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Barely three months into the new year and we are happy to announce a monumental milestone reached - 150 million downloads.
\n\nThis achievement solidifies IntechOpen’s place as a pioneer in Open Access publishing and the home to some of the most relevant scientific research available through Open Access.
\n\nWe are so proud to have worked with so many bright minds throughout the years who have helped us spread knowledge through the power of Open Access and we look forward to continuing to support some of the greatest thinkers of our day.
\n\nThank you for making IntechOpen your place of learning, sharing, and discovery, and here’s to 150 million more!
\n\n\n\n\n'}],latestNews:[{slug:"intechopen-supports-asapbio-s-new-initiative-publish-your-reviews-20220729",title:"IntechOpen Supports ASAPbio’s New Initiative Publish Your Reviews"},{slug:"webinar-introduction-to-open-science-wednesday-18-may-1-pm-cest-20220518",title:"Webinar: Introduction to Open Science | Wednesday 18 May, 1 PM CEST"},{slug:"step-in-the-right-direction-intechopen-launches-a-portfolio-of-open-science-journals-20220414",title:"Step in the Right Direction: IntechOpen Launches a Portfolio of Open Science Journals"},{slug:"let-s-meet-at-london-book-fair-5-7-april-2022-olympia-london-20220321",title:"Let’s meet at London Book Fair, 5-7 April 2022, Olympia London"},{slug:"50-books-published-as-part-of-intechopen-and-knowledge-unlatched-ku-collaboration-20220316",title:"50 Books published as part of IntechOpen and Knowledge Unlatched (KU) Collaboration"},{slug:"intechopen-joins-the-united-nations-sustainable-development-goals-publishers-compact-20221702",title:"IntechOpen joins the United Nations Sustainable Development Goals Publishers Compact"},{slug:"intechopen-signs-exclusive-representation-agreement-with-lsr-libros-servicios-y-representaciones-s-a-de-c-v-20211123",title:"IntechOpen Signs Exclusive Representation Agreement with LSR Libros Servicios y Representaciones S.A. de C.V"},{slug:"intechopen-expands-partnership-with-research4life-20211110",title:"IntechOpen Expands Partnership with Research4Life"}]},book:{item:{type:"book",id:"3195",leadTitle:null,fullTitle:"Lithography",title:"Lithography",subtitle:null,reviewType:"peer-reviewed",abstract:"Lithography, the fundamental fabrication process of semiconductor devices, plays a critical role in micro- and nano-fabrications and the revolution in high density integrated circuits.\r\n\r\nThis book is the result of inspirations and contributions from many researchers worldwide. Although the inclusion of the book chapters may not be a complete representation of all lithographic arts, it does represent a good collection of contributions in this field. We hope readers will enjoy reading the book as much as we have enjoyed bringing it together. We would like to thank all contributors and authors of this book.",isbn:null,printIsbn:"978-953-307-064-3",pdfIsbn:"978-953-51-4561-5",doi:"10.5772/45639",price:159,priceEur:175,priceUsd:205,slug:"lithography",numberOfPages:678,isOpenForSubmission:!1,isInWos:1,isInBkci:!0,hash:"c5fd876b252a6338c5eaf446f9de4548",bookSignature:"Michael Wang",publishedDate:"February 1st 2010",coverURL:"https://cdn.intechopen.com/books/images_new/3195.jpg",numberOfDownloads:140302,numberOfWosCitations:118,numberOfCrossrefCitations:54,numberOfCrossrefCitationsByBook:11,numberOfDimensionsCitations:110,numberOfDimensionsCitationsByBook:11,hasAltmetrics:1,numberOfTotalCitations:282,isAvailableForWebshopOrdering:!0,dateEndFirstStepPublish:"January 1st 2009",dateEndSecondStepPublish:"January 22nd 2009",dateEndThirdStepPublish:"April 28th 2009",dateEndFourthStepPublish:"July 27th 2009",dateEndFifthStepPublish:"August 26th 2009",currentStepOfPublishingProcess:5,indexedIn:"1,2,3,4,5,6,7,8",editedByType:"Edited by",kuFlag:!1,featuredMarkup:null,editors:[{id:"6356",title:"Dr.",name:"Michael",middleName:null,surname:"Wang",slug:"michael-wang",fullName:"Michael Wang",profilePictureURL:"https://mts.intechopen.com/storage/users/6356/images/system/6356.jpg",biography:"Michael R. Wang is Professor of the Department of Electrical and Computer Engineering, University of Miami. He received his PhD degree in 1992 from the Department of Electrical Engineering, University of California, Irvine. His research is focused on integrated photonic devices, optical interconnects, holography, lithography, spectral imaging, and optical coherence tomography. He has developed optical coherence tomography systems to support various medical and industrial 3D imaging applications. Dr. Wang has been a principal investigator and/or project leader in many US government-sponsored projects. He has been an invited author and editor on lithography by IntechOpen. He has authored/coauthored more than 200 journal papers, proceedings, and conference presentations. He is a fellow of SPIE, a senior member of OSA, and a member of ARVO.",institutionString:"University of Miami",position:null,outsideEditionCount:0,totalCites:0,totalAuthoredChapters:"4",totalChapterViews:"0",totalEditedBooks:"2",institution:{name:"University of Miami",institutionURL:null,country:{name:"United States of America"}}}],equalEditorOne:null,equalEditorTwo:null,equalEditorThree:null,coeditorOne:null,coeditorTwo:null,coeditorThree:null,coeditorFour:null,coeditorFive:null,topics:[{id:"734",title:"Applied Chemistry",slug:"electrical-and-electronic-engineering-applied-chemistry"}],chapters:[{id:"8658",title:"Direct Laser Lithography and Its Applications",doi:"10.5772/8167",slug:"direct-laser-lithography-and-its-applications",totalDownloads:4445,totalCrossrefCites:0,totalDimensionsCites:2,hasAltmetrics:0,abstract:null,signatures:"Hyug-Gyo Rhee",downloadPdfUrl:"/chapter/pdf-download/8658",previewPdfUrl:"/chapter/pdf-preview/8658",authors:[{id:"6590",title:"Dr.",name:"Hyug-Gyo",surname:"Rhee",slug:"hyug-gyo-rhee",fullName:"Hyug-Gyo Rhee"}],corrections:null},{id:"8659",title:"High Aspect Ratio Sloping and Curved Structures Fabricated by Proximity and UV-LED Backside Exposure",doi:"10.5772/8168",slug:"high-aspect-ratio-sloping-and-curved-structures-fabricated-by-proximity-and-uv-led-backside-exposure",totalDownloads:4614,totalCrossrefCites:2,totalDimensionsCites:2,hasAltmetrics:0,abstract:null,signatures:"Yoshinonori Matsumoto",downloadPdfUrl:"/chapter/pdf-download/8659",previewPdfUrl:"/chapter/pdf-preview/8659",authors:[{id:"132350",title:"Prof.",name:"Yoshinonori",surname:"Matsumoto",slug:"yoshinonori-matsumoto",fullName:"Yoshinonori Matsumoto"}],corrections:null},{id:"8660",title:"Influence of Immersion Lithography on Wafer Edge Defectivity",doi:"10.5772/8169",slug:"influence-of-immersion-lithography-on-wafer-edge-defectivity",totalDownloads:6336,totalCrossrefCites:2,totalDimensionsCites:4,hasAltmetrics:0,abstract:null,signatures:"K. 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From chapter submission and review, to approval and revision, copyediting and design, until final publication, I work closely with authors and editors to ensure a simple and easy publishing process. I maintain constant and effective communication with authors, editors and reviewers, which allows for a level of personal support that enables contributors to fully commit and concentrate on the chapters they are writing, editing, or reviewing. I assist authors in the preparation of their full chapter submissions and track important deadlines and ensure they are met. I help to coordinate internal processes such as linguistic review, and monitor the technical aspects of the process. As an ASM I am also involved in the acquisition of editors. 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Nearly 10,000 people were killed every year because of these hazards. Moreover, annual economic loss is in the billions of dollars. In the last quarter century, severe earthquakes on the world like 1995 Kobe, Japan, 1998 Afghanistan, 1999 Kocaeli, Turkey, 2001 Gujarat, India, 2003 Bam, Iran, 2004 Indian Ocean, 2008 Wenchuan, China, 2009 L’Aqulia, Italy, 2010 Haiti, 2010 Chile, and 2011 Van earthquakes experienced construction industry to take severe measures to prevent collapse and to decrease damages of the structure; for example, after 1995 Kobe, Japan earthquake, it was reported that more than 6434 people lost their lives; nearly 4600 of them were from Kobe. In 1999 Kocaeli earthquakes, more than 17,000 people were killed and more than 40,000 people were injured and 300,000 people became homeless. In the year 2008, an earthquake hit the Sichuan China. Measured magnitude of earthquake from surface is 8.0. It was reported that nearly 70,000 people were dead, 95% of this death toll is in Sichuan province. In addition, more than 370,000 injured and 18,000 people missing. In Italy, 308 people were killed and more than 1500 people were injured after L’Aquila earthquake in 2009. However, total economic loss was 16 billion dollars during this earthquake. Many historical structures were collapsed and heavily damaged. The last earthquake tragedy for Turkey, very close to present time, is Erciş (Van) and Edremit (Van) earthquakes. These earthquakes struck Erciş (Van) district and Edremit (Van) district on 2011. After these earthquakes, 604 people were killed and 4852 people were injured, among of them 1301 people were seriously injured. A total of 2307 multistorey structures were collapsed. In addition, nearly 8% of the total province population became homeless.
