Homeless and highly mobile students: A population-level description of the status of homeless students from three school districts

2011 ◽  
Vol 17 (2) ◽  
pp. 187-205 ◽  
Author(s):  
Anita M. Larson ◽  
Danielle M. Meehan
Author(s):  
Ron Avi Astor ◽  
Linda Jacobson ◽  
Stephanie L. Wrabel ◽  
Rami Benbenishty ◽  
Diana Pineda

For schools to be more proactive about addressing the needs of transitioning students and families, it’s important that district officials have a good sense of how often students are changing schools, who these students are, where they’re coming from, and where they’re going. Currently, there is wide variation in how states handle mobility in their student data systems. While some states have a specific definition of mobility, there are also differences in those definitions. By law, states track migrant and homeless students, but not all flag other groups of students that are likely to be mobile, such as military-connected students or those in foster care. Another complication is that when students move, schools do not mark the reason for the transition. Without knowing the reason for the change, all mobile students are lumped into one category— movers. But, as the previous chapter showed, the circumstances surrounding a move can affect students in different ways and have implications for how schools respond. If a move is proactive, for example, the family and the child may feel less stress and the student might feel more positive about the experience. If the change into a new school is reactive—caused perhaps by a difficult financial situation or leaving a negative situation at another school— the student and parents might feel more anxiety about the new school and need additional support and friendship during that time. Current data systems and the information they provide make it very difficult for researchers to separate the effect of the school move from the effect of the circumstances surrounding the move. These are important distinctions for educators to consider. Data systems do allow for researchers and practitioners to understand if a student moved during the summer or during the academic year. The timing of moves may be suggestive of the type of move a student is making; proactive moves may be more likely to occur in the summer months when learning will not be disrupted. Mid-year moves may have a proactive element, such as families moving for a better job, but they may also be reactive in nature, such as a loss of housing.


2015 ◽  
Vol 44 (3) ◽  
pp. 315-330 ◽  
Author(s):  
Ann S. Masten ◽  
Aria E. Fiat ◽  
Madelyn H. Labella ◽  
Ryan A. Strack

2012 ◽  
Vol 84 (3) ◽  
pp. 841-857 ◽  
Author(s):  
J. J. Cutuli ◽  
Christopher David Desjardins ◽  
Janette E. Herbers ◽  
Jeffrey D. Long ◽  
David Heistad ◽  
...  

PLoS Medicine ◽  
2020 ◽  
Vol 17 (12) ◽  
pp. e1003466
Author(s):  
Saskia Ricks ◽  
Claudia M. Denkinger ◽  
Samuel G. Schumacher ◽  
Timothy B. Hallett ◽  
Nimalan Arinaminpathy

Background Lateral flow urine lipoarabinomannan (LAM) tests could offer important new opportunities for the early detection of tuberculosis (TB). The currently licensed LAM test, Alere Determine TB LAM Ag (‘LF-LAM’), performs best in the sickest people living with HIV (PLHIV). However, the technology continues to improve, with newer LAM tests, such as Fujifilm SILVAMP TB LAM (‘SILVAMP-LAM’) showing improved sensitivity, including amongst HIV-negative patients. It is important to anticipate the epidemiological impact that current and future LAM tests may have on TB incidence and mortality. Methods and findings Concentrating on South Africa, we examined the impact that widening LAM test eligibility would have on TB incidence and mortality. We developed a mathematical model of TB transmission to project the impact of LAM tests, distinguishing ‘current’ tests (with sensitivity consistent with LF-LAM), from hypothetical ‘future’ tests (having sensitivity consistent with SILVAMP-LAM). We modelled the impact of both tests, assuming full adoption of the 2019 WHO guidelines for the use of these tests amongst those receiving HIV care. We also simulated the hypothetical deployment of future LAM tests for all people presenting to care with TB symptoms, not restricted to PLHIV. Our model projects that 2,700,000 (95% credible interval [CrI] 2,000,000–3,600,000) and 420,000 (95% CrI 350,000–520,000) cumulative TB incident cases and deaths, respectively, would occur between 2020 and 2035 if the status quo is maintained. Relative to this comparator, current and future LAM tests would respectively avert 54 (95% CrI 33–86) and 90 (95% CrI 55–145) TB deaths amongst inpatients between 2020 and 2035, i.e., reductions of 5% (95% CrI 4%–6%) and 9% (95% CrI 7%–11%) in inpatient TB mortality. This impact in absolute deaths averted doubles if testing is expanded to include outpatients, yet remains <1% of country-level TB deaths. Similar patterns apply to incidence results. However, deploying a future LAM test for all people presenting to care with TB symptoms would avert 470,000 (95% CrI 220,000–870,000) incident TB cases (18% reduction, 95% CrI 9%–29%) and 120,000 (95% CrI 69,000–210,000) deaths (30% reduction, 95% CrI 18%–44%) between 2020 and 2035. Notably, this increase in impact arises largely from diagnosis of TB amongst those with HIV who are not yet in HIV care, and who would thus be ineligible for a LAM test under current guidelines. Qualitatively similar results apply under an alternative comparator assuming expanded use of GeneXpert MTB/RIF (‘Xpert’) for TB diagnosis. Sensitivity analysis demonstrates qualitatively similar results in a setting like Kenya, which also has a generalised HIV epidemic, but a lower burden of HIV/TB coinfection. Amongst limitations of this analysis, we do not address the cost or cost-effectiveness of future tests. Our model neglects drug resistance and focuses on the country-level epidemic, thus ignoring subnational variations in HIV and TB burden. Conclusions These results suggest that LAM tests could have an important effect in averting TB deaths amongst PLHIV with advanced disease. However, achieving population-level impact on the TB epidemic, even in high-HIV-burden settings, will require future LAM tests to have sufficient performance to be deployed more broadly than in HIV care.


