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<title>FIU Digital Commons</title>
<copyright>Copyright (c) 2013 Florida International University All rights reserved.</copyright>
<link>http://digitalcommons.fiu.edu</link>
<description>Recent documents in FIU Digital Commons</description>
<language>en-us</language>
<lastBuildDate>Sat, 25 May 2013 01:32:24 PDT</lastBuildDate>
<ttl>3600</ttl>


	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	

	
		
	




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<title>Blessed are the Peacemakers: Transnational Alliance, Protective Accompaniment and the Presbyterian Church of Colombia</title>
<link>http://digitalcommons.fiu.edu/etd/885</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/etd/885</guid>
<pubDate>Fri, 24 May 2013 07:36:45 PDT</pubDate>
<description>
	<![CDATA[
	<p>The purpose of this thesis was to explore how Christian networks enable strategies of transnational alliance, whereby groups in different nations strive to strengthen one another’s leverage and credibility in order to resolve conflicts and elaborate new possibilities. This research does so by analyzing the case of the Presbyterian Church of Colombia (IPC). The project examines the historical development of the IPC from the initial missionary period of the 1850s until the present. Specifically, the purpose of the study was to consider how the historical struggle to articulate autonomy and equality vis-à-vis the U.S. Presbyterians (PCUSA) and paternalist models of ecclesial relations has affected recent political strategies pursued by the IPC.</p>
<p>Despite the paternalism of the early missionary model, changing conceptions of social transformation during the 60s contributed to a shift in relations. Over time the IPC and PCUSA negotiated relationships in which groups both acknowledge a problematic history and insist upon an ethnic of partnership and respect. Today, PCUSA groups, in concert with the IPC, collaborate on a range of transnational political strategies aimed at strengthening the IPC’s leverage in local struggles for justice and peace.</p>
<p>A review of this case suggests that long-established Christian networks may have an advantage over other civil society groups such as NGOs in facilitating strategies of transnational alliance. Although civil society organizations often have better access to important resources needed for international advocacy initiatives, Christian networks, such as the one established between the IPC and U.S. Presbyterian communities, rely on a history of negotiating power-disparity in order to elaborate relationships based on listening and partnership. Such findings prove important not only to how we conceptualize transnational alliance but also to the ways that we think about the history and future of Christian networks.</p>

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</description>

<author>Michael C. Brasher</author>


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<title>A Map Through Time – Virtual Historic Cities: New Ways of Exploring Digital Collections</title>
<link>http://digitalcommons.fiu.edu/glworks/6</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/glworks/6</guid>
<pubDate>Thu, 23 May 2013 14:05:29 PDT</pubDate>
<description>
	<![CDATA[
	<p>Presentation made by Jamie Rogers and John Nemmers at the Society of Florida Archivists annual meeting in Tallahassee, Florida. Jamie Rogers presented the "Coral Gables - Virtual Historic City" project at Florida International University. John Nemmers presented the "Unearthing St. Augustine’s Colonial Heritage" project at the University of Florida</p>

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<author>Jamie Rogers et al.</author>


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<title>Developing an enhanced model for combined heat and air infiltration energy simulation</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554232</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554232</guid>
<pubDate>Wed, 22 May 2013 15:31:19 PDT</pubDate>
<description>
	<![CDATA[
	<p> The need for efficient, sustainable, and planned utilization of resources is ever more critical. In the U.S. alone, buildings consume 34.8 Quadrillion (10<sup>15</sup>) BTU of energy annually at a cost of $1.4 Trillion. Of this energy 58% is utilized for heating and air conditioning.  ^   Several building energy analysis tools have been developed to assess energy demands and lifecycle energy costs in buildings. Such analyses are also essential for an efficient HVAC design that overcomes the pitfalls of an under/over-designed system. DOE-2 is among the most widely known full building energy analysis models. It also constitutes the simulation engine of other prominent software such as eQUEST, EnergyPro, PowerDOE. Therefore, it is essential that DOE-2 energy simulations be characterized by high accuracy.  ^   Infiltration is an uncontrolled process through which outside air leaks into a building. Studies have estimated infiltration to account for up to 50% of a building's energy demand. This, considered alongside the annual cost of buildings energy consumption, reveals the costs of air infiltration. It also stresses the need that prominent building energy simulation engines accurately account for its impact.  ^   In this research the relative accuracy of current air infiltration calculation methods is evaluated against an intricate Multiphysics Hygrothermal CFD building envelope analysis. The full-scale CFD analysis is based on a meticulous representation of cracking in building envelopes and on real-life conditions. The research found that even the most advanced current infiltration methods, including in DOE-2, are at up to 96.13% relative error versus CFD analysis.  ^   An Enhanced Model for Combined Heat and Air Infiltration Simulation was developed. The model resulted in 91.6% improvement in relative accuracy over current models. It reduces error versus CFD analysis to less than 4.5% while requiring less than 1% of the time required for such a complex hygrothermal analysis. The algorithm used in our model was demonstrated to be easy to integrate into DOE-2 and other engines as a standalone method for evaluating infiltration heat loads. This will vastly increase the accuracy of such simulation engines while maintaining their speed and ease of use characteristics that make them very widely used in building design.^</p>

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</description>

<author>Chadi Younes</author>


<category>Engineering, Civil</category>

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<title>In vivo characterization of epileptic tissue with optical spectroscopy</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554230</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554230</guid>
<pubDate>Wed, 22 May 2013 15:31:18 PDT</pubDate>
<description>
	<![CDATA[
	<p> For children with intractable seizures, surgical removal of epileptic foci, if identifiable and feasible, can be an effective way to reduce or eliminate seizures. The success of this type of surgery strongly hinges upon the ability to identify and demarcate those epileptic foci. The ultimate goal of this research project is to develop an effective technology for detection of unique <i> in vivo</i> pathophysiological characteristics of epileptic cortex and, subsequently, to use this technology to guide epilepsy surgery intraoperatively. In this PhD dissertation the feasibility of using optical spectroscopy to identify unique<i>in vivo</i> pathophysiological characteristics of epileptic cortex was evaluated and proven using the data collected from children undergoing epilepsy surgery.  ^   In this first <i>in vivo</i> human study, static diffuse reflectance and fluorescence spectra were measured from the epileptic cortex, defined by intraoperative ECoG, and its surrounding tissue from pediatric patients undergoing epilepsy surgery. When feasible, biopsy samples were taken from the investigated sites for the subsequent histological analysis. Using the histological data as the gold standard, spectral data was analyzed with statistical tools. The results of the analysis show that static diffuse reflectance spectroscopy and its combination with static fluorescence spectroscopy can be used to effectively differentiate between epileptic cortex with histopathological abnormalities and normal cortex <i>in vivo</i> with a high degree of accuracy.  ^   To maximize the efficiency of optical spectroscopy in detecting and localizing epileptic cortex intraoperatively, the static system was upgraded to investigate histopathological abnormalities deep within the epileptic cortex, as well as to detect unique temporal pathophysiological characteristics of epileptic cortex. Detection of deep abnormalities within the epileptic cortex prompted a redesign of the fiberoptic probe. A mechanical probe holder was also designed and constructed to maintain the probe contact pressure and contact point during the time dependent measurements. The dynamic diffuse reflectance spectroscopy system was used to characterize <i>in vivo</i> pediatric epileptic cortex. The results of the study show that some unique wavelength dependent temporal characteristics (e.g., multiple horizontal bands in the correlation coefficient map γ(λ<sub>ref</sub> = 800 nm, λ<sub>comp </sub>,t)) can be found in the time dependent recordings of diffuse reflectance spectra from epileptic cortex defined by ECoG.^</p>

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<author>Nitin Yadav</author>


<category>Engineering, Biomedical</category>

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<title>Angular distribution of prompt photons using the compact muon solenoid detector at    S  = 7 TeV</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554227</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554227</guid>
<pubDate>Wed, 22 May 2013 15:31:17 PDT</pubDate>
<description>
	<![CDATA[
	<p>The study of the angular distribution of photon plus jet events in <i> pp</i> collisions at   S  = 7 TeV with the Compact Muon Solenoid (CMS) detector is presented. The photon is restricted to the central region of the detector (:η: <1.4442) while the jet is allowed to be present in both central and forward regions of CMS (:η: < 2.4). Dominant backgrounds due to jets fragmenting into neutral mesons are accounted for through the use of a template method that discriminates between signal and background. The angular distribution, :η*:, is defined as the absolute value of the difference in η between the leading photon and leading jet in an event divided by two. The angular distribution ranging from 0–1.4 was examined and compared with next-to-leading order QCD predictions and was found to be in good agreement.^</p>

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</description>

<author>Vanessa Gaultney Werner</author>


<category>Physics, Elementary Particles and High Energy</category>

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<title>Asymmetric syntheses of analogs of kainic acid</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554223</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554223</guid>
<pubDate>Wed, 22 May 2013 15:31:16 PDT</pubDate>
<description>
	<![CDATA[
	<p> Kainic acid has been used for nearly 50 years as a tool in neuroscience due to its pronounced neuroexcitatory properties. However, the significant price increase of kainic acid resulting from the disruption in the supply from its natural source, the alga <i>Digenea Simplex,</i> as well as inefficient synthesis of kainic acid, call for the exploration of functional mimics of kainic acid that can be synthesized in a simpler way.  ^   Aza kainoids analog could be one of them. The unsubstituted aza analog of kainoids has demonstrates its ability as an ionotropic glutamate receptor agonist and showed affinity in the chloride dependent glutamate (GluCl) binding site. This opened a question of the importance of the presence of one nitrogen or both nitrogens in the aza kainoid analogs for binding to glutamate receptors. Therefore, two different pyrrolidine analogs of kainic acid, <i>trans </i>-4-(carboxymethyl)pyrrolidine-3-carboxylic acid and <i>trans </i>-2-carboxy-3-pyrrolidineacetic acid, were synthesized through multi-step sequences. The lack of the affinity of both pyrrolidine analogs in GluCl binding site indicated that both nitrogens in aza kainoid analogs are involved in hydrogen bonding with receptors, significantly enhancing their affinity in GluCl binding site.  ^   Another potential functional mimic of kainic acid is isoxazolidine analogs of kainoids whose skeleton can be constituted directly via a 1, 3 dipolar cycloaddition as the key step. The difficulty in synthesizing N-unsubstituted isoxazolidines when applying such common protecting groups as alkyl, phenyl and benzyl groups, and the requirement of a desired enantioselectivity due to the three chiral ceneters in kainic acid, pose great challenges. Hence, several different protected nitrones were studied to establish that diphenylmethine nitrone may be a good candidate as the dipole in that the generated isoxazolidines can be deprotected in mild conditions with high yields. Our investigations also indicated that the exo/endo selectivity of the 1, 3 dipolar cycloaddition can be controlled by Lewis acids, and that the application of a directing group in dipolarophiles can accomplish a satisfied enantioselectivity. Those results demonstrated the synthesis of isoxazoldines analogs of kainic acid is very promising.^</p>

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</description>

<author>Wentian Wang</author>


<category>Chemistry, General|Chemistry, Organic</category>

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<title>The impact of social comparison processes on hoped-for possible selves, self-regulatory processes, and mental health outcomes in young adults</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554222</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554222</guid>
<pubDate>Wed, 22 May 2013 15:31:15 PDT</pubDate>
<description>
	<![CDATA[
	<p> In exploring the role of social influences in the development of the self, the current study evaluated whether young adults use social comparisons in developing their hoped-for possible selves and, if so, whether their developmental process correlates with self-regulatory processes and positive mental health outcomes. The current study found the following: (1) the domains of hoped-for possible selves among young adults were related to the gender of the social comparison target, (2) the direction of young adults' social comparison processes (upward or downward) did not significantly influence self-regulatory processes (self-efficacy and outcome expectancy) toward achieving their hoped-for possible selves, (3) strong masculine gender identification related to greater outcome expectancy, while strong feminine gender identification related to both greater self-efficacy and outcome expectancy, and (4) self-efficacy related to less state anxiety, trait anxiety, and depression, while outcome expectancy related only to less trait anxiety. Males and females were found to use traditional gender role identification in forming their hoped-for possible selves.^</p>

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</description>

<author>Rebecca Ann Wang</author>


<category>Psychology, Social|Psychology, Developmental|Psychology, General</category>

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<title>Perceptions of character education in a Seventh-day Adventist school</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554221</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554221</guid>
<pubDate>Wed, 22 May 2013 15:31:14 PDT</pubDate>
<description>
	<![CDATA[
	<p> Character education has been viewed by many educators as having significant historical, academic, and social value. Many stakeholders in education argue for character development as a curricular experience. While understanding the degree to which character education is of worth to stakeholders of institutions is important, understanding students, teachers, and administrators perspectives from their lived experiences is likewise significant.^   The purpose of this phenomenological study was to gain a deeper understanding of character education within a Biblical framework environment by examining the lived experiences of students, administrators, and teachers of a Seventh-day Adventist School. Phenomenology describes individuals' daily experiences of phenomena, the manner in which these experiences are structured, and focuses analysis on the perspectives of the persons having the experience (Moustakas, 1994). This inquiry was undertaken to answer the question: What are the perceptions of students, teachers, and an administrator toward character education in a Seventh-day Adventist school setting?^   Ten participants (seven students and three adults) formed the homogeneous purposive sample, and the major data collection tool was semi-structured interviews (Patton, 1990; Seidman, 2006). Three 90-minute open-ended interviews were conducted with each of the participants. Data analysis included a three-phase process of description, reduction and interpretation.^   The findings from this study revealed that participants perceived that their involvement in the school's character education program decreased the tendency to violence, improved their conduct and ethical sensibility, enhanced their ability to engage in decision-making concerning social relationships and their impact on others, brought to their attention the emerging global awareness of moral deficiency, and fostered incremental progress from practice and recognition of vices to their acquisition of virtues. The findings, therefore, provide a model for teaching character education from a Seventh-day Adventist perspective. The model is also relevant for non-Seventh day Adventists who aspire to teach character education as a means to improving social and moral conditions in schools.^</p>

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<author>Marva Elaine Tyrell</author>


<category>Education, Religious|Education, Curriculum and Instruction</category>

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<title>Interoperable resource brokering with policy-based provisioning and job allocation</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554220</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554220</guid>
<pubDate>Wed, 22 May 2013 15:31:14 PDT</pubDate>
<description>
	<![CDATA[
	<p> The increasing needs for computational power in areas such as weather simulation, genomics or Internet applications have led to sharing of geographically distributed and heterogeneous resources from commercial data centers and scientific institutions. Research in the areas of utility, grid and cloud computing, together with improvements in network and hardware virtualization has resulted in methods to locate and use resources to rapidly provision virtual environments in a flexible manner, while lowering costs for consumers and providers. ^   However, there is still a lack of methodologies to enable efficient and seamless sharing of resources among institutions. In this work, we concentrate in the problem of executing parallel scientific applications across distributed resources belonging to separate organizations. Our approach can be divided in three main points. First, we define and implement an interoperable grid protocol to distribute job workloads among partners with different middleware and execution resources. Second, we research and implement different policies for virtual resource provisioning and job-to-resource allocation, taking advantage of their cooperation to improve execution cost and performance. Third, we explore the consequences of on-demand provisioning and allocation in the problem of site-selection for the execution of parallel workloads, and propose new strategies to reduce job slowdown and overall cost.^</p>

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<author>David Villegas</author>


