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Retaining the broad yet practical approach of previous editions, this popular textbook has been fully updated with research and theory from the last two decades to guide students through the concepts and principles of group dynamics. It now includes a brand-new introductory chapter, three new chapters on diversity and inclusion, creativity and design, and virtual groups, and dedicated chapters on communication and perception. Each chapter features in-class 'Try this!' activities that promote understanding of practical applications, new case examples from real-world organizations, and enhanced learning objectives to guide readers' learning experience. Hundreds of new studies have been added throughout, and examples consider the effects of the COVID-19 pandemic, remote working, the MeToo movement, social media, climate change, and political polarization. Suitable for both undergraduates and first-year graduates, this textbook is supported by an online test bank, PowerPoint lecture slides, activity worksheets, and suggested additional resources.
Dementia is the seventh leading cause of global mortality, with cases increasing. Psychosocial interventions might help prevent dementia and improve quality of life. Although it is cost-effective for non-clinically trained staff to deliver these, concerns are raised and little is known about the resulting impact on staff, especially for remote interventions.
Aims
To explore how non-clinically trained facilitators experienced delivering remote, one-to-one and group-based psychosocial interventions with older adults with memory loss and their family carers, under training and supervision.
Method
We conducted a secondary thematic analysis of interviews with non-clinically trained facilitators, employed by universities, the National Health Service and third-sector organisations, who facilitated either of two manualised interventions: the APPLE-Tree group dementia prevention for people with mild memory loss or the NIDUS-Family one-to-one dyadic intervention for people living with dementia and their family carers.
Results
The overarching theme of building confidence in developing therapeutic relationships was explained with subthemes that described the roles of positioning expertise (subtheme 1), developing clinical skills (subtheme 2), peer support (subtheme 3) in enabling this process and remote delivery as a potential barrier to it (subtheme 4).
Conclusions
Non-clinically trained facilitators can have positive experiences delivering remote psychosocial interventions with older adults. Differences in life experience could compound initial fears of being ‘in at the deep end’ and ‘exposed’ as lacking expertise. Fears were allayed by experiencing positive therapeutic relationships and outcomes, and by growing confidence. For this to happen, appropriate training and supervision is needed, alongside accounting for the challenges of remote delivery.
To explore how primary healthcare professionals (HCPs) tasked with facilitating primary healthcare service development with patient participation perceived their role.
Introduction:
Patient participation in health service development is a recognized means of ensuring that health services fit the public’s needs. However, HCPs are often uncertain about how to involve patient representatives (PRs), and patient participation is poorly implemented. Inspired by the Promoting Action on Research Implementation in Health Services framework, we address the innovation (patient participation), its recipients (PRs, HCPs, supervisors, and senior managers), and its context (primary healthcare at a local and organizational level).
Methods:
We conducted semi-structured individual interviews with six HCPs working as internal facilitators in primary healthcare in four Norwegian municipalities. The data were analyzed by applying Braun and Clarke’s reflexive thematic analysis.
Findings:
The themes show that to develop primary healthcare services with patient participation, facilitators must establish a network of PRs with relevant skills, promote involvement within their organization, engage HCPs favorable toward patient participation, and demonstrate to supervisors and senior managers its usefulness to win their support. Implementing patient participation must be a shared, collective responsibility of facilitators, supervisors, and senior management. However, supervisors and senior management appear not to fully understand the potential of involvement or how to support the facilitators. The facilitator role requires continuous and systematic work on multiple organizational levels to enable the development of health services with patient participation. It entails maintaining a network of persons with experiential knowledge, engaging HCPs, and having senior management’s understanding and support.
Chapter 3 explores cross-linguistic influence and various theories thereof in multilingual settings in which more than two languages interact with one another. It is specifically interested in the direction and strength of such influence, contingent on parameters like age of onset, proficiency, L1 and L2 status, linguistic and typological proximity, recency of use, language dominance, as well as various others. It identifies cross-linguistic influence as the more encompassing concept in comparison to the traditional notion of transfer widely used in second language acquisition studies. It also discusses the relationship between cross-linguistic influence and language interdependence, as proposed in education studies. While language interdependence builds on the proficiency-enhancing qualities of multilingualism (qua metalinguistic awareness), cross-linguistic influence can be both facilitative and inhibitory, the latter manifesting itself as interference. Crucially, non-facilitative transfer only arises within a normative system. Moreover, the mechanisms underlying cross-linguistic influence show important parallels to those identified in language contact studies with its focus on contact-induced language change.
