the Congressional Budget Office). [Washington, D.C: U.S. G.P.O., 1999.

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21

United States. Congress. Senate. Committee on Environment and Public Works. Coastal Barrier Resources System map correction--Unit DE-03P, Unit DE-03P, Cape Henlopen, DE: Report (to accompany S. 574) (including cost estimate of the Congressional Budget Office). [Washington, D.C: U.S. G.P.O., 1999.

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22

United States. Congress. House. Committee on the Judiciary. To make a technical correction to Title 28, United States Code, relating to jurisdiction for law suits against terrorist states: Report (to accompany H.R. 1225) (including cost estimate of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1997.

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23

Isett, Philip. Energy Approximation. Princeton University Press, 2017. http://dx.doi.org/10.23943/princeton/9780691174822.003.0023.

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This chapter presents the equations and calculations for energy approximation. It establishes the estimates (261) and (262) of the Main Lemma (10.1) for continuous solutions; these estimates state that we are able to accurately prescribe the energy that the correction adds to the solution, as well as bound the difference between the time derivatives of these two quantities. The chapter also introduces the proposition for prescribing energy, followed by the relevant computations. Each integral contributing to the other term can be estimated. Another proposition for estimating control over the rate of energy variation is given. Finally, the coarse scale material derivative is considered.
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24

Isett, Philip. Bounds for the Corrections. Princeton University Press, 2017. http://dx.doi.org/10.23943/princeton/9780691174822.003.0022.

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This chapter derives the bounds for the correction terms, starting with bounds for the velocity correction. Based on V of the form V = Δ‎ x W, it introduces a proposition for estimating the spatial derivatives of W. Since the number of Wsubscript I supported at any given region of ℝ x ³ is bounded by a universal constant, it suffices to estimate Wsubscript I uniformly in I. For an individual wave, it is easy to see that the estimate will hold. During repeated differentiation, the derivative hits either the oscillatory factor, the phase direction, or the amplitude wsubscript I or one of its derivatives. In any case, the largest cost happens when differentiating the phase function. The chapter also gives estimates for derivatives of the coarse scale material derivative of W and concludes with bounds for the pressure correction.
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25

Isett, Philip. Bounds for the Vector Amplitudes. Princeton University Press, 2017. http://dx.doi.org/10.23943/princeton/9780691174822.003.0021.

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This chapter estimates the bounds for the vector amplitudes vsubscript I and wsubscript I of the correction. It first presents the proposition about deriving the estimates for the transport part of vsubscript I and proceeds by computing estimates for vsubscript I, starting with the spatial derivatives. It then introduces a second proposition dealing with spatial derivatives of vector amplitudes and a third proposition for the first material derivative of vector amplitudes. The fourth proposition is concerned with the second material derivative of the vector amplitudes. The chapter shows that all the bounds for γ‎subscript I and α‎subscript I are identical until the second material derivative. It concludes with a corollary about estimates for corrected amplitudes.
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26

Correction: Report (to accompany H.R. 3096) (including cost estimate of the Congressional Budget Office). [Washington, D.C: U.S. G.P.O., 1998.

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27

Sinclair, Christian T., and Allison E. Jordan. Influence of Survival Probability on Preference for CPR (DRAFT). Edited by Nathan A. Gray and Thomas W. LeBlanc. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780190658618.003.0050.

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Informed discussions about cardiopulmonary resuscitation (CPR) help patients who are elderly correct misunderstandings about the success rate of CPR if the clinician shares likely estimates of survival after CPR. A wide range of preferences exists, and without discussion there is a significant risk that care will be delivered that is not consistent with the patient’s wishes. Clinicians should engage patients and document these discussions to help provide care that is patient-centered and efficient. The chapter describes the basics of this study, briefly reviews other relevant studies and information, gives a summary and discusses implications, and concludes with a relevant clinical case.
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28

Sivaramakrishnan, Muthu. Drug-induced skin disease. Edited by Patrick Davey and David Sprigings. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780199568741.003.0261.

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Drug-induced skin disease is one of the commonest dermatological presentations in both hospitalized and ambulatory patients. It affects 2%–3% of hospitalized patients, and it is estimated that 1 in 1000 hospitalized patients has a serious cutaneous drug reaction. The clinical presentation can mimic any skin disease and should be considered in the differential diagnosis of any acute-onset symmetrical skin eruption. It is important to make a correct diagnosis, as removal of the offending drug results in clinical resolution in most instances.
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29

Desai, Anjali, and Andrew S. Epstein. Doctors’ Prognostic Accuracy in Terminally Ill Patients (DRAFT). Edited by Nathan A. Gray and Thomas W. LeBlanc. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780190658618.003.0031.