<category>Computer Science</category>

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<title>Evaluation of the evidential value of the elemental composition of glass, ink and paper by laser-based microspectrochemical methods</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554219</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554219</guid>
<pubDate>Wed, 22 May 2013 15:31:13 PDT</pubDate>
<description>
	<![CDATA[
	<p> Elemental analysis can become an important piece of evidence to assist the solution of a case. The work presented in this dissertation aims to evaluate the evidential value of the elemental composition of three particular matrices: ink, paper and glass.  ^   In the first part of this study, the analytical performance of LIBS and LA-ICP-MS methods was evaluated for paper, writing inks and printing inks. A total of 350 ink specimens were examined including black and blue gel inks, ballpoint inks, inkjets and toners originating from several manufacturing sources and/or batches. The paper collection set consisted of over 200 paper specimens originating from 20 different paper sources produced by 10 different plants.  ^   Micro-homogeneity studies show smaller variation of elemental compositions within a single source (i.e., sheet, pen or cartridge) than the observed variation between different sources (i.e., brands, types, batches). Significant and detectable differences in the elemental profile of the inks and paper were observed between samples originating from different sources (discrimination of 87–100% of samples, depending on the sample set under investigation and the method applied). These results support the use of elemental analysis, using LA-ICP-MS and LIBS, for the examination of documents and provide additional discrimination to the currently used techniques in document examination.  ^   In the second part of this study, a direct comparison between four analytical methods (µ-XRF, solution-ICP-MS, LA-ICP-MS and LIBS) was conducted for glass analyses using interlaboratory studies. The data provided by 21 participants were used to assess the performance of the analytical methods in associating glass samples from the same source and differentiating different sources, as well as the use of different match criteria (confidence interval (±6s, ±5s, ±4s, ±3s, ±2s), modified confidence interval, t-test (sequential univariate, p=0.05 and p=0.01), t-test with Bonferroni correction (for multivariate comparisons), range overlap, and Hotelling's T<sup>2</sup> tests. Error rates (Type 1 and Type 2) are reported for the use of each of these match criteria and depend on the heterogeneity of the glass sources, the repeatability between analytical measurements, and the number of elements that were measured. The study provided recommendations for analytical performance-based parameters for µ-XRF and LA-ICP-MS as well as the best performing match criteria for both analytical techniques, which can be applied now by forensic glass examiners.^</p>

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</description>

<author>Tatiana Trejos</author>


<category>Chemistry, General|Chemistry, Analytical</category>

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<title>Test of a smock system on CPR primary emergency measures and medical errors during simulated emergencies</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554217</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554217</guid>
<pubDate>Wed, 22 May 2013 15:31:12 PDT</pubDate>
<description>
	<![CDATA[
	<p> Rates of survival of victims of sudden cardiac arrest (SCA) using cardio pulmonary resuscitation (CPR) have shown little improvement over the past three decades. Since registered nurses (RNs) comprise the largest group of healthcare providers in U.S. hospitals, it is essential that they are competent in performing the four primary measures (compression, ventilation, medication administration, and defibrillation) of CPR in order to improve survival rates of SCA patients. The purpose of this experimental study was to test a color-coded SMOCK system on: 1) time to implement emergency patient care measures 2) technical skills performance 3) number of medical errors, and 4) team performance during simulated CPR exercises. The study sample was 260 RNs (M 40 years, SD=11.6) with work experience as an RN (M 7.25 years, SD=9.42).Nurses were allocated to a control or intervention arm consisting of 20 groups of 5-8 RNs per arm for a total of 130 RNs in each arm. Nurses in each study arm were given clinical scenarios requiring emergency CPR. Nurses in the intervention group wore different color labeled aprons (smocks) indicating their role assignment (medications, ventilation, compression, defibrillation, etc) on the code team during CPR. Findings indicated that the intervention using color-labeled smocks for pre-assigned roles had a significant effect on the time nurses started compressions (t=3.03, p=0.005), ventilations (t=2.86, p=0.004) and defibrillations (t=2.00, p=.05) when compared to the controls using the standard of care. In performing technical skills, nurses in the intervention groups performed compressions and ventilations significantly better than those in the control groups. The control groups made significantly (t=-2.61, p=0.013) more total errors (7.55 SD 1.54) than the intervention group (5.60, SD 1.90). There were no significant differences in team performance measures between the groups. Study findings indicate use of colored labeled smocks during CPR emergencies resulted in: shorter times to start emergency CPR; reduced errors; more technical skills completed successfully; and no differences in team performance.^</p>

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<author>Ruth Thomas</author>


<category>Health Sciences, Nursing</category>

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<title>Ethnic identification: Impact on HIV/AIDS risk among migrant and seasonal workers in South Florida</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554213</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554213</guid>
<pubDate>Wed, 22 May 2013 15:31:11 PDT</pubDate>
<description>
	<![CDATA[
	<p> Migrant workers are one of the most rapidly growing populations in the United States (U.S.) and have been significantly affected by HIV/AIDS. More than 9 million people in the U.S., primarily concentrated in Texas, Florida, Washington, California, Oregon, and North Carolina, are migrant farm workers. High prevalence rates are also suspected among migrant worker communities where risky health behaviors appear to be common. Constant mobility, isolation, limited education, substandard housing, and poverty are some of the factors that migrant workers experience and in many cases increases their HIV risk. Recent studies have suggested that ethnic identity or the level of attachment with one's ethnic group may influence engagement in HIV risk behaviors, a fact that may be important in the development of interventions among ethnic minorities. This study assesses the relationship between ethnic identity and HIV risk behaviors in two different samples; one assesses this relationship at baseline with a total of 431 African American migrant and seasonal workers in Immokalee, Florida. The second analyzes changes in ethnic identity and HIV behaviors in a sample of 270 Hispanic and African American migrant and seasonal workers in Immokalee, Florida. Data from baseline and 6-month follow-up were used in the analyses presented. The results suggest that individuals with higher levels of ethnic identity report lower levels of engagement in some, but not all, of the risky behaviors examined. These findings point to a potentially protective role for ethnic identity among this sample.^</p>

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</description>

<author>Nancy Shehadeh</author>


<category>Health Sciences, Public Health</category>

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<title>Geographic provenancing of unprocessed cotton using elemental analysis and stable isotope ratios</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554211</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554211</guid>
<pubDate>Wed, 22 May 2013 15:31:10 PDT</pubDate>
<description>
	<![CDATA[
	<p> Cotton is the most abundant natural fiber in the world. Many countries are involved in the growing, importation, exportation and production of this commodity. Paper documentation claiming geographic origin is the current method employed at U.S. ports for identifying cotton sources and enforcing tariffs. Because customs documentation can be easily falsified, it is necessary to develop a robust method for authenticating or refuting the source of the cotton commodities. This work presents, for the first time, a comprehensive approach to the chemical characterization of unprocessed cotton in order to provide an independent tool to establish geographic origin. Elemental and stable isotope ratio analysis of unprocessed cotton provides a means to increase the ability to distinguish cotton in addition to any physical and morphological examinations that could be, and are currently performed. Elemental analysis has been conducted using LA-ICP-MS, LA-ICP-OES and LIBS in order to offer a direct comparison of the analytical performance of each technique and determine the utility of each technique for this purpose. Multivariate predictive modeling approaches are used to determine the potential of elemental and stable isotopic information to aide in the geographic provenancing of unprocessed cotton of both domestic and foreign origin. These approaches assess the stability of the profiles to temporal and spatial variation to determine the feasibility of this application. ^   This dissertation also evaluates plasma conditions and ablation processes so as to improve the quality of analytical measurements made using atomic emission spectroscopy techniques. These interactions, in LIBS particularly, are assessed to determine any potential simplification of the instrumental design and method development phases. This is accomplished through the analysis of several matrices representing different physical substrates to determine the potential of adopting universal LIBS parameters for 532 nm and 1064 nm LIBS for some important operating parameters. A novel approach to evaluate both ablation processes and plasma conditions using a single measurement was developed and utilized to determine the "useful ablation efficiency" for different materials. The work presented here demonstrates the potential for an <i> a priori</i> prediction of some probable laser parameters important in analytical LIBS measurement.^</p>

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</description>

<author>Emily Rose Schenk</author>


<category>Chemistry, General|Chemistry, Analytical|Geochemistry</category>

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<title>Design optimization of modern machine drive systems for maximum fault tolerant and optimal operation</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554210</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554210</guid>
<pubDate>Wed, 22 May 2013 15:31:10 PDT</pubDate>
<description>
	<![CDATA[
	<p> Modern electric machine drives, particularly three phase permanent magnet machine drive systems represent an indispensable part of high power density products. Such products include; hybrid electric vehicles, large propulsion systems, and automation products. Reliability and cost of these products are directly related to the reliability and cost of these systems. The compatibility of the electric machine and its drive system for optimal cost and operation has been a large challenge in industrial applications. The main objective of this dissertation is to find a design and control scheme for the best compromise between the reliability and optimality of the electric machine-drive system. The effort presented here is motivated by the need to find new techniques to connect the design and control of electric machines and drive systems.  ^   A highly accurate and computationally efficient modeling process was developed to monitor the magnetic, thermal, and electrical aspects of the electric machine in its operational environments. The modeling process was also utilized in the design process in form finite element based optimization process. It was also used in hardware in the loop finite element based optimization process. The modeling process was later employed in the design of a very accurate and highly efficient physics-based customized observers that are required for the fault diagnosis as well the sensorless rotor position estimation. Two test setups with different ratings and topologies were numerically and experimentally tested to verify the effectiveness of the proposed techniques.  ^   The modeling process was also employed in the real-time demagnetization control of the machine. Various real-time scenarios were successfully verified. It was shown that this process gives the potential to optimally redefine the assumptions in sizing the permanent magnets of the machine and DC bus voltage of the drive for the worst operating conditions.  ^   The mathematical development and stability criteria of the physics-based modeling of the machine, design optimization, and the physics-based fault diagnosis and the physics-based sensorless technique are described in detail.  ^   To investigate the performance of the developed design test-bed, software and hardware setups were constructed first. Several topologies of the permanent magnet machine were optimized inside the optimization test-bed. To investigate the performance of the developed sensorless control, a test-bed including a 0.25 (kW) surface mounted permanent magnet synchronous machine example was created. The verification of the proposed technique in a range from medium to very low speed, effectively show the intelligent design capability of the proposed system. Additionally, to investigate the performance of the developed fault diagnosis system, a test-bed including a 0.8 (kW) surface mounted permanent magnet synchronous machine example with trapezoidal back electromotive force was created. The results verify the use of the proposed technique under dynamic eccentricity, DC bus voltage variations, and harmonic loading condition make the system an ideal case for propulsion systems.^</p>

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</description>

<author>Ali Sarikhani</author>


<category>Engineering, Electronics and Electrical</category>

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<title>Time orientation in organizations: Polychronicity and multitasking</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554209</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554209</guid>
<pubDate>Wed, 22 May 2013 15:31:09 PDT</pubDate>
<description>
	<![CDATA[
	<p> This dissertation consists of four studies examining two constructs related to time orientation in organizations: polychronicity and multitasking. The first study investigates the internal structure of polychronicity and its external correlates in a sample of undergraduate students (N = 732). Results converge to support a one-factor model and finds measures of polychronicity to be significantly related to extraversion, agreeableness, and openness to experience. The second study quantitatively reviews the existing research examining the relationship between polychronicity and the Big Five factors of personality. Results reveal a significant relationship between extraversion and openness to experience across studies. Studies three and four examine the usefulness of multitasking ability in the prediction of work related criteria using two organizational samples (N = 175 and 119, respectively). Multitasking ability demonstrated predictive validity, however the incremental validity over that of traditional predictors (i.e., cognitive ability and the Big Five factors of personality) was minimal. The relationships between multitasking ability, polychronicity, and other individual differences were also investigated. Polychronicity and multitasking ability proved to be distinct constructs demonstrating differential relationships with cognitive ability, personality, and performance. Results provided support for multitasking performance as a mediator in the relationship between multitasking ability and overall job performance. Additionally, polychronicity moderated the relationship between multitasking ability and both ratings of multitasking performance and overall job performance in Study four. Clarification of the factor structure of polychronicity and its correlates will facilitate future research in the time orientation literature. Results from two organizational samples point to work related measures of multitasking ability as a worthwhile tool for predicting the performance of job applicants.^</p>

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</description>

<author>Kristin Ruth Sanderson</author>


<category>Psychology, General|Psychology, Industrial|Psychology, Personality</category>

</item>




<item>
<title>A comparison study of the English III/American Literature success of African American high school students and that of students whose home language is Haitian Creole</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554208</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554208</guid>
<pubDate>Wed, 22 May 2013 15:31:08 PDT</pubDate>
<description>
	<![CDATA[
	<p> The purpose of the study was to compare the English III success of students whose home language is Haitian Creole (SWHLIHC) with that of the more visible African American high school students in the Miami Dade County Public Schools System, in an effort to offer insight that might assist educators in facilitating the educational success of SWHLIHC in American Literature class.^   The study was guided by two important theories on how students interact with and learn from literature. They are Reader Response Theory which advocates giving students the opportunity to become involved in the literature experience (Rosenblatt, 1995), and Critical Literacy, a theory developed by Paolo Freire and Henry Giroux, which espouses a critical approach to analysis of society that enables people to analyze social problems through lenses that would reveal social inequities and assist in transforming society into a more equitable entity.^   Data for the study: 10th grade reading FCAT scores, English III/American Literature grades, and Promotion to English IV records for the school year 2010-2011 were retrieved from the records division of the Miami Dade County Public Schools System. The study used a quantitative methods approach, the central feature of which was an ex post facto design with hypotheses (Newman, Newman, Brown, & McNeely, 2006). The ex post facto design with hypotheses was chosen because the researcher postulated hypotheses about the relationships that might exist between the performances of SWHLIHC and those of African American students on the three above mentioned variables. This type of design supported the researcher's purpose of comparing these performances.^   One way analysis of variance (ANOVA), two way ANOVAs, and chi square tests were used to examine the two groups' performances on the 10th grade reading FCAT, their English III grades, and their promotion to English IV. ^   The study findings show that there was a significant difference in the performance of SWHLIHC and African American high school students on all three independent variables. SWHLIHC performed significantly higher on English III success and promotion to English IV. African American high school students performed significantly higher on the reading FCAT.^</p>

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</description>

<author>Sharon Angela Samuels</author>


<category>Education, Curriculum and Instruction</category>

</item>




<item>
<title>Development and verification of control and protection strategies in hybrid AC/DC power systems for smart grid applications</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554207</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554207</guid>
<pubDate>Wed, 22 May 2013 15:31:07 PDT</pubDate>
<description>
	<![CDATA[
	<p> Modern power networks incorporate communications and information technology infrastructure into the electrical power system to create a smart grid in terms of control and operation. The smart grid enables real-time communication and control between consumers and utility companies allowing suppliers to optimize energy usage based on price preference and system technical issues. The smart grid design aims to provide overall power system monitoring, create protection and control strategies to maintain system performance, stability and security.  ^   This dissertation contributed to the development of a unique and novel smart grid test-bed laboratory with integrated monitoring, protection and control systems. This test-bed was used as a platform to test the smart grid operational ideas developed here. The implementation of this system in the real-time software creates an environment for studying, implementing and verifying novel control and protection schemes developed in this dissertation. Phasor measurement techniques were developed using the available Data Acquisition (DAQ) devices in order to monitor all points in the power system in real time. This provides a practical view of system parameter changes, system abnormal conditions and its stability and security information system. These developments provide valuable measurements for technical power system operators in the energy control centers. Phasor Measurement technology is an excellent solution for improving system planning, operation and energy trading in addition to enabling advanced applications in Wide Area Monitoring, Protection and Control (WAMPAC).  ^   Moreover, a virtual protection system was developed and implemented in the smart grid laboratory with integrated functionality for wide area applications. Experiments and procedures were developed in the system in order to detect the system abnormal conditions and apply proper remedies to heal the system.  ^   A design for DC microgrid was developed to integrate it to the AC system with appropriate control capability. This system represents realistic hybrid AC/DC microgrids connectivity to the AC side to study the use of such architecture in system operation to help remedy system abnormal conditions.  ^   In addition, this dissertation explored the challenges and feasibility of the implementation of real-time system analysis features in order to monitor the system security and stability measures. These indices are measured experimentally during the operation of the developed hybrid AC/DC microgrids. Furthermore, a real-time optimal power flow system was implemented to optimally manage the power sharing between AC generators and DC side resources.  ^   A study relating to real-time energy management algorithm in hybrid microgrids was performed to evaluate the effects of using energy storage resources and their use in mitigating heavy load impacts on system stability and operational security.^</p>