\nThe purpose of this chapter was to present earthquake characteristics and structural defects, damages, and possible solutions. The scope of the book chapter is depicted in the Figure 1.
\nScope of the book chapter.
Section 1 gives information about last destructive earthquakes.
\nSection 2 shows structure of the earth, plate tectonics, seismic waves, faults, and effects of earthquakes.
\nSection 3 gives failure reasons of reinforced concrete (R/C) buildings.
\nSection 4 presents failure reasons of masonry building damages.
\nSection 5 evaluates lessons learned from earthquake damages and failure experience from this type of natural hazards. Also in this part, suggestions were presented in order to prevent earthquake damages.
\nThe earth consists of layers which have different properties. The outer layer of the earth is called as “crust.” The thickness of this layer is between 35 and 70 km for continents, and this thickness varies between 5 and 10 km thickness for ocean floor. Mantle layer, existed under the crust, is divided as lower mantle and outer mantle. This layer is approximately 2900 km thickness. Convection current occurred in the mantle causes plate tectonics in the crust. Core is the innermost layer and divides into two parts as fluid outer core and solid inner core. The outer layer is 2300 km, and inner layer is 1200 km thickness [1]. The internal structure of the earth is shown in the Figure 2.
\nThe internal structure of the earth [
Plate tectonic deals with movement and strain of earth crust. According to the state of the art of Plate tectonic, the earthquake occurs in some parts of the plate and these parts act relative to each other. Pressure shift arose from these action and cooling stages in mantle causes stresses in the earth crust. When the increased stresses reached to bearing capacity of the crust on faults, this event causes sliding (breakthrough). Sliding movement spreads outward starting from hypocenter. Strain energy, which cumulated for a long time, discharges with sliding and causes earthquake shaking. Propagation of wave from hypocenter that results surface sliding is perceived as earthquake [3]. Figures 3 and 4 show the tectonic plates and worldwide earthquake distribution, respectively.
\nTectonic plates [
Geographical distribution of the 1700 earthquakes on the worldwide [
When two plates move with respect to each other, elastic strain energy is accumulated in results of tectonic processes. Thus, these two plates are released through the rupture of the interface zone. The shapeless blocks show immediate reaction towards equilibrium. As a result of this reaction, a seismic motion is produced. This process is called as “elastic rebound” theory. The resulting fracture in the crust of earthquake is defined as “fault”. Figures 5–7 show fault mechanisms [6].
\nNormal fault graphical presentation and mechanism [
Reverse fault graphical presentation and mechanism [
Strip slip fault graphical presentation and mechanism [
Seismic activity that results in earthquake generates two types of seismic waves: body and surface. Body waves move through the interior layers of earth’s. Body waves include primary waves (known as P-waves) and secondary waves (also called as S-waves). P-waves generate sequential push (or compression) and pull (or tension) in soil as shown in below Figure 8a. P waves have relatively little damage potential. On the contrary, S-wave propagates horizontal and vertical motion. S-waves produce shear stresses in the soil along their paths [6] as shown in Figure 8b.
\n(a) Primary (P) wave and (b) Secondary (S) wave [
Surface waves include Love (L) and Rayleigh (R) waves that propagate through the outer layers of the crust. These waves are generated by body waves move through parallel to the ground surface and various underpass the layer boundaries. These waves cause large displacements. These types of waves take various forms at a further distance away from the earthquake source. Surface waves are occurred during shallow earthquakes; on the other hand, body waves take place at all depths. Surface waves cause serious damage to structures due to their long duration [6]. Figure 9a and b shows these types of waves.
\n(a) Love (L) wave and (b) Rayleigh (R) wave [
Earthquakes can cause devastating effects in terms of life and property. The destructive potential of earthquakes depends on many factors such as focal depth, epicenter distance, and local site conditions. But the causes of fatalities and the extent of damages depend on lack of engineering service, design faults, material quality, and workmanship.
\nMany researchers studied and evaluated structural damages of reinforced concrete (R/C) and masonry buildings after the past earthquakes in different regions. Watanabe studied the behavior of R/C buildings during the Hyougoken-Nanbu earthquake and evaluated the damage reasons of reinforced concrete buildings [9]. Adalıer and Aydıngün evaluated the structural damages and the geological conditions for 1998 Adana–Ceyhan earthquake in Turkey [10]. Humar et al. evaluated the performance of masonry and reinforced concrete buildings during the Bhuj earthquake in India on January 26, 2001 [11]. Bruneau investigated the seismic behavior of structures after August 1999 Kocaeli earthquake and listed some general lessons obtained from this earthquake [12]. The structural damages of buildings were investigated during the December 26, 2003, Bam earthquake in Iran by Ahmadizadeh and Shakib [13]. Doğangün carried out a study about the reasons of damages of reinforced concrete structures during the May 1, 2003, Bingöl, Turkey, earthquake [14]. Ghobarah et al. conducted a field investigation in Thailand after December 26, 2004, Southeast Asia earthquake and tsunami. For this purpose, they evaluated the effects of the event on buildings, bridges, and infrastructure [15]. Bayraktar et al. evaluated the performance of stone masonry buildings during the Aşkale andErzurum earthquakes in Turkey on March 25 and 28, 2004 [16]. Arslan and Korkmaz carried out a study about R/C buildings during recent earthquakes in Turkey [17]. Zhao et al. focused on description of building performance after the May 12, 2008, Wenchuan earthquake in China [18]. Rossetto and Peiris evaluated the performance of government, commercial, and residential buildings after the October 8, 2005 Kashmir earthquake in Pakistan. Also, seismic design provisions of Pakistan were compared with seismic requirements of UBC (1997) and EC8 (1998) [19]. Maqsood and Schwarz (2010) carried out a study about the damages to rural buildings after Baluchistan earthquake that occurred in Pakistan in 2008 [20]. Augenti and Parisi evaluated the seismic performance of reinforced concrete and unreinforced masonry (URM) buildings during the L’Aquila earthquake that struck Italy in 2009 [21]. Chiou and Wang investigated the traditional Chinese residences after Chi-Chi earthquake that occurred in Taiwan on September 21, 1999 [22]. Celep et al. assessed the damages of concrete and masonry buildings after the March 8, 2010, Elazığ earthquakes in Turkey [23]. Ricci et al. conducted a study about the behavior of R/C buildings after L’Aquila earthquake which occurred on April 6, 2009, in Italy [24]. Braga et al. investigated the behavior of non-structural elements, particularly masonry infills in reinforced concrete frames at the 2009 L’Aquila earthquake [25]. Kam and Pampanin assessed the performance of R/C buildings during February 22, 2011, Christchurch earthquake in New Zealand [26]. Mahmood and Ingham assessed the seismic vulnerability of unreinforced masonry buildings in Pakistan using three empirical (New Zealand, United States, and Indian) methods [27]. Calayır et al. studied the damages of various structures during the March 8, 2010, Elazığ-Kovancılar earthquake in Turkey [28]. Yön et al. investigated the seismic performance of reinforced concrete and masonry buildings after 2011 Simav (Turkey) earthquake [29]. Taskin et al. evaluated strong ground motion and geotechnical and structural damages during the 2011 Van Turkey earthquakes [30]. Sayın et al. studied the failures of masonry and adobe buildings during the June 23, 2011, Maden, Elazığ earthquake in Turkey [31]. Bayraktar et al. and Ates et al. evaluated the reinforced concrete building damages during the 2011 Van earthquakes [32, 33]. Hermanns et al. investigated the performance of buildings with masonry infill walls after the 2011 Lorca, Spain, earthquakes. They described and analyzed the failure patterns in reinforced concrete frame buildings with masonry infill walls [34]. Manfredi et al. focused on damage observations and analyzed the emphasizing typical weaknesses of R/C buildings after the 2012 Emilia, Italy, earthquake [35]. Lemnitzer et al. assessed the behavior of reinforced concrete buildings after 2010 Chile earthquake [36]. Yön et al. conducted a field observation after the 2011 Van, Turkey, earthquakes. They investigated failure mechanisms and damage patterns of reinforced concrete buildings and presented their observations in the study [37]. Pinilla et al. carried out a study after the 2011 Lorca, Spain, earthquake. They determined the earthquake damages in reinforced concrete buildings and presented in their study [38]. Sharma et al. carried out a field investigation after the April 25, 2015, Gorkha earthquake in Nepal. They investigated the damaged buildings and the failure mechanisms in their study [39].