Oryx ◽  
2010 ◽  
Vol 44 (2) ◽  
pp. 267-275 ◽  
Author(s):  
Anja Molinari-Jobin ◽  
Eric Marboutin ◽  
Sybille Wölfl ◽  
Manfred Wölfl ◽  
Paolo Molinari ◽  
...  

AbstractWe use the case of the Eurasian lynx Lynx lynx in the Alps to discuss how to implement existing directives and recommendations, as well as how to integrate biological concepts, into practical conservation and wildlife management. Since 1995 the occurrence of lynx in the Alpine countries has been monitored and reported by the Status and Conservation of the Alpine Lynx Population expert group. Both the area of occupancy and the estimated number of individuals increased from 1995–1999 to 2000–2004. The estimated number of lynx is 120–150 across the Alps and the area of occupancy 27,800 km2, in six distinct sub-areas. In the highly fragmented Alpine habitat lynx populations expand slowly, even in situations of high local density and when suitable habitat is available. Thus, almost 40 years after the first reintroduction, < 20% of the Alps have been recolonized by lynx. In addition to biological and ecological factors, the persistent disagreements about the return of the lynx between conservationists and other land-users, including livestock breeders and hunters, and the political fragmentation of the Alps (with different regional priorities and large carnivore policies), has prevented the creation of a consensus regarding pan-Alpine conservation goals for the lynx and the implementation of conservation measures such as translocations and reintroductions. We discuss possible approaches in the light of new guidelines for population level management plans for large carnivores recently developed on behalf of the European Commission.


1979 ◽  
Vol 2 (4) ◽  
pp. 225-241
Author(s):  
Joan Breiter

This study attempted to determine which of the 449 public school districts in the State of Iowa have programs for gifted elementary children, or are planning programs, and what factors in planning/implementing such programs seem of most importance at this time. Conducted in the Fall of 1977, 351 districts responded, of which 36 had an operative program and 60 were planning programs. The major conclusions to be drawn from the study are: (1) there is interest in the area, but most districts feel the need for assistance, (2) major problem areas in program building include the identification of gifted children, the definition of giftedness, and evaluation procedures, (3) there is a need to better prepare teachers to work with gifted children, and (4) the present program formats vary widely to fit local needs. Recommendations include: (1) careful needs assessment by districts planning programs, (2) more specific aid to be offered by DPI, AEA and University personnel, and (3) more adequate financial support for such programs.


2017 ◽  
Vol 49 (1) ◽  
pp. 39-56 ◽  
Author(s):  
Tetiana LUTSAK ◽  
Fernando FERNÁNDEZ-MENDOZA ◽  
Olga NADYEINA ◽  
Ayhan ŞENKARDEŞLER ◽  
Christian PRINTZEN

AbstractMost lichen-forming fungi are characterized by the production of secondary metabolites. Differences in metabolite patterns have frequently served to distinguish lichen taxa with subsequent controversies about the rank of chemical variants (chemotype, variety, subspecies or species). Using a model system, we investigate whether production of norstictic acid within a group of lichenized ascomycetes is correlated with phylogenetic patterns, population differentiation or single and multi-locus haplotypes. Our study is based on DNA sequences of three gene loci (ITS, GPD, mtLSU) together with HPLC (311) and TLC (594) data from a total of 594 samples of three closely related fruticose lichens: Cetraria aculeata and C. muricata without norstictic acid, and C. steppae with norstictic acid. In nature, C. aculeata and C. steppae often occur together and the status of C. steppae as a separate species has been questioned. Our results show geographical but no phylogenetic structure of norstictic acid production and few significant associations between genetic clusters and the occurrence of norstictic acid. All frequently distributed haplotypes display differences in norstictic acid content. The few associations at the population level are most likely a by-product of spatial genetic structure, because norstictic acid was expressed only in individuals from the Mediterranean-Central Asian part of the study area. We conclude that the production of norstictic acid in the C. aculeata group is most likely triggered by the environment (climate, edaphic factors, associated symbionts). Cetraria steppae might be a different evolutionary lineage restricted to warm temperate regions but it is not uniquely characterized by the presence of norstictic acid.


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