How to promote wellbeing in old age is an issue that is drawing increasing attention as populations age in societies around the world. This study explores arts participation in later life and creative ageing through artistic engagement. We focus on potential participants who have had little prior experience with the arts, examining their journey through artistic activities, and the broader benefits to society of a creatively engaged population. We applied an action research methodology by designing two phases of arts workshops, one focused on hands-on creation activities and the other on appreciation of professional artists' works. This approach yielded the following findings. First, facilitation is key to initiating and sustaining artistic engagement among older adults, in part by helping them adapt to a changing society. Second, potential participants should be centred in discussions on creative initiatives. In particular, still active pre-seniors have much to offer in developing creative ageing initiatives. Third, arts participation for creative ageing goes far beyond the individual; it promotes community wellbeing and contributes to creating social value. Finally, we make an actionable suggestion that ‘facilitation for arts participation’ be developed as a specialised professional field.
Dispute management processes are becoming the norm as a precursor, or an alternative, to traditional court-based litigation. Dispute Management is a clear and concise introduction to an expansive range of dispute processes. Beginning with communication theory and practice, and the historical, philosophical and cultural considerations of dispute management, the book then addresses the traditional topics of negotiation, mediation and litigation, as well as interviewing, collaborative law and arbitration. Each topic is well-researched, offering the necessary depth, socio-legal considerations and balanced coverage of theory and practice. Chapters address relevant ethical and cultural issues and is supported by array of interesting examples that promote discussion. Case studies at the end of each chapter link theory to practice and present disputes between neighbours, conflict in the workplace and cases that make it to trial. Offering a combination of theoretical insights and practical information Dispute Management is a vital resource for students, lawyers and dispute practitioners.
This chapter debates the appropriateness of the Paris Agreement’s ‘compliance’ system. The treaty’s Article 15 establishes ‘a mechanism to facilitate implementation of and promote compliance with the provisions of this Agreement’. Views differ radically on the legal mandate of this mechanism and its capacity to ensure that states comply with their treaty obligations. Meinhard Doelle praises the mechanism’s ability to sensitively inform domestic political and legal processes and, thus, to increase the likelihood of an effective implementation of states’ obligations. Anna Huggins develops the argument that an effective compliance system comprises both facilitation and enforcement elements, yet the Paris mechanism limits itself to facilitation. Moreover, in its facilitative role, the mechanism is duplicative of other facilitative elements of the Agreement.
This chapter debates the appropriateness of the Paris Agreement’s ‘compliance’ system. The treaty’s Article 15 establishes ‘a mechanism to facilitate implementation of and promote compliance with the provisions of this Agreement’. Views differ radically on the legal mandate of this mechanism and its capacity to ensure that states comply with their treaty obligations. Meinhard Doelle praises the mechanism’s ability to sensitively inform domestic political and legal processes and, thus, to increase the likelihood of an effective implementation of states’ obligations. Anna Huggins develops the argument that an effective compliance system comprises both facilitation and enforcement elements, yet the Paris mechanism limits itself to facilitation. Moreover, in its facilitative role, the mechanism is duplicative of other facilitative elements of the Agreement.
The principle, extent and modalities pursuant to which States allow foreign investors to undertake economic activities over their territory depend mainly on domestic economic and social considerations. Host States strike a balance between conflicting interests and objectives, namely their economic development on the one hand, and the protection of a range of other domestic interests, on the other. Beyond the promotion and facilitation of foreign investments that constitutes a common teleological denominator of international investment agreements, treaty practice displays some diversity in relation to admission and establishment. This diversity reflects different balances struck by States parties between the above-mentioned interests and objectives and, more generally, between liberal and protectionist policies. Chapter 4 provides a study of this treaty practice. It examines briefly the promotion and facilitation of foreign investments before analysing in detail admission and establishment matters.
Despite the environmental stresses that mangrove forests experience – including fluctuating salinity, low soil oxygen and buffeting by waves – they can be highly productive. Facilitation, defined here as the benefits to an organism by the minimisation by neighbouring organisms of biotic or physical stress, may help explain this. Theory suggests that facilitation is likely in stressful environments, and trees and shrubs have been found to be particularly likely to exhibit facilitation. Hence, we should find facilitation in mangrove forests, and this chapter summarises new and published evidence for its existence. Facilitation occurs at a wide range of scales and during all different points in a mangrove tree's life. Amelioration of hydrodynamic and dessicative stresses can be important during seedling establishment and early growth. Interactions with fauna, including crabs and ants, can sustain tree production and help defend against herbivores. Ecosystem-scale facilitation helps ensure resilience in the face of changes such as sea-level rise. Hence facilitation is common in mangroves, and the challenge now is to gain a theoretical understanding of when and where to expect it.