\nIn some R/C buildings, especially at the ground floor, walls may not be continuous along to height of building for architectural, functional, and commercial reasons. While ground floor generally encloses with glass window instead of brick infill walls, partition walls are constructed above from this storey for separating rooms for the residential usage. This situation causes brittle failures at the end of the columns. In mid-rise reinforced concrete buildings, the most common failure mode is soft-storey mechanism, particularly at the first storey. Failures can be concentrated at any story called as weak storey in which the lateral strength changes suddenly between adjacent stories due to lack of or removing of partition walls or decreasing of cross section of columns. Thus, during an earthquake, partial and total collapses occur in these storeys. These types of damages can be seen in Figures 10 and 11.
\nUnexpected inter-storey drift due to soft storey during the Van earthquake.
Shear forces increase during an earthquake especially at columns and beam–column joints. Consequently, special attention should be paid to construction and design of beam–column joints and columns. Seismic design requires increasing of ductility of structures for performance-based design approach. In particular, columns of buildings can be having insufficient transverse reinforcement in the plastic hinge region. Therefore, structural elements which have such details show low performance against to dynamic loads and lost their shear and axial load carrying capacity. Figure 12 shows this failure below.
\nWeak storey mechanism during the Bingöl earthquake.
Damaged structure due to inadequate spacing between shear reinforcements during (a) Van earthquake and (b) Bingöl earthquake.
This type of mechanism can be developed due to structural adjustments and/or to continuous openings at the top of infill walls between columns. Lateral forces that occurred by an earthquake are carried by columns and shear walls. Length of column is an important factor for dissipation of these loads. When the length of column decreases, the column becomes stiffer and brittle than the other columns and this column attracts more shear forces. Thus, shear failure which is a critical type of concrete column damage occurs at these columns. Short column failure is given in Figure 13.
\nShort column damages during the 2003 Bingöl earthquake.
Buildings are sometimes constructed adjacent because of the lack of building lots. In this layout plan, one or two faces of two buildings are in contact to each other. Consequently, the buildings that have not adequate gaps pound to each other during the earthquake. If the floors of the buildings are not at the same level, pounding effect of the buildings becomes more dangerous. Figure 14 shows this type of damage during the 2003 Bingöl earthquakes.
\nCollapse of adjacent buildings during the Bingöl earthquake.
Deep and rigid beams are used with flexible columns in type of buildings. Therefore, these beams resist more moments, occurred by dynamic loads, than weak columns. In such a design during an earthquake while deep and rigid beams show elastic behavior, shear failure or compression crushing causes plastic hinges at flexible columns. Failure mechanism of strong beam–weak column can be seen in Figure 15.
\nFailure of a building due to strong beam–weak column effect during the Van earthquake.
The most common failure mode at gable walls is out-of-plane collapse in the earthquakes. Although failures of gable walls are not structural damages, these damages may be cause loss of lives and properties. Stability problems and large unsupported wall lengths cause damages at these walls. Failure of gabble wall is presented in Figure 16.
\nFailure of gabble walls on top of the building during the Van earthquake.
The other main reasons of damages are low concrete strength and workmanship. Concrete quality is an important factor for building performance against to earthquakes. Handmade concrete is used to without using vibrator in construction of old buildings. Thus, homogeny mixing was not obtained and expected compressive strength was not provided in these buildings. In addition to this, using of aggregates which have improper granulometry, corrosion which decreases reinforcement bar area, and using of smooth steel reinforcement effected strength of concrete. This type of damages is given in Figure 17.
\nFailure of column due to poor concrete quality during; (a) Van earthquake and (b) Bingöl earthquake.
One of the most important reasons of life and economic loss during the earthquake is combined effect of in-plane and out-of-plane movement of the wall. In-plane and out-of-plane interaction is very complicated and should be analyzed well for this phenomena. For low-rise and mid-rise unreinforced masonry (URM) infilled R/C frames, ground story infill walls are expected to be damaged firstly, because they are subjected to the highest in-plane demands. However, under the effect of bidirectional loading, where the two components of a ground motion are equally significant, infill walls of the upper stories may fail under the combination of in-plane and out-of-plane effects. The in-plane demand reduces at the upper stories, while that of out-of-plane forces increases due to the increase of accelerations [40]. To prevent this problem, in-plane carrying capacity of the wall should increase and out-of-plane ductility should increase with possible and applicable developments like bed-joint reinforcements and wire mesh. These listed applications will prevent detachment of infill wall from reinforced concrete elements and will increase the stiffness of the total structural system. Figure 18 shows out-of-plane and in-plane damages.
\n(a) Detachment of infill wall during the Bingöl earthquake and (b) In-plane damage of during the Van earthquake.
One- and two-story masonry buildings are common in the rural areas because they require easy workmanship. These buildings are constructed with thick adobe and stone walls and mostly vulnerable to strong ground motions. But masonry buildings are preferred because of the advantages such as thermal properties and simple construction by using local materials [31]. These structures are constructed with traditional techniques using locally available materials. Nearly no engineering services are used in these buildings [20]. Adobe blocks are produced from local material contains mixed soil with straw and leave dried under the sun. These units are easily broken into small pieces as they have very low strength. As adobe blocks have low strength, walls of masonry buildings are thick and massive.
\nGenerally, earthen roofs are constructed over wooden logs supported by two main walls of the buildings to provide thermal and water insulation. Also, heavy earthen roofs are constructed by the residents because a thick roof keeps the house cool or warm according to the seasons. However, these roofs lose their effectiveness because of weather conditions, such as rain and snow. Therefore, the residents place a new earthen cover on top of the existing roof to repair these roofs [16]. Thus, the weight and thickness of the roof increase over time. As a result of these heavy roofs, the structures are subjected to larger inertia forces during the earthquakes [41]. During the horizontal displacements, these heavy roofs are very vulnerable since they can easily slide over the walls [30]. Figure 19 shows the damaged masonry buildings arising from heavy earthen roof at various earthquakes.