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“Doctors’ Prognostic Accuracy in Terminally Ill Patients” reviews one of Christakis and Lamont’s landmark articles, which investigated the factors associated with prognostic accuracy (and prognostic error) in doctors’ prognoses for terminally ill patients. The article explored the extent and determinants of optimistic errors, pessimistic errors, and correct predictions among doctors who were estimating prognoses for their terminally ill patients. This chapter offers a concise breakdown of the study’s design and salient study results while also pointing out study limitations. The chapter summarizes other relevant studies exploring prognostic estimates and prognostic disclosure by physicians to terminally ill cancer patients. Finally, the chapter provides a clinical case to illustrate some of the study’s practical implications for patient care.
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30

Schofield, C. J. American trypanosomosis (Chagas disease). Oxford University Press, 2011. http://dx.doi.org/10.1093/med/9780198570028.003.0050.

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American trypanosomosis is due to infection with Trypanosoma cruzi (Protozoa, Kinetoplastidae). This is a widespread parasite of small mammals and marsupials throughout most of the Americas, roughly from the Great Lakes of North America (approx. 42 ° N) to southern Argentina (approx. 46 ° S). It is mainly transmitted by blood-sucking bugs of the subfamily Triatominae (Hemiptera, Reduviidae) which are widespread in the Americas, but rare in the Old World. Except in some research laboratories, and infected immigrants from Latin America, T.cruzi has not been reported from the Old World, although closely-related trypanosome species are commonly found in Old and New World bats.Human infection with T.cruzi is generally known as Chagas disease, taking the name of Brasilian clinician Carlos Justiniano das Chagas who first described it from patients in central Brasil (Chagas 1909). Chagas isolated and described the parasite, correctly deduced most of its life-cycle and clinical symptoms associated with the infection, identified the insect vectors and some of the reservoir hosts, and also trialed initial attempts to control it. He was nominated at least twice for the Nobel prize in medicine (Coutinho and Dias 2000; Lewinsohn 2003).Although difficult to treat, Chagas disease can be controlled by measures to halt transmission, primarily by eliminating domestic populations of the insect vectors, together with serological screening to avoid transmission by blood donation from infected donors. Since 1991, a series of multinational initiatives have used this approach to halt transmission over vast regions of the areas previously endemic for the human infection. Estimated prevalence of the human infection has declined from the 1990 estimate of 16–18 million people infected, to the current estimate of just over 7 million infected (OPS 2006; Schofield & Kabayo 2008). Prevalence is expected to decline further, and control strategies are now being adjusted to develop a sustainable system of disease surveillance, focal vector control, and specific treatment for any new cases (Schofield et al. 2006; WHO 2007). Guidance for diagnosis and treatment is also required for non-endemic countries, where recent years have seen increasing migration from Latin America such that cases of chronic Chagas disease have now been reported from amongst Latin American migrants in Europe, USA and Canada, and Japan, together with some congenital cases and transmission from infected blood donors and by organ transplant.
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31

Isett, Philip. Structure of the Book. Princeton University Press, 2017. http://dx.doi.org/10.23943/princeton/9780691174822.003.0002.

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This chapter provides an overview of the book's structure. Section 3 deals with the error terms which need to be controlled, whereas Part III explains some notation of the book and presents a basic construction of the correction. The goal is to clarify how the scheme can be used to construct Hölder continuous weak solutions—continuous in space and time—to the incompressible Euler equations that fail to conserve energy. Part IV shows how to iterate the construction of Part III to obtain continuous solutions to the Euler equations. It then discusses the concept of frequency energy levels, along with the Main Lemma. It also highlights some additional difficulties which arise as one approaches the optimal regularity and illustrates how these difficulties can be overcome. Parts V–VII verify all the estimates needed for the proof of the Main Lemma.
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32

Puntis, John. Breastfeeding. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780198759928.003.0004.