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</description>

<author>Vahid Salehi Pour Mehr</author>


<category>Engineering, Electronics and Electrical</category>

</item>




<item>
<title>Risk factors and associations for hepatitis C infection among Hispanic/Latino intravenous drug users in Miami-Dade County, Florida</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554205</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554205</guid>
<pubDate>Wed, 22 May 2013 15:31:06 PDT</pubDate>
<description>
	<![CDATA[
	<p> Hepatitis C infection (HCV) continues to disproportionately affect Hispanics/Latinos in the United States. Hispanic/Latino intravenous drug users (IDUs), because of their risky injection and sexual behaviors, are prone to HCV infection and rapid transmission of the virus to others via several routes. With a prevalence rate of approximately 75% among IDUs, it is imperative that transmission of HCV be prevented in this population. This study aims to examine the associations between demographic, injection and sexual risk factors to HCV infection in a group Hispanic/Latino IDUs in Miami-Dade County, Florida. Preliminary unadjusted results in this sample reveal that age (OR=4.592, p=0.004), weekly injection (OR=5.171, p=0.000), daily injection frequency (OR=3.856, p=0.000) and use of a dirty needle (OR=2.320, p= 0.006) were all significantly associated with HCV infection. Being born outside the U.S. was significantly negatively associated with HCV infection (OR=0.349, p=0.004). Additionally, having two or more sex partners in the past three months (OR=0.472, p=0.014) was negatively associated with HCV infection. After adjusting for all other variables, older age (AOR=7.470, p=0.006), weekly injection (AOR=3.238, p=0.007) and daily injection frequency (AOR=2.625, p=0.010) were all significantly associated with HCV infection. Being born outside the U.S. (AOR=0.369, p=0.019) was a significant protective factor for HCV infection, along with having two or more sex partners in the past three months (AOR=0.481, p=0.037). When analyzing the significant variables in a backward regression model, having 2 or more sex partners in the past three months was not significant at the p^</p>

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</description>

<author>Arturo E Rodriguez</author>


<category>Health Sciences, Public Health|Hispanic American Studies</category>

</item>




<item>
<title>Switching patterns and steady-state analysis of grid-connected and stand-alone single-stage boost-inverters for PV applications</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554206</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554206</guid>
<pubDate>Wed, 22 May 2013 15:31:06 PDT</pubDate>
<description>
	<![CDATA[
	<p> Renewable or sustainable energy (SE) sources have attracted the attention of many countries because the power generated is environmentally friendly, and the sources are not subject to the instability of price and availability. This dissertation presents new trends in the DC-AC converters (inverters) used in renewable energy sources, particularly for photovoltaic (PV) energy systems. A review of the existing technologies is performed for both single-phase and three-phase systems, and the pros and cons of the best candidates are investigated.  ^   In many modern energy conversion systems, a DC voltage, which is provided from a SE source or energy storage device, must be boosted and converted to an AC voltage with a fixed amplitude and frequency. A novel switching pattern based on the concept of the conventional space-vector pulse-width-modulated (SVPWM) technique is developed for single-stage, boost-inverters using the topology of current source inverters (CSI). The six main switching states, and two zeros, with three switches conducting at any given instant in conventional SVPWM techniques are modified herein into three charging states and six discharging states with only two switches conducting at any given instant. The charging states are necessary in order to boost the DC input voltage. It is demonstrated that the CSI topology in conjunction with the developed switching pattern is capable of providing the required residential AC voltage from a low DC voltage of one PV panel at its rated power for both linear and nonlinear loads.  ^   In a micro-grid, the active and reactive power control and consequently voltage regulation is one of the main requirements. Therefore, the capability of the single-stage boost-inverter in controlling the active power and providing the reactive power is investigated. It is demonstrated that the injected active and reactive power can be independently controlled through two modulation indices introduced in the proposed switching algorithm. The system is capable of injecting a desirable level of reactive power, while the maximum power point tracking (MPPT) dictates the desirable active power.  ^   The developed switching pattern is experimentally verified through a laboratory scaled three-phase 200W boost-inverter for both grid-connected and stand-alone cases and the results are presented.^</p>

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</description>

<author>Mahdi Saghaleini</author>


<category>Engineering, Electronics and Electrical</category>

</item>




<item>
<title>Goma curriculum, a character education paradigm: Composing a text for shaping classroom character culture</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554203</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554203</guid>
<pubDate>Wed, 22 May 2013 15:31:05 PDT</pubDate>
<description>
	<![CDATA[
	<p> The written text, and approaches to reading it, serves well as an analogy for the classroom space as a "text" that teachers are able to compose; and students are able to read, interpret meaning(s) of, and make responses to and about (Rosenblatt, 1988). Researchers point to ways in which the classroom can be conceptualized as a text to be evoked, experienced, and read (Freire & Macedo, 1987; Powell, 2009; Rosenblatt, 1988; Spears-Bunton & Powell, 2009).^   The present study analyzed secondary data including: 10 transcripts of teacher talks and six self-reports retrieved from the program evaluation archives of DOR Foundation. The data described six teachers' classroom experiences subsequent to professional development centered on Goma character education curriculum that was used during a summer youth program located in South Georgia. Goma, an acronym that stands for Goal, Objective, Method, and Attitude, is a character education paradigm derived from The Inclusive Community Building Ellison Model, the theoretical framework used for this study. The Model identifies conflict resolution as one of its five foci (Hunt, Howard, & Rice, 1998). Hunt (2006) conceived Goma as part of a 7-Step unitary process, also named the 7-Step pathway, to demonstrate how conflict resolution is accomplished within a variety of contexts.^   Analysis of the data involved: (a) a priori coding of teacher talks transcripts using the components of the Goma 7-Step pathway as coding categories, (b) emergent coding of teacher talks transcripts for the types of experiences teachers evidenced, and (c) emergent coding of teachers' self-reports for categories of teachers' instructional activities. Results of the study showed positive influence of Goma curriculum on participating teachers and their instructional practices. Teachers were shown to have had cognitive, instructional, emotional, and social experiences that were most evident when they reported changes in their attitudes toward their students, themselves, and their instructional practices. The present study provided implications for classroom teachers wherein all aspects of teachers' instructional practices can be guided by principles of positive character; and can be used to help compose the kinds of "texts" that may likely contribute to a classroom character culture.^</p>

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</description>

<author>Alicia D Ritchey</author>


<category>Education, Instructional Design|Education, Curriculum and Instruction</category>

</item>




<item>
<title>Developing a process to create and validate an instrument assessing student attainment of competencies at an intercultural university in Mexico</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554199</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554199</guid>
<pubDate>Wed, 22 May 2013 15:31:04 PDT</pubDate>
<description>
	<![CDATA[
	<p> This study took place at one of the intercultural universities (IUs) of Mexico that serve primarily indigenous students. The IUs are pioneers in higher education despite their numerous challenges (Bertely, 1998; Dietz, 2008; Pineda & Landorf, 2010; Schmelkes, 2009). To overcome educational inequalities among their students (Ahuja, Berumen, Casillas, Crispín, Delgado et al., 2004; Schmelkes, 2009), the IUs have embraced performance-based assessment (PBA; Casillas & Santini, 2006). PBA allows a shared model of power and control related to learning and evaluation (Anderson, 1998). While conducting a review on PBA strategies of the IUs, the researcher did not find a PBA instrument with valid and reliable estimates.^   The purpose of this study was to develop a process to create a PBA instrument, an analytic general rubric, with acceptable validity and reliability estimates to assess students' attainment of competencies in one of the IU's majors, Intercultural Development Management. The Human Capabilities Approach (HCA) was the theoretical framework and a sequential mixed method (Creswell, 2003; Teddlie & Tashakkori, 2009) was the research design. IU participants created a rubric during two focus groups, and seven Spanish-speaking professors in Mexico and the US piloted using students' research projects.^   The evidence that demonstrates the attainment of competencies at the IU is a complex set of actual, potential and/or desired performances or achievements, also conceptualized as "functional capabilities" (FCs; Walker, 2008), that can be used to develop a rubric. Results indicate that the rubric's validity and reliability estimates reached acceptable estimates of 80% agreement, surpassing minimum requirements (Newman, Newman, & Newman, 2011).^   Implications for practice involve the use of PBA within a formative assessment framework, and dynamic inclusion of constituencies. Recommendations for further research include introducing this study's instrument-development process to other IUs, conducting parallel mixed design studies exploring the intersection between HCA and assessment, and conducting a case study exploring assessment in intercultural settings.^   Education articulated through the HCA empowers students (Unterhalter & Brighouse, 2007; Walker, 2008). This study aimed to contribute to the quality of student learning assessment at the IUs by providing a participatory process to develop a PBA instrument.^</p>

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</description>

<author>Martha Fernanda Pineda Castilleja</author>


<category>Education, Curriculum and Instruction</category>

</item>




<item>
<title>Functionalized carbon micro/nanostructures for biomolecular detection</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554197</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554197</guid>
<pubDate>Wed, 22 May 2013 15:31:03 PDT</pubDate>
<description>
	<![CDATA[
	<p> Advancements in the micro-and nano-scale fabrication techniques have opened up new avenues for the development of portable, scalable and easier-to-use biosensors. Over the last few years, electrodes made of carbon have been widely used as sensing units in biosensors due to their attractive physiochemical properties. The aim of this research is to investigate different strategies to develop functionalized high surface carbon micro/nano-structures for electrochemical and biosensing devices.  ^   High aspect ratio three-dimensional carbon microarrays were fabricated via carbon microelectromechanical systems (C-MEMS) technique, which is based on pyrolyzing pre-patterned organic photoresist polymers. To further increase the surface area of the carbon microstructures, surface porosity was introduced by two strategies, i.e. (i) using F127 as porogen and (ii) oxygen reactive ion etch (RIE) treatment. Electrochemical characterization showed that porous carbon thin film electrodes prepared by using F127 as porogen had an effective surface area (<i>A</i><sub>eff</sub> 185%) compared to the conventional carbon electrode.  ^   To achieve enhanced electrochemical sensitivity for C-MEMS based functional devices, graphene was conformally coated onto high aspect ratio three-dimensional (3D) carbon micropillar arrays using electrostatic spray deposition (ESD) technique. The amperometric response of graphene/carbon micropillar electrode arrays exhibited higher electrochemical activity, improved charge transfer and a linear response towards H<sub>2</sub>O<sub>2</sub> detection between 250&mgr;M to 5.5mM.  ^   Furthermore, carbon structures with dimensions from 50 nano-to micrometer level have been fabricated by pyrolyzing photo-nanoimprint lithography patterned organic resist polymer. Microstructure, elemental composition and resistivity characterization of the carbon nanostructures produced by this process were very similar to conventional photoresist derived carbon. Surface functionalization of the carbon nanostructures was performed using direct amination technique.  ^   Considering the need for requisite functional groups to covalently attach bioreceptors on the carbon surface for biomolecule detection, different oxidation techniques were compared to study the types of carbon-oxygen groups formed on the surface and their percentages with respect to different oxidation pretreatment times.  ^   Finally, a label-free detection strategy using signaling aptamer/protein binding complex for platelet-derived growth factor oncoprotein detection on functionalized three-dimensional carbon microarrays platform was demonstrated. The sensor showed near linear relationship between the relative fluorescence difference and protein concentration even in the sub-nanomolar range with an excellent detection limit of 5 pmol.^</p>

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</description>

<author>Varun Penmatsa</author>


<category>Chemistry, Analytical|Engineering, Biomedical|Nanotechnology|Engineering, Materials Science</category>

</item>




<item>
<title>Knowledge, attitudes, and practices affecting health behaviors in the U.S. Army Special Operations Command population of Rangers</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554195</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554195</guid>
<pubDate>Wed, 22 May 2013 15:31:02 PDT</pubDate>
<description>
	<![CDATA[
	<p> Malaria is a threat to United States military personnel operating in endemic areas, from which there have been hundreds of cases reported over the past decade. Each of these cases might have been avoided with proper adherence to malaria chemoprophylaxis medications. Military operations may detract from the strict 100% adherence required of these preventive medications. However, the reasons for non-adherence in military populations are not well understood. This behavior was investigated using a cross sectional study design on a convenience sample of U.S. Army Ranger volunteers (n=150) located at three military instillations. Theoretical support was based on components of the Health Belief Model, the Theory of Reasoned Action/Theory of Planned Behavior, and the Social Cognitive Theory.  ^   Data on knowledge, attitudes, and practices, as well as multiple environmental domains was collected using an original yet unvalidated questionnaire. The data was analyzed using bivariate Pearson correlations, binary logistic regression, and moderated logistic regressions employing a 0.05 criterion of statistical significance. Power analyses predicted 96-98% power for this analysis.  ^   Multiple significant medium strength Pearson correlation coefficients were identified relative to the two dependent variables <i>Take medications as directed and Intend to take the medications as directed the next time. </i> Binary logistic regression analyses identified multiple variables that may predict behavioral intentions to adhere to these preventive medications, as a proxy for behavioral change. Moderated logistic regression analyses identified Command Support for adherence to these medications as a potential significant moderator that interacts with independent variables within three domains of the survey questionnaire.  ^   The findings indicate that there may be potential significant beneficial effects, which may improve this behavior in this population of Rangers through 1) promoting affirmative interpersonal communications that emphasize adherence to these medications, 2) including malaria chemoprophylaxis medications in the mission planning process, and 3) military command support, in the form of including the importance of proper adherence to these medications in the unit safety briefings.^</p>

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</description>

<author>Michael J Pagel</author>


<category>Health Sciences, Public Health</category>

</item>




<item>
<title>Time spent with children and working parents&apos; willingness to medicate ADHD-like behaviors</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554196</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554196</guid>
<pubDate>Wed, 22 May 2013 15:31:02 PDT</pubDate>
<description>
	<![CDATA[
	<p> ADHD, which refers to one of the most common behavioral problems among children, is subject to controversial arguments surrounding its nature and its primary treatment with psychiatric medications. At the heart of the problem are parents, whose responsibility includes providing pivotal information to clinicians for the diagnosis and deciding whether their children will receive medications. This study investigates the relationship between working parents' willingness to medicate ADHD-like behaviors and the time they are able to spend with their children during a regular workday. The importance of time spent with children derives from the observation that it is likely to influence not only parents' judgments of their children's behaviors but the behaviors themselves. The relationship was investigated using a subsample of 551 working parents (452 parents reporting no child with problems and 99 parents reporting child with problems) drawn from a population-based telephone survey of parents in the Miami-Dade and Broward counties of Florida. A series of path analyses, controlling for selected socio-demographic and family variables, showed that spending more time with their children during a regular workday was significantly related to being less willing to medicate ADHD-like behaviors. The association was stronger for parents reporting having a child with emotional and behavioral problems (β = −.20) and faint for other parents (β = −.06). The interpretation of the study findings emphasizes the vagueness surrounding the nature of ADHD and the events and procedures leading to the diagnosing of a child, as well as the delicate situations in which parents find themselves.^</p>