\nDamage to adobe structures due to heavy earthen roof during the Van earthquake [
Corner damages are common in the adobe and masonry buildings. This type of mechanism generally occurs at wall-to-wall and wall-to-roof connections when subjected to out-of-plane displacements. During an earthquake, the stress concentrations increase at intersection of the walls. In this way, vertical or inclined cracks appear in the corners of masonry buildings. If bond beams are not used in the corners or connection, two walls are not properly anchored each other, intensity of the cracks increases and these cracks spread along the height of the wall. Similar cracking may have been observed at adobe buildings [41]. Poor connections between adjacent walls and the absence of bond beams cause serious damages. In addition, there are no appropriate connections at the corner of the walls in damaged buildings. This type of damage for adobe and masonry buildings is shown in Figure 20 [42]. Due to reduced compression stress and increase seismic acceleration at upper stories, the common failures are seen at the corners of the roof level. When there is no slab with some in-plane rigidity at roof level, top corners are more sensitive to fail because of cantilever-like behavior [43].
\nCorner damage of briquette masonry buildings [
Out-of-plane mechanism may appear from the combination of several deficiencies. A lack of bond beams, poor connections among the walls and the roofs, and large unsupported wall lengths cause the separation of walls and cause damage to occur via the of out-of-plane mechanism. Thus, the whole or the significant parts of the wall fall down during the earthquake. Wooden logs that bear the weight of the floor of the building are generally placed on load-bearing walls in only one direction. Thus, earthquake loads are transferred to perpendicular walls by wooden logs. Therefore, the walls that are not supported by the wooden logs may easily overturn to out-of-plane direction during the earthquake. This failure mechanism can be commonly observed in the earthquake region. Figure 21 shows the out-of-plane mechanism of the adobe and briquette masonry buildings, respectively.
\nThe seismic performance of the masonry buildings relates to the in-plane stiffness of the walls. In-plane mechanism is generally observed in most of the masonry buildings that are affected by shear cracking. Earthquake loads increase the shear force. It can damage walls and their connections. These damages generally occur near openings, because most of the masonry buildings don’t have sufficient and proper bond beams that distribute the lateral forces uniformly and enhance the lateral strength of the walls. During the earthquakes, excessive bending and shear can produce in-plane failures depending on the aspect ratio of the unreinforced masonry elements [41]. In the areas struck by earthquake, three failure modes of the shear damages in masonry buildings are generally observed, namely diagonal shear failures that proceed through masonry units and mortar (Figure 22a–b), sliding consisting of straight failure at the horizontal bed joints (Figure 22c), and stepped failures from the head to bed or bed to head joints (Figure 22d).
\nOut-of-plane mechanism of the briquette buildings [
Diagonal shear (a-b), horizontal (c) and stepped (d) failures wall [
Most of the masonry buildings are constructed with thick stone walls. As the thickness of the walls is relatively large, these stone walls are constructed by using more than one stone along the thickness direction [28]. In these walls, stones are placed in a random order. These walls have two exterior vertical wythes of large coarse stones. However, smaller rubble stones with mud mortar are used between two exterior layers. Using mud mortar instead of cement mortar causes insufficient adherence between the layers. Thus, the interior and exterior layers of the wall behaved independently and separated each other during the earthquake. Some reasons such as the quality of construction, poor workmanship, and the use of improper materials increase the intensity of the disintegration. Figure 23 presents this failure in stone masonry buildings.
\nDisintegration in stone masonry buildings [
In this book chapter, reasons of damages for reinforced concrete and masonry structures arose from earthquakes are presented. According to information that obtained from investigated buildings, the main reasons of failures of are presented below.
\nFor reinforced concrete structures,\n
The reason of soft storey collapse is occurred due to low rigidity of reinforced concrete structural members at ground floor. In case of the absence of the infill wall, the rigidity of the ground floor is lower than the upper storeys. Thus, this failure mechanism is triggered by earthquake. This type of failure is prevented during design phase by designing with more detail.
Inadequate transverse reinforcement and no bending of hooks of ties in structural elements cause damages. This problem can be solved by using close-spaced stirrups and 1350 bended hooks to increase shear resistance of structural elements.
Failures reason of short column is especially occurred due to partially filled infill walls in R/C frame system. These failures can be prevented by increasing of shear strength of this part of the column.
During the earthquake, after first shake, different natural vibration periods cause hammer effect and then result in total collapse. To prevent this problem, adequate gaps according to current codes should be left between the adjacent buildings.
When deep and rigid beams are used with flexible columns, weak column–strong beam failure mechanism is developed. To refrain this type of problem, sum of moments at column connected to any of joint should be bigger than sum of moments at beam connected to the same joint.
Low concrete strength, workmanship, and corrosion of steel bars decrease the lateral stiffness of the structural system. This important reason can be eliminated by inspecting concrete and workmanship.
The reason of in-plane, out-of-plane, and gabble wall failures is lower strength of infill materials than reinforced concrete frame. To prevent this type of failure, adequate connection and high-strength mortar between wall and reinforced concrete frame should be used.
For masonry structures,\n
Thick and heavy earthen roofs are one of the reasons for the damages. The walls of the buildings could not support heavy mass during an earthquake, and the heavy roof partially or completely collapsed. This type of application should be refrained.
Corner damages are developed due to insufficient wall-to-wall connections and lack of horizontal and vertical bond beams. This problem can be eliminated by using proper connection defined in current codes. Moreover, bond beams should be used.
Another reason for the damages is the out-of-plane mechanism. The main reasons for this mechanism are the lack of bond beams, poor connections among the walls and roofs, and large unsupported wall lengths. Also, the gable walls of some masonry buildings are affected negatively by the out-of-plane mechanism. This problem can be eliminated by using proper connection defined in current codes. Constructing long and unsupported walls should be refrained. In addition to this, vertical and horizontal bond beams should be used.
However, a lack of bond beams and large openings that decrease the stiffness of the walls increase the shear effects and cause in-plane failures, such as diagonal shear failures, sliding consisting of straight cracks, and stepped failures. It should be refrained to construct large window and door openings. In addition to this measure, vertical bond beams should be constructed near the openings.
Construction of multilayer walls with inadequate connections causes the disintegration at stone masonry buildings along the wall thickness. This application should be prevented while constructing stone masonry wall.
According to listed damages and possible solutions above, it is strongly advised to obey current seismic codes. Furthermore, construction workers should be trained about earthquakes and construction of earthquake-resistant buildings. Process of construction should be controlled by the local government and professional civil engineers.
\nCognitive-behavioral therapy (CBT) is considered to be the most well-founded in terms of scientific support. It has been widely disseminated worldwide, through numerous training programs, workshops, conferences, and also through a large number of monographs and practical manuals for practitioners in the field of clinical psychology and psychotherapy [1]. The goal of this therapeutic approach is to restore mental health and address a number of issues faced by individuals, by focusing on cognitive dysfunctional patterns that cause emotional distress and dysfunctional behaviors. In a synthetic definition formulated by Amy Wenzel, CBT is considered an active, semi-structured, and time-sensitive psychotherapeutic strategy [2]. Its active character results from the way in which the two actors of the therapeutic act are involved, the psychotherapist and their client; both prepare for counseling sessions, contribute to the analysis and assessment of the client’s condition, and collaborate in the constructive approach to the problems they face. CBT is considered semi-structured, because the therapist, although flexibly positioned in relation to their client’s problems, usually prepares for each session a kind of organized scheme to guide the stages of the session, which ensures that the therapeutic process is targeted and effective. Finally, this approach is anchored temporarily/in a time-sensitive manner, in the sense that the clients assume, consciously and with motivation, the proposed therapeutic approach, anticipating that the treatment followed will have an end, that what happens in each session produces a positive development, that this development is noticeable after each session, and that they can implement therapeutic strategies in their daily lives without the need for permanent assistance from the therapist.
Cognitive-behavioral therapy is founded upon three central assumptions, which are as follows:
Cognitive activity influences our behavior
Cognitive activity can be monitored, but also modified
The behavioral changes we target can be achieved through cognitive changes.
The first of these assumptions is, in fact, a brief and up-to-date reformulation of the central thesis of the mediation model, proposed by Michael Mahoney. Since 1974, Mahoney has argued that changes in behavioral therapy necessarily require cognitive mediation. Today, there is an impressive body of empirical evidence indicating that cognitive assessments of life events affect our responses and that changes in the content of these assessments have an indisputable clinical value [3, 4, 5, 6].