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Breastfeeding has many benefits to both mother and infant and the World Health Organization (WHO) recommends exclusive breastfeeding for the first 6 months of life. Correct positioning of the baby at the breast and social and emotional support for the mother are among other factors that are important to successful breastfeeding. The ‘Baby Friendly’ initiative sets out ten steps to successful breastfeeding and encourages maternity hospitals to implement these and become accredited. The WHO ‘International Code of Marketing of Breast Milk Substitutes’ gives clear guidance on acceptable practices to formula manufacturers so that breastfeeding is not undermined. ‘Tongue tie’ has increasingly become regarded as a cause of maternal pain and difficulty latching on during breastfeeds. However, estimates of prevalence show huge variation and there is no agreed standard method of assessment. In addition, the risks of frenotomy need to be balanced against any possible benefit.
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33

Gill, Harminder S., and Jaswinder S. Gill. Causes, diagnosis, and therapeutic strategy in bradyarrhythmias. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780199600830.003.0157.

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Bradyarrhythmias (defined as a heart rate <60 beat/min) occur frequently in the critical care setting. Most are related to underlying disease processes and the multidrug therapies administered. Because of the intense monitoring of these patients, recognition is generally easy. Examination of the ECG will allow diagnosis of the type of bradycardia based on the sinus node, atrioventricular node and the infra-Hissian conducting system. The extent of conduction system disease can be estimated and this has an influence on the prognosis. Bradycardias causing haemodynamic collapse require treatment of underlying causes, resuscitation, and administration of atropine and epinephrine. If there is no response to these then either transcutaneous pacing, or temporary transvenous pacing is necessary. This can be followed by implantation of a permanent pacing system. The outcome of correctly diagnosing and treating a bradyarrhythmia is excellent as long as the causative pathology can be stabilized.
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34

Adu Boahen, Emmanuel, and Kwadwo Opoku. Gender wage gaps in Ghana: A comparison across different selection models. 10th ed. UNU-WIDER, 2021. http://dx.doi.org/10.35188/unu-wider/2021/944-0.

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The wage of an individual is observed only when he/she is employed. However, getting employment requires two decisions. First, an individual has to decide to participate in the labour market, and second, an employer must decide to hire that individual. Since female labour market participation often differs from that of men, and employers’ decisions to hire may also be influenced by gender, it is appropriate to account for this double selection process. This study uses the latest household survey in Ghana to estimate gender wage gaps by correcting for this double selection process. We find that the average total gender wage gap is positive and significant irrespective of the sample selection correction method used. Our results indicate that women on average receive lower wages than men. Irrespective of the type of selection method used, our findings suggest that almost all the wage gap is a result of differences in returns, with only a small part coming from differences in observables. We find that the gender wage gap is smaller among formal wage employees and the gap decreases as education level increases. Although our findings indicate a similar trend in the wage gap across all specifications, the magnitude of the gap is sensitive to the choice of the model. This points to the need to be cautious about the choice of sample selection correction used to analyse gender wage gaps.
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35

Gerhart, Barry. Modeling HRM and Performance Linkages. Edited by Peter Boxall, John Purcell, and Patrick M. Wright. Oxford University Press, 2009. http://dx.doi.org/10.1093/oxfordhb/9780199547029.003.0027.

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This article focuses on methodology in the literature on human resources (HR) management and performance. Whenever a theoretical model of HR and performance is tested and estimated using empirical data, a binary decision regarding whether the model is supported (yes or no) is typically made. If support is found, it is either because the model is correct or the method is wrong (i.e. a false positive, or Type I, error of inference). If support is not found, it is either because the model is wrong or the method is wrong (i.e. a false negative, or Type II, error of inference). The article hopes to help readers to better evaluate the contribution of published research on HR and performance. Second, it hopes to help authors in preparing their work for publication and avoid problems that may otherwise lengthen the review process or adversely affect the publication decision.
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36

Buchaklian, Adam H., and David P. Dimmock. Citrin Deficiency. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780199972135.003.0018.

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Citrin deficiency is an inborn error of metabolism that appears to affect both the urea cycle and energy generation. Worldwide, citrin deficiency is likely one of the commonest inborn errors of metabolism, 60,000–80,000 individuals are estimated to have citrin deficiency in China alone. Children typically present with an abnormal newborn screen or neonatal intrahepatic cholestasis with citrin deficiency (NICCD). Adults typically present clinically with neuropsychiatric symptoms, hepatic dysfunction and hyperammonemia. As plasma amino acids typically show an elevated citrulline at the time of crisis, this presentation is known as citrullinemia type II (CTLN2). Without therapy, cases may progress to liver failure. Individuals may also suffer recurrent pancreatitis. In contrast to other urea cycle defects, the treatment for citrin deficiency requires a high protein, low carbohydrate diet. Acute hyperammonemia responds to arginine therapy. Sodium pyruvate has been reported to provide benefit. In addition many cases will require restriction of galactose. Liver transplant fully corrects the CTLN2 phenotype.
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37

Sen, Mrinal K. Seismic Inversion. Society of Petroleum EngineersRichardson, Texas, USA, 2006. http://dx.doi.org/10.2118/9781555631109.