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</description>

<author>Bora Pajo</author>


<category>Social Work</category>

</item>




<item>
<title>Living on both sides of the fence: A phenomenological study of human resource development professionals as downsizing survivors and strategic human resource development facilitators</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554192</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554192</guid>
<pubDate>Wed, 22 May 2013 15:31:01 PDT</pubDate>
<description>
	<![CDATA[
	<p> This phenomenological study explored how HR professionals who identified themselves as facilitators of strategic HRD (SHRD) perceived the experience of being an organizational agent-downsizing survivor. Criterion and snowball sampling were used to recruit 15 participants for this study. A semi-structured interview guide was used to interview participants. Creswell's (2007) simplified version of Moustakas's (1994) Modification of the Stevick-Colaizzi-Keen Method of Analysis of Phenomenological Data was used to analyze the data. Four main themes and corresponding sub-themes emerged from an inductive data analysis. The four main themes were a) the emotionality of downsizing, b) feeling responsible, c) choice and control, and d) possibilities for growth. ^   Participants perceived downsizing as an emotional organizational change event that required them to manage their own emotions while helping others do the same. They performed their roles within an organizational atmosphere that was perceived as chaotic and filled with apprehension, shock, and a sense of ongoing loss, sadness and grieving. They sometimes experienced guilt and doubt and felt deceptive for having to keep secrets from others when planning for downsizing. Participants felt a strong sense of responsibility to protect employees emotionally, balance employee and organizational interests, and try to ensure the best outcomes for both. Often being there for others meant that they put on their games faces and took care of themselves last. Participants spoke of the importance of choosing one's attitude, being proactive rather than reactive, and finding ways to regain control in the midst of organizational crisis. They also perceived that although downsizing was emotionally difficult to go through that it provided possibilities for self, employee, and organizational growth.^</p>

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</description>

<author>Claire Kostopulos Nackoney</author>


<category>Education, Adult and Continuing</category>

</item>




<item>
<title>Field programmable gate array based target detection and gesture recognition</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554187</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554187</guid>
<pubDate>Wed, 22 May 2013 15:31:00 PDT</pubDate>
<description>
	<![CDATA[
	<p> The move from Standard Definition (SD) to High Definition (HD) represents a six times increases in data, which needs to be processed. With expanding resolutions and evolving compression, there is a need for high performance with flexible architectures to allow for quick upgrade ability. The technology advances in image display resolutions, advanced compression techniques, and video intelligence. Software implementation of these systems can attain accuracy with tradeoffs among processing performance (to achieve specified frame rates, working on large image data sets), power and cost constraints. There is a need for new architectures to be in pace with the fast innovations in video and imaging. It contains dedicated hardware implementation of the pixel and frame rate processes on Field Programmable Gate Array (FPGA) to achieve the real-time performance.  ^   The following outlines the contributions of the dissertation. (1) We develop a target detection system by applying a novel running average mean threshold (RAMT) approach to globalize the threshold required for background subtraction. This approach adapts the threshold automatically to different environments (indoor and outdoor) and different targets (humans and vehicles). For low power consumption and better performance, we design the complete system on FPGA. (2) We introduce a safe distance factor and develop an algorithm for occlusion occurrence detection during target tracking. A novel mean-threshold is calculated by motion-position analysis. (3) A new strategy for gesture recognition is developed using Combinational Neural Networks (CNN) based on a tree structure. Analysis of the method is done on American Sign Language (ASL) gestures. We introduce novel point of interests approach to reduce the feature vector size and gradient threshold approach for accurate classification. (4) We design a gesture recognition system using a hardware/ software co-simulation neural network for high speed and low memory storage requirements provided by the FPGA. We develop an innovative maximum distant algorithm which uses only 0.39% of the image as the feature vector to train and test the system design. Database set gestures involved in different applications may vary. Therefore, it is highly essential to keep the feature vector as low as possible while maintaining the same accuracy and performance^</p>

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</description>

<author>Priyanka Mekala</author>


<category>Engineering, Electronics and Electrical</category>

</item>




<item>
<title>Cognitive competence and life course change in multi-problem adolescents</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554183</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554183</guid>
<pubDate>Wed, 22 May 2013 15:31:00 PDT</pubDate>
<description>
	<![CDATA[
	<p> The dissertation reports on two studies. The purpose of Study I was to develop and evaluate a measure of cognitive competence (the Critical Problem Solving Skills Scale – Qualitative Extension) using Relational Data Analysis (RDA) with a multi-ethnic, adolescent sample. My study builds on previous work that has been conducted to provide evidence for the reliability and validity of the RDA framework in evaluating youth development programs (Kurtines et al., 2008). Inter-coder percent agreement among the TOC and TCC coders for each of the category levels was moderate to high, with a range of .76 to .94. The Fleiss' kappa across all category levels was from substantial agreement to almost perfect agreement, with a range of .72 to .91. The correlation between the TOC and the TCC demonstrated medium to high correlation, with a range of r(40)=.68, p<.001 to r(40)=.79, p<.001. ^   Study II reports an investigation of a positive youth development program using an Outcome Mediation Cascade (OMC) evaluation model, an integrated model for evaluating the empirical intersection between intervention and developmental processes. The Changing Lives Program (CLP) is a community supported positive youth development intervention implemented in a practice setting as a selective/indicated program for multi-ethnic, multi-problem at risk youth in urban alternative high schools in the Miami Dade County Public Schools (M-DCPS). The 259 participants for this study were drawn from the CLP's archival data file. The study used a structural equation modeling approach to construct and evaluate the hypothesized model. Findings indicated that the hypothesized model fit the data (χ2 (7) = 5.651, p = .83; RMSEA = .00; CFI = 1.00; WRMR = .319). My study built on previous research using the OMC evaluation model (Eichas, 2010), and the findings are consistent with the hypothesis that in addition to having effects on targeted positive outcomes, PYD interventions are likely to have progressive cascading effects on untargeted problem outcomes that operate through effects on positive outcomes.^</p>

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</description>

<author>Brent M Maximin</author>


<category>Psychology, Developmental|Psychology, General|Psychology, Cognitive</category>

</item>




<item>
<title>Mundos prohibidos: El poder en el discurso epistolar de Gertrudis Gomez de Avellaneda y Juana Borrero</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554181</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554181</guid>
<pubDate>Wed, 22 May 2013 15:30:59 PDT</pubDate>
<description>
	<![CDATA[
	<p> This dissertation analyses, through a theoretical framework and a critical approach, letters of Cuban writers Gertrudis Gómez de Avellaneda and Juana Borrero. While love letters have captured the interest of some scholars, such as Claudio Guillén, Cintio Vitier and Alexander Roselló Selimov, the conflict that the analysis of non-literary texts poses has prevented further research in this field. Therefore, I propose a systematic method of analysis encompassing but not limited to evaluating letters based on their purpose, intent, interpretation, and temporal and spatial composition; analyzing the perspective and function of epistolary entities, and examining the textual signs that distinguish the epistolary forms from the literary forms. With this analytical tool, I examine a selection of letters of Gómez de Avellaneda and demonstrate that the writer displaces her identify from the autobiographic self to the epistolary self, in order to manipulate the perspective of her addressee. Caught between the Neoclassical way of thinking and the Romantic aesthetics, her assertive discourse, also reflected in her epistolary work, contributed to the incursion of women writers into the social and professional life of the nineteen century.^   Following the same method of investigation, an analysis of letters written by Borrero proves that, by building a world of delusion, hallucination and fantasy the writer brings to prose what first generation of female <i> modernistas</i> had done in poetry. In both cases, my focus is on the strategies that turn these letters into instruments of power, process that transformed the love-letter paradigm and forever renovated the women epistolary genre.^   This dissertation further explores the possibility of initiating a cycle in the study of personal letters to uncover a forgotten genre, mission that might build a bridge to embrace the new forms of written communication that scholars have already begun to explore in contemporary literature.^</p>

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</description>

<author>Cointa G Martin</author>


<category>Literature, Latin American|Language, General</category>

</item>




<item>
<title>Not getting by: Poverty management and homelessness in Miami</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554176</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554176</guid>
<pubDate>Wed, 22 May 2013 15:30:58 PDT</pubDate>
<description>
	<![CDATA[
	<p> Urban inequality has emerged as one of the dominant themes of modern life and globalization. More than three million people experienced homelessness in the United States last year; in Miami-Dade, more than 15,000 individuals were homeless. Surviving extreme poverty, and exiting or avoiding homelessness, involves negotiating a complex mix of public and private assistance. However, a range of factors influence what types of help are available and how they can be accessed. Frequently, larger social structures determine which resource are available, leaving many choices entirely out of the individual's control. For single men, who are ineligible for many benefits, homelessness can be difficult to avoid and even harder to exit. My study seeks to better understand how adult, minority men living in extreme poverty in Miami-Dade negotiate their daily survival. Specific research questions address: Do black and Hispanic men who are homeless or at risk of homelessness have different personal characteristics and different experiences in avoiding or exiting homelessness? How does Miami's response to extreme poverty/homelessness, including availability of public benefits and public and private service organizations, either maximize or constrain the choices available to this population? And, what is the actual experience of single, adult men who are homeless or at risk of homelessness, in negotiating their daily survival? A mixed methods approach combines quantitative survey data from 7,605 homeless men, with qualitative data from 54 semi-structured interviews incorporating the visual ethnography techniques of Photo Elicitation Interviewing. Results show the differences experienced by black and Hispanic men who are poor and homeless in Miami. Findings also highlight how the community's official and unofficial responses to homelessness intersect with the actual experiences of the persons targeted by the policies and programs, challenging preconceived notions regarding the lives of persons living in extreme poverty. It adds to the existing body of literature by focusing on the urban Miami context, emphasizing disparities amongst racial and ethnic groups. Findings are intended to provide an empirically grounded thesis that humanizes the subjects and illuminates their personal experiences, helping to inform public policy around the needs of extremely poor populations.^</p>

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</description>

<author>Karen M Mahar</author>


<category>Sociology, General</category>

</item>




<item>
<title>Preservation of nitric oxide availability as nitrite and nitrosothiols</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554174</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554174</guid>
<pubDate>Wed, 22 May 2013 15:30:57 PDT</pubDate>
<description>
	<![CDATA[
	<p> Nitric Oxide (NO) has been known for long to regulate vessel tone. However, the close proximity of the site of NO production to "sinks" of NO such as hemoglobin (Hb) in blood suggest that blood will scavenge most of the NO produced. Therefore, it is unclear how NO is able to play its physiological roles. The current study deals with means by which this could be understood. Towards studying the role of nitrosothiols and nitrite in preserving NO availability, a study of the kinetics of glutathione (GSH) nitrosation by NO donors in aerated buffered solutions was undertaken first. Results suggest an increase in the rate of the corresponding nitrosothiol (GSNO) formation with an increase in GSH with a half-maximum constant EC<sub>50</sub> that depends on NO concentration, thus indicating a significant contribution of NO<sub>2</sub> mediated nitrosation in the production of GSNO. Next, the ability of nitrite to be reduced to NO in the smooth muscle cells was evaluated. The NO formed was inhibited by sGC inhibitors and accelerated by activators and was independent of O<sub>2</sub> concentration. Nitrite transport mechanisms and effects of exogenous nitrate on transport and reduction of nitrite were examined. The results showed that sGC can mediate nitrite reduction to NO and nitrite is transported across the smooth muscle cell membrane via anion channels, both of which can be attenuated by nitrate. Finally, a 2-D axisymmetric diffusion model was constructed to test the accumulation of NO in the smooth muscle layer from reduction of nitrite. It was observed that at the end of the simulation period with physiological concentrations of nitrite in the smooth muscle cells (SMC), a low sustained NO generated from nitrite reduction could maintain significant sGC activity and might affect vessel tone. The major nitrosating mechanism in the circulation at reduced O<sub>2</sub> levels was found to be anaerobic and a Cu<sup>+</sup> dependent GSNO reduction activity was found to deliver minor amounts of NO from physiological GSNO levels in the tissue.^</p>

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</description>

<author>Kumpal J Madrasi</author>


<category>Engineering, Biomedical</category>

</item>




<item>
<title>Hydro-physical characterization of media used in agricultural systems to develop the best management practices for operation of an environmentally sustainable agricultural enterprise</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554169</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554169</guid>
<pubDate>Wed, 22 May 2013 15:30:56 PDT</pubDate>
<description>
	<![CDATA[
	<p> Florida is the second leading horticulture state in the United States with a total annual industry sale of over $12 Billion. Due to its competitive nature, agricultural plant production represents an extremely intensive practice with large amounts of water and fertilizer usage. Agrochemical and water management are vital for efficient functioning of any agricultural enterprise, and the subsequent nutrient loading from such agricultural practices has been a concern for environmentalists. A thorough understanding of the agrochemical and the soil amendments used in these agricultural systems is of special interest as contamination of soils can cause surface and groundwater pollution leading to ecosystem toxicity. The presence of fragile ecosystems such as the Everglades, Biscayne Bay and Big Cypress near enterprises that use such agricultural systems makes the whole issue even more imminent.  ^   Although significant research has been conducted with soils and soil mix, there is no acceptable method for determining the hydraulic properties of mixtures that have been subjected to organic and inorganic soil amendments. Hydro-physical characterization of such mixtures can facilitate the understanding of water retention and permeation characteristics of the commonly used mix which can further allow modeling of soil water interactions.  ^   The objective of this study was to characterize some of the locally and commercially available plant growth mixtures for their hydro-physical properties and develop mathematical models to correlate these acquired basic properties to the hydraulic conductivity of the mixture. The objective was also to model the response patterns of soil amendments present in those mixtures to different water and fertilizer use scenarios using the characterized hydro-physical properties with the help of Everglades-Agro-Hydrology Model.  ^   The presence of organic amendments helps the mixtures retain more water while the inorganic amendments tend to adsorb more nutrients due to their high surface area. The results of these types of characterization can provide a scientific basis for understanding the non-point source water pollution from horticulture production systems and assist in the development of the best management practices for the operation of environmentally sustainable agricultural enterprise^</p>