The second thesis tacitly incorporates the assumption that we can have access to cognitive activity and that our cognitions can be known and evaluated. Undoubtedly, there are enough reasons to believe that our access to our own cognitions is not perfect and that people often report their mental activity based on the likelihood of thoughts occurring rather than their actual occurrence [7]. A corollary of this second assumption is that the assessment of cognitive activity is only a prelude to the changes we can make at this level. In other words, accessing and evaluating one’s own cognitions is necessary, but it does not automatically bring about the change we want.
Finally, the third assumption is a direct result of the adoption of the CBT in the model proposed by Mahoney. It explicitly states that the behavioral changes we seek to produce with our clients can only be achieved if we make cognitive changes. Specifically, although CBT theorists accept that a number of external, reinforcing contingencies can influence human behavior without direct cognitive intervention, this does not mean that they are independent and do not involve cognitive changes; moreover, the same changes, as well as others, can be produced by direct intervention on cognitions. To substantiate this assumption thoroughly, cognitive-behavioral researchers have collected a very large volume of experimental evidence.
There were several favorable circumstances that created adequate premises for the development of cognitive-behavioral therapy. Thus, since the 1950s, Hans Eysenck has published several studies that vehemently criticized one of the prevalent therapeutic approaches of the time, namely, psychoanalytic psychotherapy, proposing behavioral therapy as a more viable alternative. In his challenging attempts, Eysenck argued that the resolution of neuroses does not require a focus on intrapsychic conflicts and that they can be treated completely by a direct approach to the symptoms that portray them [8, 9]. As a result of these warnings and encouragements, in the late 1950s and early 1960s practitioners turned their attention to behavioral therapeutic approaches; these were based on direct behavioral changes, founded upon the two paradigms of learning—classical conditioning, respectively, operant conditioning. However, as interest and involvement in this new commitment grew, it became increasingly clear that a strictly behavioral conceptualization was insufficient for explaining the full spectrum of clinical problems that therapists were facing in their practice. Moreover, there was already evidence that an exclusively behavioral intervention would leave a significant number of issues uncovered, such as the obsessions that are part of obsessive-compulsive disorder, or paranoid ideation [9, 10, 11].
A second favorable context was represented by the cognitive revolution, which started in the mid-1950s. Information processing models that began to attract the attention of contemporary psychologists in their attempts to explain psychic life and provide support to artificial intelligence specialists had made a significant contribution to the development of CBT. The new current, which had brought some fresh air to the field of psychology, through its emphasis on cognitive processes, greatly favored the inclusion of the cognitive component in traditional behavioral interventions. In the mid-1970s, a number of academics concerned with the development of therapeutic practice began to draw attention to the importance of the cognitive moment in our actions and propose a model of mediation in this regard. In this way, they explicitly advanced the idea that cognitive processes influence our emotions and behaviors and that cognitive intervention can lead to significant behavioral changes [2]. Once these premises had been accepted, the interest in cognitive-behavioral approaches increased considerably. As a result, a number of new psychotherapeutic approaches based on this new perspective have begun to develop. We mention here some of them: rational-emotive behavior therapy, cognitive therapy, schema-focused cognitive therapy, stress inoculation training, third wave therapies (acceptance and commitment therapy, dialectical behavior therapy, mindfulness therapy). Given the large and ever-increasing number of these new therapeutic guidelines, attempts have also been made to group them based on predefined criteria. Thus, toward the end of the 1980s, Mahoney and Arnkof proposed organizing them into three main categories: a. cognitive restructuring therapies; b. therapies focused on the development of coping strategies; c. problem-solving therapies. Cognitive restructuring therapies are based on the premise that emotional distress is the consequence of maladaptive thoughts. Therefore, clinical interventions aim at examining and replacing dysfunctional thought patterns with their adaptive variants. The second therapeutic category aims to develop a repertoire of skills designed to equip clients for coping with stressful life situations. Finally, the third group of therapies, those focused on problem solving, can be described as a combination of the first two. The latter emphasizes the importance of developing general strategies for the client to deal with a wide range of personal issues, emphasizing the importance of active collaboration between the therapist and their client in the planning of the corrective intervention program [1]. The first category is the most widely used in therapeutic practice, and the best-known paradigms of this family are—rational-emotive behavior therapy (REBT), respectively, cognitive therapy (CT). We will briefly describe each of the two therapeutic approaches, placing more emphasis on REBT, which is also the central object of this chapter.
Chronologically, rational-emotive behavior therapy (REBT) is considered to be the first of the cognitive-behavioral approaches in the category of those that focus, explicitly, on cognitive restructuring. Initially, it was called rational therapy, then rational-emotive therapy, and finally, starting in the 1990s, it became known as the rational-emotive behavior therapy (REBT). The fundamental theoretical and practical principles of REBT were formulated by Albert Ellis, considered the father of REBT and, respectively, the grandfather of cognitive-behavioral therapies. Originally trained in the psychoanalytic school of psychotherapy, after only a few years of therapeutic practice, Albert Ellis began to doubt the quality and effectiveness of this approach. Less and less motivated to continue in the spirit of this school, Ellis successively tested different treatment techniques, most of which involved an active and a directive approach, respectively. The first results of these experiments allowed him to formulate a personal theory on the genesis of emotional disorders, as well as to develop a set of treatment methods. Although ardent proponents of the psychoanalytic paradigm considered the methods proposed by Ellis to be heretical, the advent of behavioral therapy in the 1960s and, above all, the gradual recognition of the fundamental role of cognition in understanding human behavior, led to the acceptance of REBT(at the time called RET) as a viable and credible alternative to classical models of psychotherapy.
The central assumption of this approach is the belief that human cognition (our thoughts) plays a key role in the genesis, maintenance, or modification of the emotional and/or behavioral responses we produce. To make this perspective concrete, Albert Ellis developed the ABC Model of the genesis of emotional responses. The three components of the model are operationalized as follows: A represents the activating element—life events together with our inferences about these events; B refers to the system of personal beliefs (inferences and evaluations) that generate consequences, that is, those that lead to our reactions; C represents the answers that a person produces as a result of the presence of specific beliefs, which can be of a wide variety—emotional (e.g., anxiety), behavioral (e.g., motor agitation), and cognitive (e.g., thoughts of helplessness) [12].
The central objective of REBT therapy is vulnerabilization, namely the elimination of the personal system of irrational (unhealthy) beliefs characterized by exaggeration and rigidity, followed by the adoption of a flexible belief system that promotes/enhances psychological health. In this sense, REBT involves a multidimensional approach that incorporates cognitive, emotional, and behavioral techniques. Of all these, the principal strategy of therapeutic intervention is a logical-empirical method of questioning, challenging, and scientifically disputing the unhealthy thoughts that Albert Ellis called irrational cognitions [13]. Beyond this main healing method, REBT individualizes its intervention strategy using a wide variety of techniques, such as rational-emotive imagery, operant conditioning, modeling, role play, shame attach exercises, thought monitoring, library therapy, and development of various skills and so on [14].
The father of cognitive therapy is Aaron Beck. Like Albert Ellis, Aaron Beck was originally trained in psychoanalysis, but he also became relatively dissatisfied with the conceptualizations that the psychodynamic paradigm offered for various emotional disorders [3]. For example, in the 1960s, Beck found that a number of cognitive factors frequently associated with depression were systematically ignored in favor of psychoanalytic conceptualizations that accentuated the motivational-affective dyad [1].
The cognitive model proposed by Aaron Beck emphasizes the idea that distorted thinking and unrealistic cognitive assessments can negatively affect our emotions and behaviors. Evaluations are pre-formed (shaped) by mental schemas, that is, cognitive structures that organize and process information taken from the outside. The cognitive patterns of mentally developed people allow/make realistic assessments of life events and lead to functional, healthy emotional experiences. In contrast, individuals who have developed dysfunction are primarily engaged in distorted assessments that lead to emotional dysfunction [5].
The central goal of cognitive therapy is to replace the distorted assessments that clients apply to life events with their realistic and adaptive variants. Cognitive-type therapeutic interventions are based on collaborative psycho-educational approaches and involve the design of specific learning experiences through which clients are guided/prepared:
to recognize the relationship between their thoughts and the emotions they experience, respectively, the behaviors attached to them.
monitor and control their automatic thoughts;
to verify the validity of automatic thinking;
to identify and then modify their beliefs, assumptions, or cognitive patterns that favor and support their engagement in psychopathogenic patterns of thinking [15].