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Seismic inversion is now commonly used on post-stack and pre-stack seismic data for estimating rock properties used in reservoir characterization. While seismic migration is aimed at imaging the reflectors or the interfaces at their correct subsurface locations, seismic inversion attempts to estimate elastic and flow properties of the layers bounded by these interfaces. Seismic data are sensitive essentially to seismic wave velocity and density contrasts in the subsurface rocks. Because of significant overlap in elastic properties among different rock types, mapping of these elastic properties to rock types and estimating porosity are not trivial. Thus, seismic inversion is best done by combining data of all types such as seismic, well log, petrophysics and production history. The results of seismic inversion can be best interpreted by a team of geologists, geophysicists and reservoir engineers. The goal of this book is to explain the fundamental principles of seismic exploration, seismic wave propagation, and inversion in a language that is understandable by geoscientists and engineers alike so that the team is aware of the significance and limitations of the inversion results.
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38

Prior, Thomas. A List of the Absentees of Ireland. And an Estimate of the Yearly Value of Their Estates and Incomes Spent Abroad. With Observations on the Trade and ... Corrected. To Which is Added an Appendix. Gale Ecco, Print Editions, 2018.

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39

Sabat, Steven R. Alzheimer's Disease and Dementia. Oxford University Press, 2018. http://dx.doi.org/10.1093/wentk/9780190603106.001.0001.

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Alzheimer’s is swiftly on the rise: it is estimated that every 67 seconds, someone develops the disease. For many, the words ‘Alzheimer’s disease’ or ‘dementia’ immediately denote severe mental loss and, perhaps, madness. Indeed, the vast majority of media coverage of Alzheimer’s disease (AD) and other types of dementia focuses primarily on the losses experienced by people diagnosed and the terrible burden felt by care partners yearning for a "magic bullet" drug cure. Providing an accessible, question-and-answer-format primer on what touches so many lives, and yet so few of us understand, Alzheimer’s Disease and Dementia: What Everyone Needs to Know® contributes what is urgently missing from public knowledge: unsparing investigation of their causes and manifestations, and focus on the strengths possessed by people diagnosed. Steven R. Sabat mines a large body of research to convey the genetic and biological aspects of Alzheimer’s disease, its clinical history, and, most significantly, to reveal the subjective experience of those with Alzheimer’s or dementia. By clarifying the terms surrounding dementia and Alzheimer’s, which are two distinct conditions, Sabat corrects dangerous misconceptions that plague our understanding of memory dysfunction. People diagnosed with AD retain awareness, thinking ability, and sense of self; crucially, Sabat demonstrates that there are ways to facilitate communication even when the person with AD has great difficulty finding the words he or she wants to use. From years spent exploring and observing the points of view and experiences of people diagnosed, Sabat strives to inform as well as to remind readers of the respect and empathy owed to those diagnosed and living with dementia. Alzheimer’s Disease and Dementia conveys this type of information and more, which, when applied by family and professional caregivers, will help improve the quality of life of those diagnosed as well as of those who provide support and care.
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40

Andruchow, Marcela, ed. Colección de obras de la Facultad de Artes. Papel Cosido, 2020. http://dx.doi.org/10.35537/10915/120423.