The problems of today are increasingly complex in nature. Yet, most support provided by design agencies and innovation consultancies is based on unstructured approaches, guided by the facilitators own intuition. This article presents the Teckel canvas, an approach to guide problem reframing in facilitation to both tackle solution and problem understanding. After synthesising the main insights from prominent reframing methods and models, a meta-process of reframing was created, which was translated into a practical canvas. Two Dutch case studies are examined in which the proposed reframing canvas is tested. When this canvas was used in facilitation, we found out that the medium and message can be reframed separately or together and that the canvas can be used as a tool for overview on the subject. Our findings indicate that an explicit and tangible use of reframing can improve solving complex problems to be more clear, visual and reflective.
Fiona Hum, Monash University, Victoria,Bronwen Jackman, University of New England, Australia,Ottavio Quirico, University of New England, Australia,Gregor Urbas, Australian National University, Canberra,Kip Werren, University of New England, Australia
The continued development of the aquaculture industry is contributing to the proliferation of artificial structures in the marine environment. Observations of seaweed farms (infrastructure and biomass) suggest they act as a habitat for associated species. Seaweed farms differ from other forms of artificial infrastructure as the material deployed already has marine organisms (i.e. culture species) growing on it. This ‘priming’ of ropes with juvenile sporophytes may affect future development of communities by facilitating colonizing species or suppressing competitors. We call this process ‘ecological priming’: the provision of a biological platform that influences the successional development of specific communities. The communities that developed on ropes primed with Alaria esculenta individuals were compared with unprimed ropes to assess the ecological priming effect, at a commercial kelp farm in south-west Ireland. Species richness increased over two cultivation seasons and species composition was consistent between years, with distinct communities developing on primed and unprimed treatments. Timing of species occurrence on primed ropes was predictable with no predictable pattern occurring on unprimed ropes. Multivariate tests indicated distinct communities between treatments, with suppression of other algal species and potential facilitation of some species that have a particular association with A. esculenta on primed ropes. Communities from primed holdfasts contained a lower diversity of algal species compared with unprimed communities. Cultivated kelp holdfasts represent a habitat for distinct assemblages that reflect ecological priming of the substratum.
With the growing human population, and their improving wealth, it is predicted that there will be significant increases in demand for livestock products (mainly meat and milk). Recent years have demonstrated that the growth in livestock production has generally had significant impacts on wildlife worldwide; and these are, usually, negative. Here I review the interactions between livestock and wildlife and assess the mechanisms through which these interactions occur. The review is framed within the context of the socio-ecological system whereby people are as much a part of the interaction between livestock and wildlife as the animal species themselves. I highlight areas of interaction that are mediated through effects on the forage supply (vegetation) – neutral, positive and negative – however, the review broadly analyses the impacts of livestock production activities. The evidence suggests that it is not the interaction between the species themselves but the ancillary activities associated with livestock production (e.g. land use change, removal of predators, provision of water points) that are the major factors affecting the outcome for wildlife. So in future, there are two key issues that need to be addressed – first, we need to intensify livestock production in areas of ‘intensive’ livestock production in order to reduce the pressure for land use change to meet the demand for meat (land sparing). And second, if wildlife is to survive in areas where livestock production dominates, it will have to be the people part of the socio-ecological system that sees the benefits of having wildlife co-exist with livestock on farming lands (land sharing and win-win).
Although hospitals have been described as inadequate place for end-of-life care, many deaths still occur in hospital settings. Although patient-reported outcome measures have shown positive effects for patients in need of palliative care, little is known about how to implement them. We aimed to explore the feasibility of a pilot version of an implementation strategy for the Integrated Palliative care Outcome Scale (IPOS) in acute care settings.
Method
A strategy, including information, training, and facilitation to support the use of IPOS, was developed and carried out at three acute care units. For an even broader understanding of the strategy, it was also tested at a palliative care unit. A process evaluation was conducted including collecting quantitative data and performing interviews with healthcare professionals.
Result
Factors related to the design and performance of the strategy and the context contributed to the results. The prevalence of completed IPOS in the patient's records varied from 6% to 44% in the acute care settings. At the palliative care unit, the prevalence in the inpatient unit was 53% and the specialized home care team 35%. The qualitative results showed opposing perspectives concerning the training provided: Related to everyday work at the acute care units and Nothing in it for us at the palliative care unit. In the acute care settings, A need for an improved culture regarding palliative care was identified. A context characterized by A constantly increasing workload, a feeling of Constantly on-going changes, and a feeling of Change fatigue were found at all units. Furthermore, the internal facilitators and the nurse managers’ involvement in the implementation differed between the units.
Significance of the results
The feasibility of the strategy in our study is considered to be questionable and the components need to be further explored to enhance the impact of the strategy and thereby improve the use of IPOS.