Several reasons (arguments) can be identified that prove the possibility that REBT can be easily and elegantly adapted for the treatment of religious clients. In what follows, we present some of these synthetically [16].
First of all, REBT therapy has proven to be an excellent treatment for religious clients (practitioners) because it is a therapeutic strategy expressly focused on the beliefs of individuals [17, 18, 19, 20]. In particular, this approach bears a strong resemblance to the Christian perspective. More specifically, the REBT psychotherapeutic system proves a high convergence with many of the basic principles of the Christian tradition [21, 22, 23]. For example, the Christian view that people are all equally worthy and that all sins can be forgiven can serve as admirable support for REBT techniques focused on eliminating the tendency of human beings to appreciate their own worth, respectively, the worth of others. In addition, the position of the Christian Church regarding sin, more exactly, the fact that it condemns sin and not the sinner, is clearly found in the principles of REBT. Moreover, Ellis has explicitly iterated that REBT does not approve of immoral acts, but instead fully accepts the humanity and fallibility of those who commit such acts [24].
The ABC model, already discussed above, with its emphasis on the role of cognitions in the production but also the elimination of emotional-behavioral dysfunctions, is found in most religious doctrines. In fact, the principles of instilling, maintaining, or changing specific beliefs that are fundamental in most religions, can also be found, carrying equal importance, in the manner in which REBT examines and understands the role played by our cognitions in the genesis of emotional disorders. Furthermore, understanding religious beliefs, both in terms of content and personal quality and worth, is essential for a correct understanding of religion, both as a human phenomenon, and as a determining force in the client’s life. Both religious doctrines and REBT theory support and prove the centrality of beliefs in the emotional, behavioral, and cognitive life of the human being [19].
A second convergence between several religious traditions and REBT is their deeply existential and philosophical nature. Therefore, due to the fact that religious systems adhere firmly to the principle of free will, to the benefits and blessings of self-determined involvement in work, but also to the need to change erroneous (dysfunctional) beliefs, we can say with conviction that REBT elegantly meets all these objectives. More specifically, we can argue that religious clients are ideal for philosophical dispute strategies used by REBT therapists, whose major purpose is to change their philosophy of life. In fact, many clients who strongly believe in the strength (power) and usefulness of their religious beliefs are very receptive to the REBT perspective, which states that the deeper a belief is manifested, the more likely it is to manifest itself in the thinking, emotions, and behavior of a person [25].
The third similarity between REBT and the religious perspective concerns the ways in which fundamental principles are expressed. These take the form of behavioral tasks (canons/homework), beliefs, iconographic/pictographic representations, creative musical expressions, etc. In fact, REBT therapists often recommend to their clients that between therapy sessions (face to face or online) they complete/perform various home tasks; most of these topics are behavioral tasks that complement and promote cognitive change processes [26].
Finally, most religious traditions, beliefs, stories, and parables take the form of hymns and represent particular ways of expressing religious worship [27]. It is obvious that combining fundamental religious principles with melodic lines, rhythm and rhyme increases the possibility of making these principles easier to remember at the same time increasing their level of persuasion and emotional relevance [28]. In fact, the transmission of many of the central principles of REBT through therapeutic poems or songs has become a very common practice by therapists.
Considering the arguments regarding the convergences between organized religious systems and REBT theory, it is natural to think of concrete ways in which, at a practical-applied level, there is a possibility of integrating REBT intervention strategies with religious beliefs and practices, in particular, with Christian ones. A primary level of practical integration of the two approaches can be limited to highlighting elements extracted from the religious tradition of the denomination to which the client belongs that are overtly congruent with the specific principles and strategies of REBT intervention.
In fact, all modalities of integration will start by going over and understanding the ABC model that underpins REBT theory and practice. It must be read and interpreted both in the spirit of REBT’s central assumption (the emotions and behavioral disorders we experience are the results of our private interpretations and assessments) and of the philosophy behind the client’s religious system. For example, when we work with these clients, rather than threatening or undermining their religious beliefs, through REBT-type interventions we can help them to focus and boost the long-term strength and function of their faith by appealing to several strategies, such as (a) highlighting or reactivating components neglected by the customer [29, 30]; (b) reinterpretation/reconceptualization of some religious writings in the spirit of REBT; (c) disputation of rigid personal beliefs that overlap and interfere with the authentic religious ones and that can thus generate dysfunctionalities. For example, in the interpretive pattern of the religious client can be identified a series of irrational cognitions that have no basis in the Bible or in the Christian tradition, such as “God does not love me as much when I sin,” “Because I am a Christian, God will always guard me against bad things / events that may happen to me,” “Because I am a Christian, I should be perfect,” “I should condemn and hate myself when I sin because this is the only way I can be saved.” All these misinterpretations and misjudgments that religious clients may generate, after being identified, will be the subject of disputes (logical, functional, or empirical), so that they can be made vulnerable and then eliminated.
On the other hand, once the process of disputing erroneous beliefs has begun, the therapist must initiate and offer rational alternatives extracted from religious writings (Bible, Holy Fathers) or the oral religious tradition. Thus, from the very beginning, clients can be offered healthy thinking alternatives, by extracting Bible verses or statements made by credible (holy) religious authorities, that should serve as correct interpretive substitutes which can ensure a healthy and beneficial mental development for the client, from an emotional perspective [18, 31]. Here are some examples of irrational religious thinking: “Let this mind be in you, which was also in Christ Jesus” (Philippians 1,5), “The simple man has faith in every word, but the man of good sense gives thought to his footsteps”(Proverbs 14: 5), “For (man) as he thinks in his heart, so he is”(Proverbs 23: 7).
Maria is a 31-year-old woman, single, with no children. Presently, she lives with her brother and his wife to be. She has a high school education and has worked in a beauty parlor since graduation.
Maria comes from a traditional family (i.e., mother, father, and two children). She describes her mother as “perfect housewife and professional.” At the same time, her mother believed that the best way to raise a child is to be critical of her/his mistakes and punish them right away. Rewards were considered to be “for the weak” and thus inappropriate for a child’s education. Because she worked hard to provide everything for her children, her mother believed they should always be obedient and respectful. Even now, as an adult, Maria says her mother is never wrong, and always knows everything better than anybody else. Maria’s father left when the children were young and stopped any relationship with his family. After graduating high school, Maria remained in her mother’s house, who instructed her to save money to buy things for her future home. Whenever Maria wanted to go out with some friends, her mother would correct her and force her to save all her income just to buy things. Moreover, even the things she bought for her future house were picked by her mother, regardless of her preferences. As a consequence, Maria did not date or make any friends.
Maria decided to see a mental health professional about 16 months ago. By the time she came to see this therapist, she had already been treated by other mental health professionals (psychologists and psychiatrists), whom she visited successively. At the time of her admission, Maria complained about her unsatisfactory relationships (“I have nobody to love and support me,” “My life is a mess,” “People around me cannot stand me anymore, although all I do is for their benefit”), her developing panic attacks (“I am so scared not to have another panic attack that I do not dare go to work anymore”), and her lack of pleasure in life (“There is nothing good now. I won’t be able to go to work, and that was the only place where I am appreciated”).
Maria has always been a person very different from her brother, her friends, and everybody around her. She does not believe she had ever been loved by her mother, whose affection had been constantly seeking since she was a baby. She feels permanently threatened by the prospect of being abandoned by her family and dreads the idea she would one day be forced to live alone. Because she believes her present problems are due to the fact she has a cold, insensitive mother who does not love her (only her brother), she tries to make up for maternal love by searching for surrogate mothers.
For quite a few years now she has been visiting a whole range of churches, believing she could find some priest or believer who could adopt her (“If I cannot be loved by my mother, I will find another one. Nothing can replace the love of a mother and I do not want to remain mutilated like this forever”). For a while, she found a woman (member of a nontraditional religious community) who agreed to “adopt her,” because her own daughter lived in another country and was more independent than she would have wanted. Maria remembers those moments as some of the best of her life. Eventually, one day the real daughter visited her mother; the woman informed Maria that she could not see her for a few days because she took a trip with her real daughter. At this point, Maria was so enraged that she entirely rejected her surrogate mother and told her she was no longer available as a daughter. Although they work together, the relationship between the two was distant ever since.
