Effectiveness of a comprehensive smoking control program for worksites

1995 ◽  
Author(s):  
M. C. Willemsen ◽  
R. Genders ◽  
H. De Vries
1978 ◽  
Vol 13 (6) ◽  
pp. 1009-1012 ◽  
Author(s):  
Edward E. Abramson ◽  
Richard C. Sequest

1984 ◽  
Vol 31 (1) ◽  
pp. 47-51 ◽  
Author(s):  
Simon Chapman ◽  
Bernie McKay

Complaints and judgements about smoking and anti-smoking advertisements under advertising self regulation. The advertising self-regulatory system in Australia has recently dealt with two complaints concerning cigarette smoking. Two advertisements from a large-scale smoking control program were the subject of a complaint from the tobacco industry, resulting in one being effectively banned. Complaints were also sent to the same self-regulatory body by a consumer group about three cigarette advertisements. These were not upheld. Details of the complaints and their outcomes are given, with the critical conclusion being drawn that considerably greater latitude in what was judged to be acceptable was afforded the cigarette advertisers than was the smoking control program: Inherent limits on the impartiality of self-regulatory systems are discussed.


1984 ◽  
Vol 17 (4) ◽  
pp. 485-495 ◽  
Author(s):  
J M Malott ◽  
R E Glasgow ◽  
H K O'Neill ◽  
R C Klesges

1981 ◽  
Vol 11 (4) ◽  
pp. 361-367 ◽  
Author(s):  
Edward Lichtenstein ◽  
Charles C. Ransom ◽  
Richard A. Brown

One hundred and seventeen smokers were presented with descriptions of a smoking control program and a smoking counselor and were then asked to rate program and counselor effectiveness and counselor empathy. The descriptions varied along three dimensions constituting a 3 × 2 × 2 factorial design: counselor smoking status—ex-smoker, current smoker, never smoker; experience level; and group or individual treatment. Counselor smoking status yielded highly significant main effects on all three dependent measures. There were no other significant main effects. Experience level tended to moderate the effects of smoking status though the interaction was significant only for program effectiveness. Responses to direct preference questions confirmed the counselor smoking status findings and indicated a preference for group over individual treatment.


2004 ◽  
Vol 6 (2) ◽  
pp. 269-274 ◽  
Author(s):  
Russell Glasgow ◽  
Shawn Boles ◽  
Edward Lichtenstein ◽  
Michael Lee ◽  
Lyn Foster

1988 ◽  
Vol 56 (4) ◽  
pp. 617-620 ◽  
Author(s):  
Russell E. Glasgow ◽  
Robert C. Klesges ◽  
Lisa M. Klesges ◽  
Grant R. Somes

2017 ◽  
Vol 63 (10) ◽  
pp. 917-921
Author(s):  
Antonio Pedro Mirra ◽  
Adriana Pereira de Carvalho

Summary Introduction: In the tobacco control program, educational, socioeconomic, ecological and legislative actions should be planned. Legislative actions should include the federal, state and municipal spheres, have a primarily preventive purpose and federal reach. Objective: Survey of bills presented in both legislative houses at federal level, House of Representatives and Senate (which together form the National Congress) and the resulting laws. Method: In the period from 1965 to 2015, 254 bills were filed with the House of Representatives and, from 1971 to 2015, 68 others were presented to the Senate. Results: In the House of Representatives, of the 254 bills, 68.9% were archived/rejected/returned, 14.9% did not have a result, 12.2% are currently being processed/analyzed by commissions, 2.0% refer to the inclusion of amendments/law annexes, 1.2% were transformed into legal norm/proposition of origin and 0.8% were transformed into laws. In the Senate, of the 68 bills, 19.1% were filed, 33.8% did not have a result, 4.4% were currently being processed, and 42.7% referred to changes in the law. Anti--tobacco actions were more prevalent in the periods 1979-1984 by the AMB, 1985-2007 by MS/INCA, and in 2008-2015 by the ACT. Conclusion: Tobacco control legislation has progressed constantly, with the provocation of legislators from both Houses triggered by the MS/INCA and civil entities committed to smoking control, such as a number of non-governmental organizations (especially the AMB and the ACT).


1971 ◽  
Vol 33 (6) ◽  
pp. 545-556 ◽  
Author(s):  
Martin A. Jacobs ◽  
Aron Z. Spilken ◽  
Martin M. Norman ◽  
Gerald W. Wohlberg ◽  
Peter H. Knapp

Author(s):  
William F. Chambers ◽  
Arthur A. Chodos ◽  
Roland C. Hagan

TASK8 was designed as an electron microprobe control program with maximum flexibility and versatility, lending itself to a wide variety of applications. While using TASKS in the microprobe laboratory of the Los Alamos National Laboratory, we decided to incorporate the capability of using subroutines which perform specific end-member calculations for nearly any type of mineral phase that might be analyzed in the laboratory. This procedure minimizes the need for post-processing of the data to perform such calculations as element ratios or end-member or formula proportions. It also allows real time assessment of each data point.The use of unique “mineral codes” to specify the list of elements to be measured and the type of calculation to perform on the results was first used in the microprobe laboratory at the California Institute of Technology to optimize the analysis of mineral phases. This approach was used to create a series of subroutines in TASK8 which are called by a three letter code.


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