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</description>

<author>Vivek Kumar</author>


<category>Engineering, Civil</category>

</item>




<item>
<title>Host and network optimizations for performance enhancement and energy efficiency in data center networks</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554167</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554167</guid>
<pubDate>Wed, 22 May 2013 15:30:55 PDT</pubDate>
<description>
	<![CDATA[
	<p> Modern data centers host hundreds of thousands of servers to achieve economies of scale. Such a huge number of servers create challenges for the data center network (DCN) to provide proportionally large bandwidth. In addition, the deployment of virtual machines (VMs) in data centers raises the requirements for efficient resource allocation and find-grained resource sharing. Further, the large number of servers and switches in the data center consume significant amounts of energy. Even though servers become more energy efficient with various energy saving techniques, DCN still accounts for 20% to 50% of the energy consumed by the entire data center.  ^   The objective of this dissertation is to enhance DCN performance as well as its energy efficiency by conducting optimizations on both host and network sides. First, as the DCN demands huge bisection bandwidth to interconnect all the servers, we propose a parallel packet switch (PPS) architecture that directly processes variable length packets without segmentation-and-reassembly (SAR). The proposed PPS achieves large bandwidth by combining switching capacities of multiple fabrics, and it further improves the switch throughput by avoiding padding bits in SAR. Second, since certain resource demands of the VM are bursty and demonstrate stochastic nature, to satisfy both deterministic and stochastic demands in VM placement, we propose the Max-Min Multidimensional Stochastic Bin Packing (M3SBP) algorithm. M3SBP calculates an equivalent deterministic value for the stochastic demands, and maximizes the minimum resource utilization ratio of each server. Third, to provide necessary traffic isolation for VMs that share the same physical network adapter, we propose the Flow-level Bandwidth Provisioning (FBP) algorithm. By reducing the flow scheduling problem to multiple stages of packet queuing problems, FBP guarantees the provisioned bandwidth and delay performance for each flow. Finally, while DCNs are typically provisioned with full bisection bandwidth, DCN traffic demonstrates fluctuating patterns, we propose a joint host-network optimization scheme to enhance the energy efficiency of DCNs during off-peak traffic hours. The proposed scheme utilizes a unified representation method that converts the VM placement problem to a routing problem and employs depth-first and best-fit search to find efficient paths for flows.^</p>

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</description>

<author>Hao Jin</author>


<category>Engineering, Electronics and Electrical</category>

</item>




<item>
<title>Three essays on a longitudinal analysis of business start-ups using the Kauffman Firm Survey</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554168</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554168</guid>
<pubDate>Wed, 22 May 2013 15:30:55 PDT</pubDate>
<description>
	<![CDATA[
	<p> This dissertation focused on the longitudinal analysis of business start-ups using three waves of data from the Kauffman Firm Survey. ^   The first essay used the data from years 2004-2008, and examined the simultaneous relationship between a firm's capital structure, human resource policies, and its impact on the level of innovation. The firm leverage was calculated as, debt divided by total financial resources. Index of employee well-being was determined by a set of nine dichotomous questions asked in the survey. A negative binomial fixed effects model was used to analyze the effect of employee well-being and leverage on the count data of patents and copyrights, which were used as a proxy for innovation. The paper demonstrated that employee well-being positively affects the firm's innovation, while a higher leverage ratio had a negative impact on the innovation. No significant relation was found between leverage and employee well-being.^   The second essay used the data from years 2004-2009, and inquired whether a higher entrepreneurial speed of learning is desirable, and whether there is a linkage between the speed of learning and growth rate of the firm. The change in the speed of learning was measured using a pooled OLS estimator in repeated cross-sections. There was evidence of a declining speed of learning over time, and it was concluded that a higher speed of learning is not necessarily a good thing, because speed of learning is contingent on the entrepreneur's initial knowledge, and the precision of the signals he receives from the market. Also, there was no reason to expect speed of learning to be related to the growth of the firm in one direction over another.^   The third essay used the data from years 2004-2010, and determined the timing of diversification activities by the business start-ups. It captured when a start-up diversified for the first time, and explored the association between an early diversification strategy adopted by a firm, and its survival rate. A semi-parametric Cox proportional hazard model was used to examine the survival pattern. The results demonstrated that firms diversifying at an early stage in their lives show a higher survival rate; however, this effect fades over time.^</p>

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</description>

<author>Indu Khurana</author>


<category>Business Administration, Entrepreneurship|Economics, General</category>

</item>




<item>
<title>Mechanisms of chloroperoxidase-catalyzed enantioselective reactions as probed by site-directed mutagenesis and isotopic labeling</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554166</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554166</guid>
<pubDate>Wed, 22 May 2013 15:30:54 PDT</pubDate>
<description>
	<![CDATA[
	<p> Chloroperoxidase (CPO) is a heme-containing glycoprotein secreted by the marine fungus <i>Caldariomyces fumago.</i> Chloroperoxidase contains one ferriprotoporphyrin IX prosthetic group per molecule and catalyzes a variety of reactions, such as halogenation, peroxidation and epoxidation. The versatile catalytic activities of CPO coupled with the increasing demands for chiral synthesis have attracted an escalating interest in understanding the mechanistic and structural properties of this enzyme. ^   In order to better understand the mechanisms of CPO-catalyzed enantioselective reactions and to fine-tune the catalytic properties of chloroperoxidase, asparagine 74 (N74) located in the narrow substrate access channel of CPO was replaced by a bulky, nonpolar valine and a polar glutamine using site-directed mutagenesis. The CPO N74 mutants displayed significantly enhanced activity toward nonpolar substrates compared to wild-type CPO as a result of changes in space and polarity of the heme distal environment. More interestingly, N74 mutants showed dramatically decreased chlorination and catalase activity but significantly enhanced epoxidation activity as a consequence of improved kinetic perfection introduced by the mutation as reflected by the favorable changes in <i>k</i><sub> cat</sub> and <i>k</i><sub>cat</sub>/<i>K</i><sub>M</sub> of these reactions. It is also noted that the N74V mutant is capable of decomposing cyanide, the most notorious poison for many hemoproteins, as judged by the unique binding behavior of N74V with potassium cyanide.  ^   Histidine 105 (H105) was replaced by a nonpolar amino acid alanine using site-directed mutagenesis. The CPO H105 mutant (H105A) displayed dramatically decreased chlorination and catalase activity possibly because of the decreased polarity in the heme distal environment and loss of the hydrogen bonds between histidine 105 and glutamic acid 183. However, significantly increased enantioselectivity was observed for the epoxidation of bulky styrene derivatives. Furthermore, my study provides strong evidence for the proposed histidine/cysteine ligand switch in chloroperoxidase, providing experimental support for the structure of the 420-nm absorption maximum for a number of carbon monoxide complexes of heme-thiolate proteins.  ^   For the NMR study, [dCPO(heme)] was produced using 90% deuterated growth medium with excess heme precursors and [dCPO(Phe)] was grown in the same highly deuterated medium that had been supplemented with excess natural phenylalanine. To make complete heme proton assignments, NMR spectroscopy has been performed for high-resolution structural characterization of [dCPO(heme)] and [dCPO(Phe)] to achieve unambiguous and complete heme proton assignments, which also allows important amino acids close to the heme active center to be determined.^</p>

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</description>

<author>Lin Jiang</author>


<category>Chemistry, General|Chemistry, Biochemistry</category>

</item>




<item>
<title>Examining the validity of the GRE General Test scores and undergraduate GPA for predicting success in graduate school at a large racially and ethnically diverse public university in Southeast Florida</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554165</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554165</guid>
<pubDate>Wed, 22 May 2013 15:30:53 PDT</pubDate>
<description>
	<![CDATA[
	<p> The purpose of the study was to determine the degree of relationships among GRE scores, undergraduate GPA (UGPA), and success in graduate school, as measured by first year graduate GPA (FGPA), cumulative graduate GPA, and degree attainment status. A second aim of the study was to determine whether the relationships between the composite predictor (GRE scores and UGPA) and the three success measures differed by race/ethnicity and sex.^   A total of 7,367 graduate student records (masters, 5,990; doctoral: 1,377) from 2000 to 2010 were used to evaluate the relationships among GRE scores, UGPA and the three success measures. Pearson's correlation, multiple linear and logistic regression, and hierarchical multiple linear and logistic regression analyses were performed to answer the research questions.^   The results of the correlational analyses differed by degree level. For master's students, the ETS proposed prediction that GRE scores are valid predictors of first year graduate GPA was supported by the findings from the present study; however, for doctoral students, the proposed prediction was only partially supported.^   Regression and correlational analyses indicated that UGPA was the variable that consistently predicted all three success measures for both degree levels. The hierarchical multiple linear and logistic regression analyses indicated that at master's degree level, White students with higher GRE Quantitative Reasoning Test scores were more likely to attain a degree than Asian Americans, while International students with higher UGPA were more likely to attain a degree than White students. The relationships between the three predictors and the three success measures were not significantly different between men and women for either degree level.^   Findings have implications both for practice and research. They will provide graduate school administrators with institution-specific validity data for UGPA and the GRE scores, which can be referenced in making admission decisions, while they will provide empirical and professionally defensible evidence to support the current practice of using UGPA and GRE scores for admission considerations. In addition, new evidence relating to differential predictions will be useful as a resource reference for future GRE validation researchers.^</p>

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</description>

<author>Myung Sook Hyun</author>


<category>Education, Leadership</category>

</item>




<item>
<title>Ab initio quantum chemical studies on neutral-radical reactions of ethynyl (C2H) and cyano (CN) with unsaturated hydrocarbons</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554164</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554164</guid>
<pubDate>Wed, 22 May 2013 15:30:52 PDT</pubDate>
<description>
	<![CDATA[
	<p> An <i>Ab Initio</i>/RRKM study of the reaction mechanism and product branching ratios of neutral-radical ethynyl (C<sub>2</sub>H) and cyano (CN) radical species with unsaturated hydrocarbons is performed. The reactions studied apply to cold conditions such as planetary atmospheres including Titan, the Interstellar Medium (ISM), icy bodies and molecular clouds. The reactions of C<sub>2</sub>H and CN additions to gaseous unsaturated hydrocarbons are an active area of study. NASA's Cassini/Huygens mission found a high concentration of C<sub>2</sub>H and CN from photolysis of ethyne (C<sub>2</sub>H<sub>2</sub>) and hydrogen cyanide (HCN), respectively, in the organic haze layers of the atmosphere of Titan. The reactions involved in the atmospheric chemistry of Titan lead to a vast array of larger, more complex intermediates and products and may also serve as a chemical model of Earth's primordial atmospheric conditions. The C<sub>2</sub>H and CN additions are rapid and exothermic, and often occur barrierlessly to various carbon sites of unsaturated hydrocarbons. The reaction mechanism is proposed on the basis of the resulting potential energy surface (PES) that includes all the possible intermediates and transition states that can occur, and all the products that lie on the surface. The B3LYP/6-311g(d,p) level of theory is employed to determine optimized electronic structures, moments of inertia, vibrational frequencies, and zero-point energy. They are followed by single point higher-level CCSD(T)/cc-vtz calculations, including extrapolations to complete basis sets (CBS) of the reactants and products. A microcanonical RRKM study predicts single-collision (zero-pressure limit) rate constants of all reaction paths on the potential energy surface, which is then used to compute the branching ratios of the products that result. These theoretical calculations are conducted either jointly or in parallel to experimental work to elucidate the chemical composition of Titan's atmosphere, the ISM, and cold celestial bodies.<.^</p>

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</description>

<author>Adeel Jamal</author>


<category>Chemistry, General|Chemistry, Organic</category>

</item>




<item>
<title>Essays in economic growth, political economy and institutions</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554161</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554161</guid>
<pubDate>Wed, 22 May 2013 15:30:51 PDT</pubDate>
<description>
	<![CDATA[
	<p> This dissertation analyzes the effects of political and economic institutions on economic development and growth.^   The first essay develops an overlapping-generations political economy model to analyze the incentives of various social groups to finance human capital accumulation through public education expenditures. The contribution of this study to the literature is that it helps explain the observed differences in the economic growth performance of natural resource-abundant countries. The results suggest that the preferred tax rates of the manufacturers on one hand and the political coalition of manufacturers and landowners, on the other hand, are equal to the socially optimal tax rate. However, we show that owners of natural resources prefer an excessively high tax rate, which suppresses aggregate output to a suboptimal level.^   The second essay examines the relationship between the political influence of different social classes and public education spending in panel data estimation. The novel contribution of this paper to the literature is that I proxy the political power and influence of the natural resource owners, manufacturers, and landowners with macroeconomic indicators. The motivation behind this modeling choice is to substantiate the definition of the political power of social classes with economic fundamentals. I use different governance indicators in the estimations to find out how different institutions mediate the overall impact of the political influence of various social classes on public education spending. The results suggest that political stability and absence of violence and rule of law are the important governance indicators.^   The third essay develops a counter argument to Acemoglu et al. (2010) where the thesis is that French institutions and economic reforms fostered economic progress in those German regions invaded by the Napoleonic armies. By providing historical data on urbanization rates used as proxies for economic growth, I demonstrate that similar different rates of economic growth were observed in the regions of France in the post-Napoleonic period as well. The existence of different economic growth rates makes it  hard to argue that the differences in economic performance in the German regions that were invaded by the French and those that were spared a similar fate follow from regional differences in economic institutions.^</p>

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</description>

<author>Ece Handan Guleryuz</author>


<category>Economics, General</category>

</item>




<item>
<title>Career technical education adjunct faculty teacher readiness: An investigation of teacher excellence and variables of preparedness</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554158</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554158</guid>
<pubDate>Wed, 22 May 2013 15:30:50 PDT</pubDate>
<description>
	<![CDATA[
	<p> The purpose of this research was to examine the relationship between teaching readiness and teaching excellence with three variables of preparedness of adjunct professors teaching career technical education courses through student surveys using a correlational design of two statistical techniques; least-squares regression and one-way analysis of variance. That is, the research tested the relationship between teacher readiness and teacher excellence with the number of years teaching, the number of years of experience in the professional field and exposure to teaching related professional development, referred to as variables of preparedness.^   The results of the research provided insight to the relationship between the variables of preparedness and student assessment of their adjunct professors. Concerning the years of teaching experience, this research found a negative inverse relationship with how students rated their professors' teaching readiness and excellence. The research also found no relationship between years of professional experience and the students' assessment. Lastly, the research found a significant positive relationship between the amount of teaching related professional development taken by an adjunct professor and the students' assessment in teaching readiness and excellence.^   This research suggests that policies and practices at colleges should address the professional development needs of adjunct professors. Also, to design a model that meets the practices of inclusion for adjunct faculty and to make professional development a priority within the organization. Lastly, implement that model over time to prepare adjuncts in readiness and excellence. ^</p>

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</description>

<author>Jorge Guerra</author>


<category>Education, Higher</category>

</item>




<item>
<title>The impact of friends on newly immigrant children&apos;s emotional and behavioral adjustment</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554159</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554159</guid>
<pubDate>Wed, 22 May 2013 15:30:50 PDT</pubDate>
<description>
	<![CDATA[
	<p> Immigration disrupts an individual's support network; however, the stresses of the immigration process increase the need for social support. The presence of social support becomes essential for immigrant children and adolescents to cope with these important transitional circumstances. Friends are both sources of social support and models for behavior. Furthermore, friendship networks are known to have a significant influence on youths' functioning. Literature suggests that peer relations become more important in adolescence and friend support is related to child and adolescent well-being. Thus, friend relationships may be particularly important for immigrant youths who experience disruption in their friendship networks during the process of migration to another country. In addition to friendship networks and support, friend characteristics also need to be taken into consideration as important factors for immigrant youth adjustment. My study involved analyses of the effects of friend support and friend problem behaviors on emotional and behavioral functioning for elementary, middle, and high school age newly immigrant children and adolescents.  ^   Immigrant children and adolescents (N = 503) were interviewed at schools by interviewers fluent in participants' languages. Structural Equation Modeling (SEM) analyses revealed that friend support and friend problem behaviors were related to children's self-esteem and externalizing behaviors. In addition, friend problem behavior alone predicted children's psychological symptoms and depression scores. Furthermore, age/grade was found to be a moderator for the relation between friend problem behavior and immigrant youth behavioral adjustment such that compared to elementary and high school cohorts, middle school youths showed more externalizing behaviors when they had friends performing problem behaviors.  ^   Results supported the idea that both friend support and friend behavior are related to newly immigrant youths' emotional and behavioral adjustment. This study informs further research and interventions concerning the development of programs to facilitate immigrant youths' adjustment by revealing friendship factors related to their adaptation.^</p>