Following this episode, Maria joined a few Bible study groups, hoping people in these groups would love her “because they are Christians, and they should.” As soon as she realized her colleagues accept her but do not grant her their time exclusively, Maria started looking for someone else. She keeps going weekly to study the Bible because she believes God will be the one to love her forever—if and only if she struggles daily to become a good Christian. Meanwhile, while watching a TV show, she got the telephone number of a woman pretending to get rid of the bad spirits, curses, and malevolent forces residing in people’s houses. At this point, Maria was ready to believe her loneliness (she could never have a boyfriend) and lack of attraction was due to her aunt cursing her because she inherited some money from her grandmother. As soon as she called, the woman on the TV asked for a large sum of money for a “counter-spell” to help Maria get rid of the evil spirits. A long period of hope and despair, love and hate followed—either the woman would not be available for months, or she would be pointing to objects in Maria’s house, which should be destroyed because the evil spirits resided in them. Although Maria wanted to move away from her parents’ house, she could not stand to be alone, so her brother and his fiancée came to live with her. But their relationship, which has always had ups and downs because of Maria’s exaggerated need for attention, severely deteriorated when she started destroying the things in the house, in an attempt to remove evil spirits (as indicated by her “spiritual mother”). Just as Maria felt both loves and hate toward her mother, she began feeling love and extreme anger toward her brother. Arguments escalated when Maria threatened to throw the brother in the street because it was her house.
On the other hand, when he and his fiancée decided to move out, Maria was so desperate that she refused to eat, so they decided to stay. Presently, their relationship suffers because Maria believes she has to be perfect (“I must be perfect like my mother”) and every criticism from her brother is perceived as a disaster (“He should not say I am fat”). Trying to cope with the situation, she engages in frequent binge-eating episodes, which do not help her lose weight, a consequence that is very detrimental to her self-image: “Nobody will like me like this”.
Moving into a new house was also a stress factor for Maria; soon after moving in (and before her brother came to live with her) she started fighting with some of her neighbors over different issues, which was sorted out by police intervention. Although she really hates upsetting other people, Maria equally finds their lack of understanding for her unbearable.
The only place where she feels better is her work. Here Maria is appreciated and likes interacting with the clients. The main problems occur here when the customers demand some new, unusual procedure, which Maria perceives as a threat to her image as “perfect professional.” Because of this, at times she acts aggressively.
Recently, these episodes became more frequent and Maria started developing panic attacks related first to her workplace (then to other public places). At about the time she was supposed to go to work, Maria would feel dizzy, choke, have palpitations, lose her balance, and feel like fainting. She began to fear these symptoms and avoid going to work by calling in sick. At the same time, Maria developed feelings of sadness and depression because she believed she might lose her job, which was the only place she felt good. She started to believe the situation was not going to get better in the future, while her inability to control her feelings scared her immensely. For about 3 weeks before she began therapy, she was sad and depressed and had difficulties sleeping and concentrating.
Maria’s relationship with God is highly similar to the relationship she has with her mother. She craves love and acceptance she is deeply convinced she cannot obtain because she is not perfect. She perceives both God and her mother as demanding and punishing and the idea of unconditional love is very hard to understand and accept. As a consequence, all her efforts are devoted to behaving perfectly so can be accepted at last. When her efforts inevitably fail, she becomes angry first at herself, then at her mother and God, followed by a lot of guilt and remorse. In Maria’s case, a lot of negative dysfunctional emotions are a direct consequence of perceived disobedience and behaviors that go against her religious beliefs, evaluated irrationally.
Since religion and religious behaviors play such a major role in Maria’s life, many of her problems (both emotional and practical) revolve around her religious involvement. Her major life decisions are directly affected by her religious beliefs and the spiritual mentors she reveres at the time (although they change quite often). As such, challenging irrational beliefs, negative automatic thoughts, and maladaptive schemas might mean touching on some religious content Maria is sensitive about (e.g., God’s unconditional acceptance vs. His acceptance/punishment predicated on one’s behavior/decisions).
Maria exhibits mainly extrinsic religiousness; often using religion in an instrumental way to achieve company, assistance, approval, and status. She experiences joy, purpose, and well-being when her religious group admires her, approves of her behaviors, and takes her advice. For Maria, group approval is also the indicator that God himself approves of her. Quite often, Maria’s religiousness conflicts with her goals, relationships, well-being, and social and professional life. Following an idea, she likes or the suggestion of a spiritual leader, Maria would engage in behaviors that irritate her friends, family, and coworkers, which fuel conflicts and distress. These situations occur mostly because of Maria’s proclivity for understanding all concepts in black and white, interpreting all gray areas as sinful.
The evaluation revealed a few potential problems with Maria’s religiousness:
Using religion and religious behavior as a means to approach and solve everyday problems and initiate relationships with other people;
Using religion to explain lack of ability, poor decisions, and maladaptive behaviors by refusing responsibility and blaming mysterious spiritual forces;
Changing religious groups frequently when people do not respond to her needs according to her expectations and explaining her decisions based on doctrine and belief;
Obsessing over sin, mistakes, and being rejected by God because of imperfection while holding rigidly to poorly understood concepts.
In conclusion, Maria’s religious beliefs are usually formulated in very rigid terms, in an absolutistic and irrational manner. Moreover, she is focused on a small number of beliefs that contradict other major tenets of Christianity. (
As a consequence, conflict with other people (including her religious community) occurs frequently, which has a negative impact on her morale and well-being.
Since religion is at the core of Maria’s worldview, the conceptualization of her problems and the explanations offered to her will have to take into consideration her sensibilities regarding the subject. Also, the therapeutic objectives will be aimed at improving her ability to live a satisfactory practical and spiritual life.
Stress situations (like moving to a new house, having to face a demanding client, or being confronted by her brother on an important issue, etc.) are those in which the feelings of inadequacy and incompetence develop. Poor anger management abilities and the ensuing prospect of losing the job she liked precipitated the panic attacks. Overwhelmed, Maria began feeling depressed and desperate.
Core religious assumptions:
believing she must be virtuous to deserve God’s love and help;
believing in good and bad spiritual entities that can interfere with people’s lives (physically and spiritually);
believing people belonging to the religious group she is part of having a moral obligation to help her, accept her, love her and grant her their time and attention;
being convinced she is entitled to a priest’s/pastor’s/spiritual leader’s love and unconditional support (much like the relationship between parent-child);
associating sin with immediate punishment and rejection by God.
The typical situations when Maria’s beliefs are activated include challenging moments when she is facing activities she has never done before and negative evaluations from the others are possible (like moving to a new house or using new procedures at work). Also, her low frustration tolerance is most evident when people do not grant her the attention and the support, she demands from them. Another difficult situation for Maria is when, after losing her temper, she notices people are upset with her and less willing to interact with her when she experiences guilt and remorse. The possibility of losing her job because of aggressive behavior toward the clients is the main event that precipitated the development of panic attacks. Maria’s depression and sadness are mainly connected to her lack of ability to cope with the requirements of healthy human interaction.
While growing up, Maria learned she could always be abandoned by those she loved. Her father left the house when she was very young and made no attempts to restore any relationship with his children. Her mother was herself pretty unstable emotionally and refused to open up to her children, maybe for fear of getting herself hurt. Also, she held the belief a good education is incompatible with expressing affection and was exaggeratedly critical of any mistake her daughter made. Because her brother had better performances in school, he was always the mother’s favorite, who repeatedly pointed out how reliable he was as compared to Maria. Also, her grandmother believed the same and acted the same. As a consequence, Maria grew to believe that “They all abandon me because I am not lovable” (acceptance beliefs) and “I am inadequate” (adequacy beliefs). On the other hand, her mother constantly supported the idea of justice over forgiveness. Thus, Maria holds now very strongly the idea that “everybody should treat me fairly and respectfully, because I do the same for them” and “My brother and my mother should help me as I help them” (justice beliefs). At the same time, she hates dependency and believes that “being sick equals being weak and offending others” and that she “should always be in control” (responsibility and control beliefs).