Canopy-forming fucoid algae have an important role as ecosystem engineers on rocky intertidal shores, where they increase the abundance of species otherwise limited by exposure during low tide. The facilitative relationship between Ascophyllum nodosum and associated organisms was explored using a frond breakage experiment (100%, 50%, 25%, 0% intact-frond treatments) in southern England, to assess the consequences of disturbance. Understorey substratum temperature was on average 3°C higher in 0% and 25% intact-frond treatments than in plots with 50% and 100% intact fronds. Light (as PAR during low tide) doubled in 0% intact-frond treatments in comparison to other treatments (which had similar light levels). Mobile invertebrate species richness declined by on average 1 species per m2 in the treatments with only 25% and 0% intact fronds, and the abundance of Littorina obtusata declined by 2.4–4.2 individuals per m2 in the treatments with 25 and 0% intact fronds. Sessile taxa, including Osmundea pinnatifida and encrusting coralline algae, declined by half on average in the 0% intact-frond treatment. These results suggest that the ability of Ascophyllum to mediate environmental conditions to the understorey is the mechanism responsible for species distributed in the understorey (autogenic ecosystem engineering). The results of this study imply that a pulse disturbance resulting in a 50% breakage of Ascophyllum fronds significantly increases temperature and decreases the abundance of mobile invertebrates usually associated with Ascophyllum. Sessile taxa associated with Ascophyllum can, however, withstand disturbances down to 25% intact Ascophyllum fronds.
Plant competition studies designed to quantify interference between species provide valuable information on competitive interactions and on the effects of agronomic practices on those interactions. The effect of each species' density on the growth of itself and on the growth of the other species is quantified in a series of regression models. Traditionally, the models' regression coefficients have been combined in a series of ratios to quantify relative competitive ability and niche differentiation. Coefficients that are negative (positive interference—facilitation, mutualism) or zero (neutral interference or nonsignificant coefficient) do not lend themselves well to ratio-based methodology because of sign cancellation or undefined values, respectively. As a result, ratio-based methodology is limited to using only positive coefficients (negative interference—amensalism, competition). Rather than using ratios, the absolute-log method uses addition and subtraction of coefficients converted to a pseudologarithmic scale, thus allowing for use of coefficients with values that are negative or zero. As a result, the absolute-log method can be used to quantify relative competitive ability and niche differentiation involving all types of interference—negative, positive, and neutral. The absolute-log method includes an optional statistical procedure constructing confidence intervals for the estimates of relative competitive ability and niche differentiation.
Any plant not sown from seed is often labeled a weed in improved pastures of New Zealand. Most improved pastures are a mix of perennial ryegrass and white clover but generally are infested with broadleaf weeds. Changes in forage production due to individual weeds were determined using measurements of perennial ryegrass and white clover before and after dairy cattle, beef cattle, or sheep grazing under, near, and far from individual plants of six rosette-forming weed species throughout a growing season. The larger weeds, bull thistle and musk thistle, reduced the amount of forage utilized 42 and 72%, respectively, in beef cattle– and sheep-grazed hill-country pastures. Forage production under and near Canada thistle, hedge mustard, broadleaf plantain, and hairy buttercup in a dairy pasture was greater (136, 140, 178, and 450%, respectively) than in the control areas. Although the dairy pasture was grazed following recommended grazing procedures, our results indicate that this grazing system was not maximizing forage yield potentials of perennial ryegrass and white clover and that these weeds served as an indicator that the pasture was being overgrazed.
The interactions between native and exotic species occur on a continuum from facilitative to competitive. A growing thrust in invasive species science is differentiating where particular native species occur along this continuum, with practical implications for identifying species that might reduce the invasibility of ecosystems. We used a greenhouse experiment to develop a competitive hierarchy of 27 native species with red brome, an invasive annual grass in the arid lands of the southwestern United States, and a field study to assess in situ responses of brome to native perennial species in the Mojave Desert. Native species most competitive with brome in the competition experiment included the annuals Esteve's pincushion and western fiddleneck and the perennials eastern Mojave buckwheat, sweetbush, and brittlebush, which reduced brome biomass to 49 to 70% of its grown-alone amount. There was no clear difference in competitive abilities with brome between annual and perennial natives, and competiveness was not strongly correlated (r = 0.15) with the biomass of the native species. In the field, sweetbush and brittlebush supported among the least cover of brome, suggesting congruence of the strong early competitive abilities of these species with in situ patterns of brome distribution. At the other extreme, brome attained its highest average cover (19%) below littleleaf ratany, significantly greater than all but 3 of the 16 species evaluated. Cover by brome was only weakly related (r = 0.19) to the area of the perennial canopy, suggesting that factors other than the sizes of perennial plants were linked to differences in brome cover among species. Results suggest that (1) interactions with brome differ substantially among native species, (2) these interactions are not as closely linked to biomass production as in more temperate regions, and (3) there is potential for identifying native species that can reduce invasion of desert ecosystems.