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</description>

<author>Ayse Cici Gokaltun</author>


<category>Psychology, Developmental|Psychology, General</category>

</item>




<item>
<title>Evaluating the effects of initial participation in the group therapy process</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554157</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554157</guid>
<pubDate>Wed, 22 May 2013 15:30:49 PDT</pubDate>
<description>
	<![CDATA[
	<p> Although the effectiveness of group therapy has been highlighted, the underlying mechanisms involved in the group process have been under studied. The purpose of this study is twofold. First, the current study utilized an outcome mediation model to examine whether initial level of participation in the intervention (Control/No intervention, non-participatory, participatory) predicted change in Identity Conflict Resolution (IDCR), Personal Expressiveness (PE) and Informational Identity Style (INFO) at posttest, and Internalizing (INT) and Externalizing (EXT) behaviors at post and follow-up assessment. Secondly, the current study examined whether relationships between variables varied as a result of group differences in initial participation. The study utilized an archival sample of 234 high school students, ages 14 to 18, who participated in the Changing Lives Program of the Youth Development Project (YDP) since 2003. Structural equation modeling (SEM) was used to examine differences in direct effects as a result of initial participation on an outcome meditational model. To further analyze this model, SEM was utilized to conduct a multi-group solution to examine whether group differences based on level of initial participation in the variables^</p>

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</description>

<author>Arlene Garcia</author>


<category>Psychology, General|Psychology, Clinical</category>

</item>




<item>
<title>Predictors of adolescent sexual intentions and behavior: Attitudes, parenting, and neighborhood risk</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554155</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554155</guid>
<pubDate>Wed, 22 May 2013 15:30:48 PDT</pubDate>
<description>
	<![CDATA[
	<p> The current study was a cross-sectional examination of data collected during an HIV risk reduction intervention in south Florida. The purpose of the study was to explore the relationships between neighborhood stress, parenting, attitudes, and adolescent sexual intentions and behavior. The Theory of Planned Behavior was used as a model to guide variable selection and propose an interaction pathway between predictors and outcomes.  ^   Potential predictor variables measured for adolescents ages 13–18 (n=196) included communication about sex, parent-family connectedness, parental presence, parent-adolescent activity participation, attitudes about sex and condom use, neighborhood disorder, and exposure to violence. Outcomes were behavioral intentions and sexual behavior for the previous eight months. Neighborhood data was supplemented with ZIP Code level data from regional sources and included median household income, percentage of minority and Hispanic residents, and number of foreclosures. Statistical tests included t-tests, Pearson's correlations, and hierarchical linear regressions.  ^   Results showed that males and older adolescents reported less positive behavioral intentions than females and adolescents younger than 16. Intentions were associated with condom attitudes, sexual attitudes, and parental presence; unprotected sexual behavior was associated with parental presence. The best fit model for intentions included gender, sexual attitudes, condom attitudes, parental presence, and neighborhood disorder. The unsafe sexual behavior model included whether the participant lived with both natural parents in the previous year, and the percent of Hispanic residents in the neighborhood.  ^   Study findings indicate that more research on adolescent sexual behavior is warranted, specifically examining the differentials between variables that affect intentions and those that affect behavior. A focus on gender and age differences during intervention development may allow for better targeting and more efficacious interventions. Adding peer and media influences to the framework of attitudes, parenting, and neighborhood may offer more insight into patterns of adolescent sexual behavior risk.^</p>

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</description>

<author>Anne Sperling Frankel</author>


<category>Health Sciences, Public Health|Psychology, Developmental</category>

</item>




<item>
<title>Tin oxide based composites derived using electrostatic spray deposition technique as anodes for lithium-ion batteries</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554151</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554151</guid>
<pubDate>Wed, 22 May 2013 15:30:47 PDT</pubDate>
<description>
	<![CDATA[
	<p> Recent advances in the electric & hybrid electric vehicles and rapid developments in the electronic devices have increased the demand for high power and high energy density lithium ion batteries. Graphite (theoretical specific capacity: 372 mAh/g) used in commercial anodes cannot meet these demands. Amorphous SnO<sub>2</sub> anodes (theoretical specific capacity: 781 mAh/g) have been proposed as alternative anode materials. But these materials have poor conductivity, undergo a large volume change during charging and discharging, large irreversible capacity loss leading to poor cycle performances.  ^   To solve the issues related to SnO<sub>2</sub> anodes, we propose to synthesize porous SnO<sub>2</sub> composites using electrostatic spray deposition technique. First, porous SnO<sub>2</sub>/CNT composites were fabricated and the effects of the deposition temperature (200, 250, 300 °C) & CNT content (10, 20, 30, 40 wt %) on the electrochemical performance of the anodes were studied. Compared to pure SnO<sub>2</sub> and pure CNT, the composite materials as anodes showed better discharge capacity and cyclability. 30 wt% CNT content and 250 °C deposition temperature were found to be the optimal conditions with regard to energy capacity whereas the sample with 20% CNT deposited at 250 °C exhibited good capacity retention. This can be ascribed to the porous nature of the anodes and the improvement in the conductivity by the addition of CNT. Electrochemical impedance spectroscopy studies were carried out to study in detail the change in the surface film resistance with cycling. By fitting EIS data to an equivalent circuit model, the values of the circuit components, which represent surface film resistance, were obtained. The higher the CNT content in the composite, lower the change in surface film resistance at certain voltage upon cycling. The surface resistance increased with the depth of discharge and decreased slightly at fully lithiated state.  ^   Graphene was also added to improve the performance of pure SnO<sub>2 </sub> anodes. The composites heated at 280 °C showed better energy capacity and energy density. The specific capacities of as deposited and post heat-treated samples were 534 and 737 mAh/g after 70 cycles. At the 70<sup>th</sup> cycle, the energy density of the composites at 195 °C and 280 °C were 1240 and 1760 Wh/kg, respectively, which are much higher than the commercially used graphite electrodes (37.2–74.4 Wh/kg). Both SnO<sub>2</sub>/CNTand SnO<sub>2</sub>/grapheme based composites with improved energy densities and capacities than pure SnO<sub>2</sub> can make a significant impact on the development of new batteries for electric vehicles and portable electronics applications.^</p>

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</description>

<author>Abirami Dhanabalan</author>


<category>Chemistry, Physical|Engineering, General|Engineering, Materials Science</category>

</item>




<item>
<title>Essays on emissions trading markets</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554152</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554152</guid>
<pubDate>Wed, 22 May 2013 15:30:47 PDT</pubDate>
<description>
	<![CDATA[
	<p> This dissertation is a collection of three economics essays on different aspects of carbon emission trading markets. The first essay analyzes the dynamic optimal emission control strategies of two nations. With a potential to become the largest buyer under the Kyoto Protocol, the US is assumed to be a monopsony, whereas with a large number of tradable permits on hand Russia is assumed to be a monopoly. Optimal costs of emission control programs are estimated for both the countries under four different market scenarios: non-cooperative no trade, US monopsony, Russia monopoly, and cooperative trading. The US monopsony scenario is found to be the most Pareto cost efficient. The Pareto efficient outcome, however, would require the US to make side payments to Russia, which will even out the differences in the cost savings from cooperative behavior. ^   The second essay analyzes the price dynamics of the Chicago Climate Exchange (CCX), a voluntary emissions trading market. By examining the volatility in market returns using AR-GARCH and Markov switching models, the study associates the market price fluctuations with two different political regimes of the US government. Further, the study also identifies a high volatility in the returns few months before the market collapse. Three possible regulatory and market-based forces are identified as probable causes of market volatility and its ultimate collapse. Organizers of other voluntary markets in the US and worldwide may closely watch for these regime switching forces in order to overcome emission market crashes.^   The third essay compares excess skewness and kurtosis in carbon prices between CCX and EU ETS (European Union Emission Trading Scheme) Phase I and II markets, by examining the tail behavior when market expectations exceed the threshold level. Dynamic extreme value theory is used to find out the mean price exceedence of the threshold levels and estimate the risk loss. The calculated risk measures suggest that CCX and EU ETS Phase I are extremely immature markets for a risk investor, whereas EU ETS Phase II is a more stable market that could develop as a mature carbon market in future years.^</p>

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</description>

<author>Kishore Kumar Dhavala</author>


<category>Economics, Environmental</category>

</item>




<item>
<title>Computational evaluation of wind loads on low- and highrise buildings</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554149</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554149</guid>
<pubDate>Wed, 22 May 2013 15:30:46 PDT</pubDate>
<description>
	<![CDATA[
	<p> Buildings and other infrastructures located in the coastal regions of the US have a higher level of wind vulnerability. Reducing the increasing property losses and causalities associated with severe windstorms has been the central research focus of the wind engineering community. The present wind engineering toolbox consists of building codes and standards, laboratory experiments, and field measurements. The American Society of Civil Engineers (ASCE) 7 standard provides wind loads only for buildings with common shapes. For complex cases it refers to physical modeling. Although this option can be economically viable for large projects, it is not cost-effective for low-rise residential houses.  ^   To circumvent these limitations, a numerical approach based on the techniques of Computational Fluid Dynamics (CFD) has been developed. The recent advance in computing technology and significant developments in turbulence modeling is making numerical evaluation of wind effects a more affordable approach. The present study targeted those cases that are not addressed by the standards. These include wind loads on complex roofs for low-rise buildings, aerodynamics of tall buildings, and effects of complex surrounding buildings. Among all the turbulence models investigated, the large eddy simulation (LES) model performed the best in predicting wind loads. The application of a spatially evolving time-dependent wind velocity field with the relevant turbulence structures at the inlet boundaries was found to be essential. All the results were compared and validated with experimental data. The study also revealed CFD's unique flow visualization and aerodynamic data generation capabilities along with a better understanding of the complex three-dimensional aerodynamics of wind-structure interactions.  ^   With the proper modeling that realistically represents the actual turbulent atmospheric boundary layer flow, CFD can offer an economical alternative to the existing wind engineering tools. CFD's easy accessibility is expected to transform the practice of structural design for wind, resulting in more wind-resilient and sustainable systems by encouraging optimal aerodynamic and sustainable structural/building design. Thus, this method will help ensure public safety and reduce economic losses due to wind perils.^</p>

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</description>

<author>Agerneh Kenubih Dagnew</author>


<category>Engineering, Civil</category>

</item>




<item>
<title>Factors influencing the implementation of substance use prevention programs in elementary schools</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554148</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554148</guid>
<pubDate>Wed, 22 May 2013 15:30:45 PDT</pubDate>
<description>
	<![CDATA[
	<p> Prevention scientists have called for more research on the factors affecting the implementation of substance use prevention programs. Given the lack of literature in this area, coupled with evidence that children as early as elementary school engage in substance use, the purpose of this study was to identify the factors that influence the implementation of substance use prevention programs in elementary schools. This study involved a mixed methods approach comprised of a survey and in-person interviews. Sixty-five guidance counselors and teachers completed the survey, and 9 guidance counselors who completed the survey were interviewed individually. Correlation analyses and hierarchical multiple regression were conducted. Quantitative findings revealed ease of implementation most frequently influenced program implementation, followed by beliefs about the program's effectiveness. Qualitative findings showed curriculum modification as an important theme, as well as difficulty of program implementation. The in-person interviews also shed light on three interrelated themes influencing program implementation – The Wheel, time, and scheduling. Results indicate the majority of program providers modified the curriculum in some way. Implications for research, policy, and practice are discussed, and areas for future research are suggested.^</p>

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</description>

<author>Jackie Cruz Wagener</author>


<category>Social Work</category>

</item>




<item>
<title>Personality and performance: Assessing the mediating role of mental model formation in the personality-performance relationship</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554145</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554145</guid>
<pubDate>Wed, 22 May 2013 15:30:44 PDT</pubDate>
<description>
	<![CDATA[
	<p> Personality has long been linked to performance. Evolutions in this relationship have brought forward new questions regarding the true nature of how personality impacts performance. Both direct and indirect relationships have been proven significant. This study further investigated potential indirect relationships by including a mediating variable, mental model formation, in the personality-performance relationship. Undergraduate students were assessed in a 6-week period, Time 1 - Time 2 experiment. Conceptualizations of personality included measures of the Big 5 model and Self-efficacy, with performance measured by content quiz and overall course scores. Findings showed that the Big 5 personality traits, extraversion and agreeableness, positively and significantly impacted commonality with the instructor's mental model. However, commonality with the instructor's mental model did not impact performance. In comparison, commonality with an expert mental model positively and significantly impacted performance for both the content quiz and overall course score. Furthermore, similarity with an expert mental model positively and significantly impacted overall course performance. Hypothesized full mediation of mental model formation for the personality-performance relationship was not supported due to a lack of direct effect relationships required for mediation. However, a revised conceptualization of results emerged. Findings from the current study point to the novel and unique role mental models play in the personality-performance relationship. While personality traits do impact mental model formation, accuracy in the mental models formed is critical to performance.^</p>

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</description>

<author>Eric Cartaya</author>


<category>Business Administration, General</category>

</item>




<item>
<title>The endocrine basis for reproductive life-history trade-offs during the previtellogenic resting stage in the yellow fever mosquito, Aedes Aegypti</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554146</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554146</guid>
<pubDate>Wed, 22 May 2013 15:30:44 PDT</pubDate>
<description>
	<![CDATA[
	<p> Juvenile hormone (JH) is the central hormonal regulator of life-history trade-offs in many insects. In <i>Aedes aegypti,</i> JH regulates reproductive development after emergence. Little is known about JH's physiological functions after reproductive development is complete or JH's role in mediating life-history trade-offs. By examining the effect of hormones, nutrition, and mating on ovarian physiology during the previtellogenic resting stage, critical roles were determined for these factors in mediating life-history trade-offs and reproductive output. The extent of follicular resorption during the previtellogenic resting stage is dependent on nutritional quality. Feeding females a low quality diet during the resting stage causes the rate of follicular resorption to increase and reproductive output to decrease. Conversely, feeding females a high quality diet causes resorption to remain low. The extent of resorption can be increased by separating the ovaries from a source of JH or decreased by exogenous application of methoprene. Active caspases were localized to resorbing follicles indicating that an apoptosis-like mechanism participates in follicular resorption. Accumulations of neutral lipids and the accumulation of mRNA's integral to endocytosis and oocyte development such as the vitellogenin receptor (<i>Aa</i>VgR), lipophorin receptor (A<i>a</i>LpRov), heavy-chain clathrin (<i>Aa</i>CHC), and ribosomal protein L32 (rpL32) were also examined under various nutritional and hormonal conditions. The abundance of mRNA's and neutral lipid content increased within the previtellogenic ovary as mosquitoes were offered increasing sucrose concentrations or were treated with methoprene. These same nutritional and hormonal manipulations altered the extent of resorption after a blood meal indicating that the fate of follicles and overall fecundity depends, in part, on nutritional and hormonal status during the previtellogenic resting stage. Mating female mosquitoes also altered follicle quality and resorption similarly to nutrition or hormonal application and demonstrates that male accessory gland substances such as JH III passed to the female during copulation have a strong effect on ovarian physiology during the previtellogenic resting stage and can influence reproductive output. Taken together these results demonstrate that the previtellogenic resting stage is not an inactive period but is instead a period marked by extensive life-history and fitness trade-offs in response to nutrition, hormones and mating stimuli.^</p>