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Анотація:
El presente catálogo y los ensayos críticos que lo acompañan son resultado del trabajo de investigación de un grupo de docentes y estudiantes avanzados, integrantes del Instituto del Historia de Arte Argentino y Americano (IHAAA), de la Facultad de Bellas Artes de la Universidad Nacional de La Plata. La investigación básica que da cuerpo a los textos y fichas de artistas presentados se enmarcó en dos proyectos de investigación del Programa de Incentivos a docentes investigadores de las Universidades Nacionales del Ministerio de Educación de la Nación. Dichos proyectos se desarrollaron durante los años 2015 al 2018 y tuvieron como objetivo general poner en valor la colección de arte que posee la Facultad, generando conocimientos para su valoración historiográfica y propuestas para su conservación, en tanto bienes culturales. Las obras de la colección de la Facultad de Bellas Artes están estimadas como bienes culturales de la institución y en tanto tal, destinatarias de acciones de valoración, preservación y comunicación de ese patrimonio. La excepcionalidad de su existencia física y su apariencia estética se descubre plenamente cuando se produce su más correcta interpretación y estimación dentro de su contexto o entorno integrado. Por ello la investigación de estos bienes resulta indispensable. La obra de arte puede calibrarse adecuadamente solo mediante enfoques históricos debidamente encauzados. De modo que su estudio documental, técnico, científico e histórico se impone para alcanzar su mayor conocimiento, interpretación, valoración y comunicación sociocultural. Para alcanzar ese objetivo, confluyeron en esta investigación los aportes de la museología y de la historia del arte. La museología contribuye con una metodología conveniente, criterios y planteamientos rigurosos y constatados. Dentro de lo que se refiere a la catalogación, esta operación necesaria posibilita las acciones de identificación, reconocimiento y registro de la información asociada al objeto. Aplicar una metodología rigurosa forma parte de los compromisos internos que los conservadores de museos despliegan ante la propia colección. Investigar y conocer científicamente las obras permite catalogarlas con precisión y difundirlas con seguridad y garantía. El estudio de las obras exige inicialmente un abordaje material y técnico que a partir de su objetualidad y la investigación preliminar proporciona información para determinar sus aspectos técnicos, conceptuales, iconográficos, etc. Esta primera etapa de aproximación a los bienes interesa para lograr la documentación de los objetos. Precisamente, el objetivo de la documentación es recuperar información. Al documentar (a través de técnicas llamadas documentales tales como coleccionar, ordenar, clasificar, seleccionar, recuperar y difundir) se hace accesible el contenido de las fuentes de conocimiento. Como conjunto, la documentación, incluye una serie de documentos, empezando en los propios fondos o patrimonio del museo y todo lo que se genera en torno a ellos. Es un proceso que afecta al tratamiento documental de las etapas de la vida de los fondos en los museos. En tanto conjunto y proceso la documentación no es algo fragmentable y se estructura como un sistema. En una segunda etapa los aportes de la historia del arte permiten orientan en la investigación de las obras para conocerlas en el ámbito de su especialidad. A partir de ello se produce conocimiento específico para la confección de catálogos y textos críticos sobre los fondos. En ese sentido la historia del arte puede desempeñar un rol fundamental en la puesta en valor de los bienes patrimoniales y en la transferencia de conocimientos para el beneficio social. Desarrollando la necesaria e importante relación entre los resultados de sus investigaciones y las formas y posibilidades de conservación de los bienes culturales, generando un conocimiento construido para el reconocimiento de un patrimonio compartido. De modo que, para la integral y completa valoración de los bienes que lo componen es relevante la investigación que realiza la historia del arte de los distintos materiales, técnicas, oficios y trabajos condensados en la obra de arte y relacionados con sus contextos de producción y sentido social. La indagación y caracterización formal, compositiva y estilística de las obras complementa los estudios históricos y permite completar la información acerca de las obras. En tanto documento histórico la obra de arte es un bien elocuente del que pueden extraerse numerosas y complementarias informaciones sobre la época a la que pertenece, la concepción del arte en esa fase de la historia; las relaciones sociales que dan emergencia a ese tipo particular de producción artística; el rol y posición del artista o colectivo que produjo la obra; la organización del trabajo de taller, los materiales de elaboración y su estado tecnológico; la circulación de significados y sentidos simbólicos que la atraviesan; las funciones pedagógicas que desplegaron las obras en su rol social, etc. Pero también el estudio a partir del abordaje de la historia del arte permite avanzar sobre el conocimiento de los acontecimientos que han acompañado a la propia obra de arte desde su producción hasta su presente como bien patrimonial de valor artístico. Haciendo evidente los cambios en los sentidos simbólicos del arte y cómo las creencias, las normativas y los usos modifican a los bienes artísticos con el paso del tiempo. Particularmente las obras de arte, dentro del conjunto de bienes culturales adquieren una peculiar relevancia debido a su doble naturaleza. Por un lado, son “documento histórico” al igual que cualquier otro patrimonio cultural de la sociedad, pero por otro lado se puede hablar del valor estético o el efecto estético que deviene de su condición de ser un objeto artístico. El estudio de la colección que concluyó en este catálogo se abocó inicialmente a obtener información básica y a realizar su registro y fichaje. Esta primera etapa de la investigación, permitió luego consolidar un conocimiento histórico artístico sobre las obras, a profundizarlo en el marco de la espacialidad de la historia del arte y a valorarlo desde una perspectiva historiográfica.
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