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</description>

<author>Mark Clifton</author>


<category>Biology, General|Biology, Evolution and Development</category>

</item>




<item>
<title>The impact of Round II Urban Empowerment Zones on local communities</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554144</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554144</guid>
<pubDate>Wed, 22 May 2013 15:30:43 PDT</pubDate>
<description>
	<![CDATA[
	<p> In the United States, the federal Empowerment Zone (EZ) program aimed to create and retain business investment in poor communities and to encourage local hiring through the use of special tax credits, relaxed regulations, social service grants, and other incentives. My dissertation explores whether the Round II Urban EZs had a beneficial impact on local communities and what factors influenced the implementation and performance of the EZs, using three modes of inquiry.^   First, linear regression models investigate whether the federal revitalization program had a statistically significant impact on the creation of new businesses and jobs in Round II Urban EZ communities. Second, location quotient and shift-share analysis are used to reveal the industry clusters in three EZ communities that experienced positive business and job growth. Third, qualitative analysis is employed to explore factors that influenced the implementation and performance of EZs in general, and in particular, Miami-Dade County, Florida.^   The results show an EZ's presence failed to have a significant influence on local business and job growth. In communities that experienced a beneficial impact from EZs, there has been a pattern of decline in manufacturing companies and increase in service-driven firms. The case study suggests that institutional factors, such as governance structure, leadership, administrative capacity, and community participation have affected the effectiveness of the program's implementation and performance.^</p>

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</description>

<author>Agatha Swift Caraballo</author>


<category>Political Science, Public Administration</category>

</item>




<item>
<title>Determination of signature volatile odor chemicals emanating from novel biological specimens by non-invasive analytical techniques for the potential use in forensic identifications</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554140</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554140</guid>
<pubDate>Wed, 22 May 2013 15:30:42 PDT</pubDate>
<description>
	<![CDATA[
	<p> Human scent, or the volatile organic compounds (VOCs) produced by an individual, has been recognized as a biometric measurement because of the distinct variations in both the presence and abundance of these VOCs between individuals. In forensic science, human scent has been used as a form of associative evidence by linking a suspect to a scene/object through the use of human scent discriminating canines. The scent most often collected and used with these specially trained canines is from the hands because a majority of the evidence collected is likely to have been handled by the suspect. However, the scents from other biological specimens, especially those that are likely to be present at scenes of violent crimes, have yet to be explored. Hair, fingernails and saliva are examples of these types of specimens.  ^   In this work, a headspace solid phase microextraction gas chromatography-mass spectrometry (HS-SPME-GC-MS) technique was used for the identification of VOCs from hand odor, hair, fingernails and saliva. Sixty individuals were sampled and the profiles of the extracted VOCs were evaluated to assess whether they could be used for distinguishing individuals. Preliminary analysis of the biological specimens collected from an individual (intra-subject) showed that, though these materials have some VOCs in common, their overall chemical profile is different for each specimen type. Pair-wise comparisons, using Spearman Rank correlations, were made between the chemical profiles obtained from each subject, per a specimen type. Greater than 98.8% of the collected samples were distinguished from the subjects for all of the specimen types, demonstrating that these specimens can be used for distinguishing individuals.  ^   Additionally, field trials were performed to determine the utility of these specimens as scent sources for human scent discriminating canines. Three trials were conducted to evaluate hair, fingernails and saliva in comparison to hand odor, which was considered the standard source of human odor. It was revealed that canines perform similarly to these alternative human scent sources as they do to hand odor implying that, though there are differences in the chemical profiles released by these specimens, they can still be used for the discrimination of individuals by trained canines.^</p>

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</description>

<author>Jessica Sara Brown</author>


<category>Chemistry, General|Chemistry, Analytical|Chemistry, Biochemistry</category>

</item>




<item>
<title>Top down control in a relatively pristine seagrass ecosystem</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554142</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554142</guid>
<pubDate>Wed, 22 May 2013 15:30:42 PDT</pubDate>
<description>
	<![CDATA[
	<p> The loss of large-bodied herbivores and/or top predators has been associated with large-scale changes in terrestrial, freshwater, and marine ecosystems around the world. Understanding the consequences of these declines has been hampered by a lack of studies in relatively pristine systems. To fill this gap, I investigated the dynamics of the relatively pristine seagrass ecosystem of Shark Bay, Australia. I began by examining the seagrass species distributions, stoichiometry, and patterns of nutrient limitation across the whole of Shark Bay. Large areas were N-limited, P-limited, or limited by factors other than nutrients. Phosphorus-limitation was centered in areas of restricted water exchange with the ocean. Nutrient content of seagrasses varied seasonally, but the strength of seasonal responses were species-specific. Using a cafeteria-style experiment, I found that fast-growing seagrass species, which had higher nutrient content experienced higher rates of herbivory than slow-growing species that are dominant in the bay but have low nutrient content. Although removal rates correlated well with nutrient content at a broad scale, within fast-growing species removal rates were not closely tied to N or P content. Using a combination of stable isotope analysis and animal borne video, I found that green turtles (<i>Chelonia mydas</i>)—one of the most abundant large-bodied herbivores in Shark Bay—appear to assimilate little energy from seagrasses at the population level. There was, however, evidence of individual specialization in turtle diets with some individuals foraging largely on seagrasses and others feeding primarily on macroalgae and gelatinous macroplankton. Finally, I used exclusion cages, to examine whether predation-sensitive habitat shifts by megagrazers (green turtles, dugongs) transmitted a behavior-mediated trophic cascade (BMTC) between sharks and seagrasses. In general, data were consistent with predictions of a behavior-mediated trophic cascade. Megaherbivore impacts on seagrasses were large only in the microhabitat where megaherbivores congregate to reduce predation risk. My study highlights the importance of large herbivores in structuring seagrass communities and, more generally, suggests that roving top predators likely are important in structuring communities—and possibly ecosystems—through non-consumptive pathways.^</p>

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</description>

<author>Derek Anthony Burkholder</author>


<category>Biology, General|Biology, Ecology</category>

</item>




<item>
<title>Ecosystem structure in disturbed and restored subtropical seagrass meadows</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554138</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554138</guid>
<pubDate>Wed, 22 May 2013 15:30:41 PDT</pubDate>
<description>
	<![CDATA[
	<p> Shallow seagrass ecosystems frequently experience physical disturbance from vessel groundings. Specific restoration methods that modify physical, chemical, and biological aspects of disturbances are used to accelerate recovery. This study evaluated loss and recovery of ecosystem structure in disturbed seagrass meadows through plant and soil properties used as proxies for primary and secondary production, habitat quality, benthic metabolism, remineralization, and nutrient storage and exchange. The efficacy of common seagrass restoration techniques in accelerating recovery was also assessed.  ^   Beyond removal of macrophyte biomass, disturbance to seagrass sediments resulted in loss of organic matter and stored nutrients, and altered microbial and infaunal communities. Evidence of the effectiveness of restoration actions was variable. Fill placement prevented additional erosion, but the resulting sediment matrix had different physical properties, low organic matter content and nutrient pools, reduced benthic metabolism, and less primary and secondary production relative to the undisturbed ecosystem. Fertilization was effective in increasing nitrogen and phosphorus availability in the sediments, but concurrent enhancement of seagrass production was not detected. Seagrass herbivores removed substantial seagrass biomass via direct grazing, suggesting that leaf loss to seagrass herbivores is a spatially variable but critically important determinant of seagrass transplanting success.  ^   Convergence of plant and sediment response variables with levels in undisturbed seagrass meadows was not detected via natural recovery of disturbed sites, or through filling and fertilizing restoration sites. However, several indicators of ecosystem development related to primary production and nutrient accumulation suggest that early stages of ecosystem development have begun at these sites. This research suggests that vessel grounding disturbances in seagrass ecosystems create more complex and persistent resource losses than previously understood by resource managers. While the mechanics of implementing common seagrass restoration actions have been successfully developed by the restoration community, expectations of consistent or rapid recovery trajectories following restoration remain elusive.^</p>

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</description>

<author>Amanda Sarah Bourque</author>


<category>Biology, General|Biology, Ecology</category>

</item>




<item>
<title>Positron emission tomography (PET) tumor segmentation and quantification: Development of new algorithms</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554136</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554136</guid>
<pubDate>Wed, 22 May 2013 15:30:40 PDT</pubDate>
<description>
	<![CDATA[
	<p> Tumor functional volume (FV) and its mean activity concentration (mAC) are the quantities derived from positron emission tomography (PET). These quantities are used for estimating radiation dose for a therapy, evaluating the progression of a disease and also use it as a prognostic indicator for predicting outcome. PET images have low resolution, high noise and affected by partial volume effect (PVE). Manually segmenting each tumor is very cumbersome and very hard to reproduce. To solve the above problem I developed an algorithm, called iterative deconvolution thresholding segmentation (IDTS) algorithm; the algorithm segment the tumor, measures the FV, correct for the PVE and calculates mAC. The algorithm corrects for the PVE without the need to estimate camera's point spread function (PSF); also does not require optimizing for a specific camera. My algorithm was tested in physical phantom studies, where hollow spheres (0.5-16 ml) were used to represent tumors with a homogeneous activity distribution. It was also tested on irregular shaped tumors with a heterogeneous activity profile which were acquired using physical and simulated phantom. The physical phantom studies were performed with different signal to background ratios (SBR) and with different acquisition times (1-5 min). The algorithm was applied on ten clinical data where the results were compared with manual segmentation and fixed percentage thresholding method called T50 and T60 in which 50% and 60% of the maximum intensity respectively is used as threshold. The average error in FV and mAC calculation was 30% and -35% for 0.5 ml tumor. The average error FV and mAC calculation were ~5% for 16 ml tumor. The overall FV error was ∼10% for heterogeneous tumors in physical and simulated phantom data. The FV and mAC error for clinical image compared to manual segmentation was around -17% and 15% respectively. In summary my algorithm has potential to be applied on data acquired from different cameras as its not dependent on knowing the camera's PSF. The algorithm can also improve dose estimation and treatment planning.^</p>

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</description>

<author>Ruchir Bhatt</author>


<category>Engineering, Biomedical|Health Sciences, Radiology|Health Sciences, Oncology</category>

</item>




<item>
<title>The nature of microvariability in blazar 0716+714</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554137</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554137</guid>
<pubDate>Wed, 22 May 2013 15:30:40 PDT</pubDate>
<description>
	<![CDATA[
	<p> We organized an international campaign to observe the blazar 0716+714 in the optical band. The observations took place from February 24, 2009 to February 26, 2009. The global campaign was carried out by observers from more that sixteen countries and resulted in an extended light curve nearly seventy-eight hours long. The analysis and the modeling of this light curve form the main work of this dissertation project. In the first part of this work, we present the time series and noise analyses of the data. The time series analysis utilizes discrete Fourier transform and wavelet analysis routines to search for periods in the light curve. We then present results of the noise analysis which is based on the idea that each microvariability curve is the realization of the same underlying stochastic noise processes in the blazar jet. ^   Neither reoccuring periods nor random noise can successfully explain the observed optical fluctuations. Hence in the second part, we propose and develop a new model to account for the microvariability we see in blazar 0716+714. We propose that the microvariability is due to the emission from turbulent regions in the jet that are energized by the passage of relativistic shocks. Emission from each turbulent cell forms a pulse of emission, and when convolved with other pulses, yields the observed light curve. We use the model to obtain estimates of the physical parameters of the emission regions in the jet.^</p>

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</description>

<author>Gopal P Bhatta</author>


<category>Physics, Astrophysics|Physics, General</category>

</item>




<item>
<title>Organized labor and U.S. foreign policy: The Solidarity Center in historical context</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554134</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554134</guid>
<pubDate>Wed, 22 May 2013 15:30:39 PDT</pubDate>
<description>
	<![CDATA[
	<p> During the Cold War the foreign policy of the American Federation of Labor and Congress of Industrial Organizations (AFL-CIO), was heavily criticized by scholars and activists for following the lead of the U.S. state in its overseas operations. In a wide range of states, the AFL-CIO worked to destabilize governments selected by the U.S. state for regime change, while in others the Federation helped stabilize client regimes of the U.S. state. In 1997 the four regional organizations that previously carried out AFL-CIO foreign policy were consolidated into the American Center for International Labor Solidarity (Solidarity Center). My dissertation is an attempt to analyze whether the foreign policy of the AFL-CIO in the Solidarity Center era is marked by continuity or change with past practices. At the same time, this study will attempt to add to the debate over the role of non-governmental organizations (NGOs) in the post-Cold War era, and its implications for future study.^   Using the qualitative "process-tracing" detailed by of Alexander George and Andrew Bennett (2005) my study examines a wide array of primary and secondary sources, including documents from the NED and AFL-CIO, in order to analyze the relationship between the Solidarity Center and the U.S. state from 2002-2009. Furthermore, after analyzing broad trends of NED grants to the Solidarity Center, this study examines three dissimilar case studies including Venezuela, Haiti, and Iraq and the Middle East and North African (MENA) region to further explore the connections between U.S. foreign policy goals and the Solidarity Center operations.^   The study concludes that the evidence indicates continuity with past AFL-CIO foreign policy practices whereby the Solidarity Center follows the lead of the U.S. state. It has been found that the patterns of NED funding indicate that the Solidarity Center closely tailors its operations abroad in areas of importance to the U.S. state, that it is heavily reliant on state funding via the NED for its operations, and that the Solidarity Center works closely with U.S. allies and coalitions in these regions. Finally, this study argues for the relevance of "top-down" NGO creation and direction in the post-Cold War era.^</p>

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</description>

<author>G. Nelson Bass</author>


<category>Political Science, General|Sociology, Industrial and Labor Relations</category>

</item>




<item>
<title>A state of war: Florida from 1939 to 1945</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554132</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554132</guid>
<pubDate>Wed, 22 May 2013 15:30:38 PDT</pubDate>
<description>
	<![CDATA[
	<p> World War II profoundly impacted Florida. The military geography of the State is essential to an understanding the war. The geostrategic concerns of place and space determined that Florida would become a statewide military base. Florida's attributes of place such as climate and topography determined its use as a military academy hosting over two million soldiers, nearly 15 percent of the GI Army, the largest force the US ever raised. One-in-eight Floridians went into uniform. Equally, Florida's space on the planet made it central for both defensive and offensive strategies. The Second World War was a war of movement, and Florida was a major jump off point for US force projection world-wide, especially of air power. Florida's demography facilitated its use as a base camp for the assembly and engagement of this military power.  ^   In 1940, less than two percent of the US population lived in Florida, a quiet, barely populated backwater of the United States. But owing to its critical place and space, over the next few years it became a 65,000 square mile training ground, supply dump, and embarkation site vital to the US war effort. Because of its place astride some of the most important sea lanes in the Atlantic World, Florida was the scene of one of the few Western Hemisphere battles of the war.  The militarization of Florida began long before Pearl Harbor. The pre-war buildup conformed to the US strategy of the war. The strategy of theUS was then (and remains today) one of forward defense: harden the frontier, then take the battle to the enemy, rather than fight them in North America. The policy of "Europe First," focused the main US war effort on the defeat of Hitler's Germany, evaluated to be the most dangerous enemy. In Florida were established the military forces requiring the longest time to develop, and most needed to defeat the Axis. Those were a naval aviation force for sea-borne hostilities, a heavy bombing force for reducing enemy industrial states, and an aerial logistics train for overseas supply of expeditionary campaigns.  ^   The unique Florida coastline made possible the seaborne invasion training demanded for US victory. The civilian population was employed assembling mass-produced first-generation container ships, while Floridahosted casualties, Prisoners-of-War, and transient personnel moving between the Atlantic and Pacific. By the end of hostilities and the lifting of Unlimited Emergency, officially on December 31, 1946, Floridahad become a transportation nexus. Florida accommodated a return of demobilized soldiers, a migration of displaced persons, and evolved into a modern veterans' <i>colonia.</i> It was instrumental in fashioning the modern US military, while remaining a center of the active National Defense establishment. Those are the themes of this work.^</p>

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</description>

<author>Anthony D Atwood</author>


<category>History, United States|History, Military</category>

</item>




<item>
<title>Adaptive software fault prediction approach using object-oriented metrics</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554133</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554133</guid>
<pubDate>Wed, 22 May 2013 15:30:38 PDT</pubDate>
<description>
	<![CDATA[
	<p> As users continually request additional functionality, software systems will continue to grow in their complexity, as well as in their susceptibility to failures. Particularly for sensitive systems requiring higher levels of reliability, faulty system modules may increase development and maintenance cost. Hence, identifying them early would support the development of reliable systems through improved scheduling and quality control. Research effort to predict software modules likely to contain faults, as a consequence, has been substantial.  ^   Although a wide range of fault prediction models have been proposed, we remain far from having reliable tools that can be widely applied to real industrial systems. For projects with known fault histories, numerous research studies show that statistical models can provide reasonable estimates at predicting faulty modules using software metrics. However, as context-specific metrics differ from project to project, the task of predicting across projects is difficult to achieve. Prediction models obtained from one project experience are ineffective in their ability to predict fault-prone modules when applied to other projects. Hence, taking full benefit of the existing work in software development community has been substantially limited. As a step towards solving this problem, in this dissertation we propose a fault prediction approach that exploits existing prediction models, adapting them to improve their ability to predict faulty system modules across different software projects.^</p>

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<author>Djuradj Babic</author>


<category>Computer Science</category>

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<title>Wage matters &amp; globalization: South Florida&apos;s low-wage immigrant plant nursery workers and business protectionism in the age of neoliberalism</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554128</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554128</guid>
<pubDate>Wed, 22 May 2013 15:30:37 PDT</pubDate>
<description>
	<![CDATA[
	<p> Ornamental plant production in the State of Florida is an anomaly with respect to current theories of globalization and particularly their explanation of the employment of low-wage, immigrant labor. Those theories dictate that unskilled jobs that do not need to be performed within highly developed countries are outsourced to where labor is cheaper and more flexible. However, the State of Florida remains an important site of ornamental plant production in the US amidst a global economic environment of outsourcing and transnational corporate expansion. This dissertation relies on 50 semi-structured interviews with insiders of the Florida plant nursery industry, focus groups, and participant observation to explain how US trade, labor, and migration policy-making at local levels are not removed from larger global processes taking place in the world since the 1970s. In Florida, elite market players of the plant nursery industry have been able to resist global trends in free trade, operating instead in a protected market. They have done this by appealing to scientific justifications and through arbitrary implementations of neoliberal ideology that keeps small and middle range business alive, while maintaining a seemingly endless supply of marginalized and exploited low-wage, immigrant workers.^</p>

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</description>

<author>Alejandro Angee</author>


<category>Sociology, General</category>

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<title>A longitudinal exploration of the relationship between oral reading fluency and reading comprehension achievement among a sample of diverse young learners</title>
<link>http://digitalcommons.fiu.edu/dissertations/AAI3554127</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/dissertations/AAI3554127</guid>
<pubDate>Wed, 22 May 2013 15:30:36 PDT</pubDate>
<description>
	<![CDATA[
	<p> Exploring the relationship between early oral reading fluency ability and reading comprehension achievement among an ethnically and racially diverse sample of young learners from low-income families, attending elementary school within a large public school district in southeast Florida is the purpose of this longitudinal study. Although many studies have been conducted to address the relationship between oral reading fluency ability and reading comprehension achievement, most of the existing research failed either to disaggregate the data by demographic subgroups or secure a large enough sample of students to adequately represent the diverse subgroups.  ^   The research questions that guided this study were: (a) To what extent does early oral reading fluency ability measured in first, second, or third grade correlate with reading comprehension achievement in third grade? (b) To what extent does the relationship of early oral reading fluency ability and reading comprehension achievement vary by demographic subgroup membership (i.e., gender, race/ethnicity, socioeconomic status) among a diverse sample of students?  ^   A predictive research design using archived secondary data was employed in this nonexperimental quantitative methods study of 1,663 third grade students who attended a cohort of 25 Reading First funded schools. The data analyzed derived from the Dynamic Indicators of Basic Early Literacy Skills Oral Reading Fluency (DIBELS ORF) measure administered in first, second, and third grades and the Florida Comprehensive Assessment Test of the Sunshine State Standards (FCAT-SSS) Reading administered in third grade.  ^   Linear regression analyses between each of the oral reading fluency and reading comprehension measures produced significant positive correlations. Hierarchical regression analyses supported the predictive potential of all three oral reading fluency ability measures toward reading comprehension achievement, with the first grade oral reading fluency ability measure explaining the most significant variance in third grade reading comprehension achievement.  ^   Male students produced significant overall differences in variance when compared to female students as did the Other student subgroup (i.e., Asian, Multiracial, and Native American) when compared to Black, White, and Hispanic students. No significant differences in variance were produced between students from low and moderate socioeconomic families. These findings are vital toward adding to the literature of diverse young learners.^</p>

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</description>

<author>Teri L Acquavita</author>


<category>Education, Reading</category>

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<title>Human Rights as an Aspect of Hospitality Education</title>
<link>http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/16</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/16</guid>
<pubDate>Tue, 21 May 2013 07:05:18 PDT</pubDate>
<description>
	<![CDATA[
	<p>In an article entitled “Human Rights as an Aspect of Hospitality Education,” by William Morgan, Jr. Professor Florida International University School of Hospitality Management, Professor Morgan addresses the issues of staffing hospitality establishments especially on the restaurant industry side of the equation.</p>
<p>“The most chronic problem and probably one of the most important which faces the hospitality industry today is a shortage of workers, mainly at the operational level. Community colleges and universities have little trouble filling classroom seats in an attempt to train and educate potential managers, but cook programs, even under the Mutual Training and Development Act where workers receive money to go to school, go unfilled and operating positions of cooks, utility men, waiters, maids, housemen, etc., go begging.”</p>
<p>Even more importantly, Morgan visits problems of human rights, which he says contributes to staffing problems within the industry.</p>
<p>“But of even greater importance to this problem is the propensity of the industry to contribute to the inequities which exist naturally in our society and which exacerbate the problem both at home and overseas. This results in the industry being suspect in the area of human rights and contributes to a lack of adequate personnel to staff facilities.”</p>
<p>Morgan suggests cultural differences and influences are contributing factors in the mentality that make it difficult for certain groups to either embrace, or in contrast shun the hospitality industry.</p>
<p>Morgan also explores the significance of wages as an influential [negative] staffing factor, and introduces a quote by Karl Marx to illustrate his point.</p>
<p>“In fact, some early theorists such as Doctor Quesnay of the Physiocrats of the 1700s suggested that wages would always only be equal to what was needed for subsistence, and nothing more. This theory was later embraced or elaborated upon by David Ricardo, who suggested that "the natural price of labor is that price which is necessary to enable laborers one with another to subsist and to perpetuate their race without increase or diminution." Karl Marx, in viewing the events which existed in the Manchester factories of the 1800s, suggested wages to be nothing more than what was left over after profits had been taken and which only maintained workers at subsistence level.”</p>
<p>Issues of race and gender are also explored.</p>

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<author>William Morgan Jr.</author>


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<title>Projecting Sales and Costs for the Food Service Operation</title>
<link>http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/14</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/14</guid>
<pubDate>Tue, 21 May 2013 07:05:17 PDT</pubDate>
<description>
	<![CDATA[
	<p>In the article, “Projecting Sales and Costs for the Food Service Operation” by Mickey Warner, Assistant Professor Florida International University School of Hospitality Management, Warner addresses the issue of preparing food cost projections for facilities in the hospitality industry.</p>
<p>“Any food service operator can prepare sound projections of sales and costs by following some simple guidelines and making some sound decisions. These projections can be used for preparing annual budgets for an existing facility, planning for a new facility, preparing the basis for a feasibility study, purchasing an existing facility, or expanding an existing facility.”</p>
<p>Warner approaches the problem from an accounting standpoint, and offers six basic categories to project sales and operational costs.</p>
<p>sales</p>
<p>cost of sales</p>
<p>gross profit</p>
<p>labor costs</p>
<p>operating expenses</p>
<p>fixed costs</p>
<p>The format enables the operator to ascertain the feasibility of either opening a new location, or projecting costs within an existing operation.</p>
<p>Warner also uses a---case history---to illustrate his principles. The example is of a "white tablecloth" dinner house planned for a seasonal site in Lantana, Florida.</p>
<p>Graphs and detailed figures are also used to demonstrate his points.</p>
<p>Warner closes his article by referencing another article, “A Point of Difference</p>
<p>And a Pinch of Pizazz,” by Vince Kikugawa, Vice President Specialty Restaurant Operations, Host International, Inc. [1983]</p>

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<author>Mickey Warner</author>


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<title>History of the Casino in America</title>
<link>http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/15</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/15</guid>
<pubDate>Tue, 21 May 2013 07:05:17 PDT</pubDate>
<description>
	<![CDATA[
	<p>In the article “History of the Casino in America,” written by Theodore F. Veskosky, Visiting Assistant Professor Florida International University School of Hospitality Management, the author revisits the history and beginnings of the casino gaming industry in the United States.</p>
<p>“The southern ports along the Mississippi River, the country's chief commercial thoroughfare, became a hotbed for this growing form of popular recreation. Much of the early gaming activity centered around serving the betting needs of the lusty river men from the Mississippi flatboats and keelboats. New Orleans, the most worldly city in beginning America and one of her major ports, is frequently cited as the birthplace of the modern casino. It is also the city where craps, one of the most popular of current casino games, was first introduced by France's Louis Philippe in 1798.”</p>
<p>The article contains a number of historical and anecdotal references which are very interesting, such as: “The catalyst for this disruption was the aborted takeover of many of the larger river communities by a highly organized group of professional gamblers and outlaws called the Clan of the Mystic Confederacy,” which tok place in the years between 1835-1838.</p>
<p>Veskosky traces casino/gaming development from its humble beginnings, into major cities [where localities had to weed-out nefarious elements], and then into the contemporary age, where legal infrastructures are in place to regulate the industry. And an industry it has become, indeed!</p>
<p>Veskosky also outlines the development of Atlantic City, New Jersey as a major casino center on the Eastern Seaboard, as well as describing some cogent points regarding Las Vegas, Nevada gambling establishments.</p>

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</description>

<author>Theodore F. Veskosky</author>


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<title>Budget Lodging Market</title>
<link>http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/13</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/13</guid>
<pubDate>Tue, 21 May 2013 07:05:16 PDT</pubDate>
<description>
	<![CDATA[
	<p>In the article “Budget Lodging Market,” by M. Chase Burritt [Manager Mangement Advisory Services Laventhol & Horwath / Miami Certified Public Accountants 1982], Burritt explores the ratio between established high-end lodging, and the newer trend toward less expensive or budget lodging.</p>
<p>“In the past several years, it appears that a majority of the new construction in the Sunbelt has been oriented toward the "full service" or upper-tier lodging product.”</p>
<p>Burritt provides figures and graphs that help to explain trends in the lodging market, and he further provides---five development factors---which would indicate why the drift toward more budget oriented properties is not only desirable, but equitable.</p>
<p>“Not only will the process be less complex, the overall costs are significantly lower. For example, total fixed asset costs per room in budget lodging facilities, which are wholly owned, were approximately $11,224 in 1980. Comparatively, full-service lodging required, on the average, $27,569 per available room in 1980.”</p>
<p>Burritt also examines some---downside risks---but considers them to be minor inconveniences which are easy to negotiate.</p>
<p>His long-term view is that with a modification of existing infrastructure [designed toward high-end development], the budget market is certainly worth any potential risk, and is unquestionably a viable alternative.</p>

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</description>

<author>M. Chase Burritt</author>


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<title>If you think that you are safely cradled in the arms of a &quot;Grandfather Clause,&quot; you may be in for an expensive surprise</title>
<link>http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/12</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/12</guid>
<pubDate>Tue, 21 May 2013 07:05:15 PDT</pubDate>
<description>
	<![CDATA[
	<p>In the article, “If you think that you are safely cradled in the arms of a "Grandfather Clause," you may be in for an expensive surprise” by Elio Bellucci Assistant Professor and Anthony G. Marshall, Dean Florida International University School of Hospitality Management, the authors address the issues of fire and safety code compliances.</p>
<p>Some property owners are exempted from new, more stringent laws/regulations due to grandfather clauses.</p>
<p>“Let us take an analytical look at the problem posed by grandfather clauses vs. liability, or rather protection from liability, and see whether or not we can see what path the law and jury verdicts will follow in the future.”</p>
<p>The authors recommend that property owners not get lulled into false senses of security by grandfather clauses, but rather should prepare themselves for the more stringent fire and safety codes that are established through time in their communities.</p>
<p>In this way property owners [i.e. hotels, restaurants, etc.] can better protect the public they serve, and avoid potential litigations.</p>

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<author>Elio Bellucci et al.</author>


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<title>Parker&apos;s Computer Laws</title>
<link>http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/10</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/10</guid>
<pubDate>Tue, 21 May 2013 07:05:14 PDT</pubDate>
<description>
	<![CDATA[
	<p>In this article, Parker’s Computer Laws by Alan J. Parker, in a laws and corollaries outline form, Parker addresses the liabilities surrounding computer failures in the hospitality industry.</p>
<p>The article also discusses legal and lawsuit consequences as a result of computer failure.</p>
<p>“After almost 20 years of experience in the computer field, certain "laws" have become obvious if one wishes to avoid the types of computer debacles that occur all the time. With the current level of computer technology, there is no reason why any computer installation should not be a success. Success is defined as a timely acquisition of both computer equipment (hardware) and programs (software) that meet the purchaser's requirements.”</p>
<p>The article further recommends the use of reliable computer consultants and organizations.</p>
<p>Additionally, Parker suggests all computer staff should work in the field. Corallary 1: Make corporate computer staff work in the field for at least one week each year.</p>

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<author>Alan J. Parker</author>


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<title>Tip Reporting Law Confusion</title>
<link>http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/11</link>
<guid isPermaLink="true">http://digitalcommons.fiu.edu/hospitalityreview/vol1/iss1/11</guid>
<pubDate>Tue, 21 May 2013 07:05:14 PDT</pubDate>
<description>
	<![CDATA[
	<p>The article, Tip Reporting Law Confusion by Paul M. D'Andrea, David B. Fein, and Thor M. Halvorsen addresses U.S. Internal Revenue Service concerns regarding---tip reporting---in the food and beverage industry.</p>
<p>“Some confusion and a great deal of misunderstanding surrounds the recently adopted tip reporting rules contained within the Tax Equity and Fiscal Responsibility Act passed by Congress last summer and effective January 1, 1983.”</p>
<p>“…food or beverage establishments of over 10 full-time employees (80 employee hours per day)… reported tips must equal at least 8 percent of gross sales (an exception to 5 percent may be requested).”</p>
<p>The article suggests where to find information about tax & tip reporting, and what possible IRS tax forms might be used for the purpose.</p>
<p>“When payday arrived, they [tipped employees] actually owed the tax collectors money.”</p>

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</description>

<author>Paul M. D&apos;Andrea et al.</author>


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