Maria discovered religion on her own, as an adult, being both attracted to and intrigued by the idea of an almighty God that loves and accepts imperfect human beings and was willing to sacrifice his only son for them. While she is very enthusiastic about the idea of unconditional love, Maria is also unable to fully understand and apply this idea to life and human interaction.
As a method of diagnosis, we used interview, observation, and self-monitoring. So far we avoided administering tests or other questionnaires, which she associates with a “formal diagnosis” and therefore something to be ashamed of. Maria is aware of her social difficulties and motivated to change something in her life.
A comprehensive conceptualization—integrating cognitive distortions, selective religious beliefs, and poorly defined religious values to explain emotional and behavioral consequences.
Maria’s core beliefs about acceptance and adequacy, justice, control, and responsibility, created in her insecure relationship with her mother and grandmother, are activated mostly in unstructured situations. The various unrealistic demands she has of herself and other people are often unmet and contribute to her poor self-image as inadequate and unlovable. The major lack of social and communication skills (due to prolonged social isolation) contributes negatively to her attempt to integrate socially as an adult. Her low frustration tolerance of the other persons’ unjust behavior triggers aggressiveness, which she later regrets; as a consequence, her negative self-image is being reinforced. Panic attacks are mainly related to her catastrophic evaluation of physiological symptoms in terms of weakness and inadequacy. Her lack of ability in properly handling difficult interpersonal interactions leads also to feelings of depression and sadness. In an attempt to cope and adjust, Maria turns to religion, conceptualized mostly as a parallel world where her worldview, expectations, and behaviors are supposed to work. Although she understands relatively well the tenets of Christianity, she arbitrarily selects and rigidly interprets those ideas and guidelines that serve her needs and alleviate her emotional pain. She uses religion in such a utilitarian manner without acknowledging or understanding the underlying problems.
Understanding that Maria’s worldview is organized around religious beliefs and practices, a main overarching objective of the psychotherapeutic intervention is to determine how her manner of belief impacts her social, relational, and occupational functioning. The truth of Christian ideas and tenets is acknowledged, while the therapist’s efforts are directed at pointing out contradictions in Maria’s thoughts, attitudes, and beliefs. The main concern is helping Maria articulate a comprehensive and coherent life philosophy that is equally true to Christian values and rational, realistic, and helpful.
The mutually agreed-upon list of problems including—(1) deficient social and communication skills, (2) deficient emotional regulation skills, (3) feelings of depression and guilt, (4) panic attacks and agoraphobic avoidance (mostly related to work), (5) binge eating, (6) socially unacceptable behavior/aggressive behavior (e.g., Throwing her and her brother’s things away because they were inhabited by evil spirits), and (7) deficient conflict management skills.
Among the most important treatment goals were—(1) building social and communication skills, (2) building emotion regulation skills, (3) reducing dysfunctional negative emotions (e.g., depression, guilt), (4) reducing panic attacks and agoraphobic avoidance, (5) eliminating binge eating and restructuring the eating behavior, (6) reducing socially unacceptable behavior and developing adaptive behaviors, and (7) building conflict management skills.
For panic attacks, we used a treatment package containing: cognitive restructuring techniques (Socratic dialog—pragmatic and empirical disputations) to reduce catastrophic interpretation and evaluation of her physiological symptoms, and a distraction technique to help her manage her distress when in the triggering situation (mostly before going to work). A significant beneficial effect was obtained after the cognitive restructuring of her beliefs that: “Having physical symptoms meant I am weak”, and “I must be perfect, otherwise I cannot stand it”. Systematic desensitization was also used to eliminate her agoraphobic avoidance.
For improving her deficient social and communication skills, we used assertiveness training and social skill training.
Her binge eating reduced considerably after starting to restructure the LFT (low frustration tolerance). No extra techniques were necessary; some overeating is still present in response to stressful situations. More effort is put into planning her eating habits.
REBT (cognitive restructuring, rational-emotive imagery, role-play, modeling, and behavioral experiments) was also used to restructure irrational beliefs and other distorted cognitions underlying panic, depression, and guilt and to help her learn unconditional self-acceptance. Also, a broader understanding of emotion regulation strategies was promoted based on the ABC model.
Behavioral analysis was used to develop an understanding of the causes of maladaptive behaviors and role-play and behavioral experiments help organize adaptive behaviors and build conflict management skills.
The therapeutic relationship was generally good with a few exceptions. First, Maria tried to manipulate the therapist into changing the agenda too often, by presenting different “emergencies” that had to be dealt with. Since this frequently happened at homework checkup time, the therapist decided to address Maria’s need for control and decision over the content, duration, and purpose of each task. After some guidelines were established that provided Maria with control over homework, the situation improved.
Several techniques and strategies were used to help achieve the therapeutic objectives.
Cognitive restructuring—challenging and restructuring maladaptive beliefs—core beliefs, automatic thoughts, and irrational beliefs using Bible verses. For instance, to dispute God’s conditional love and acceptance, Maria was asked to meditate on and explain verses like Romans 5:8 “But God commendeth his love toward us, in that, while we were yet sinners, Christ died for us”—pointing out the difference between a sinful behavior and a sinful, unworthy person. Also, when approaching core beliefs like abandonment and emotional deprivation, some verses can help partly cover the unmet childhood need: Romans 8:38–39 “For I am persuaded, that neither death, nor life, nor angels, nor principalities, nor powers, nor things present, nor things to come/Nor height, nor depth, nor any other creature, shall be able to separate us from the love of God, which is in Christ Jesus our Lord (Holy Bible, KJV).
Behavioral experiments—shame–attacking exercises, in which Maria chose to engage publicly in shameful behavior, were used to (1) expose her to criticism and (2) build tolerance for social rejection. Further discussion about the human value beyond social recognition also revolved around Bible verses. Fasting, as a religious behavior, was used as a means to consolidate frustration tolerance, experience and understand the distress and help control binge eating as a form of coping.
Prayer and meditation on God’s word were employed (1) to help articulate Maria’s religious worldview, (2) as a vehicle for remembering and rehearsing useful ways of thinking and behaving, and (3) rehearse and consolidate rational beliefs.
Rational-emotive imagery was used for changing emotions and coping with distress. Vivid images, including walking and talking with Jesus helped restructure cognitions and rehearse adaptive behaviors. Major distortions in Maria’s fantasies were used to identify irrational beliefs (e.g., Jesus would tell me to go away because I am weak”). This technique also helped create detailed scenarios of rational thoughts and adaptive behaviors that Maria was able to rehearse. Some of the early maladaptive schemas were approached by having Maria imagine Jesus responding to her mother’s actions when Maria was a baby.
Modeling and skill training helped in acquiring and using new social and communication skills and managing conflict. Maria observed people she appreciated (e.g., spiritual leaders) handle social interactions and conflict and took notes about their responses. Later on, she took on the role of a teacher for younger people in her prayer group, to demonstrate proper social skills (like Jesus did for us).
All techniques and strategies used were introduced taking into consideration Maria’s need to be successful and her difficulties in managing failure. They were initially discussed and demonstrated and rehearsed with the therapist until Maria was confident, she can be successful on her own.
The main obstacle was Maria’s resistance to structured homework and a structured approach to therapy. She always preferred to have some control over the strategy used and work in therapy (while supervised and helped by her therapist) and kept coming up with reasons to justify why she could not do the homework. Fragmenting tasks, reducing their difficulty and extent, and reinforcing even the slightest success, combined with carefully selected choices offered to her to validate her need for control helped, but this was an ongoing problem.
The intervention was extended over 40 sessions, once a week for 50 minutes. The main results concern the complete remission of panic attacks and avoidance. Maria is now able to go to work and has not had a panic attack for more than 6 months. Also, she has experienced less and less depression and there is an important reduction in binge eating (although she still overeats). After Maria stopped throwing things away her relationship with her brothers improved significantly, helped by the newly acquired communication skills.
Her religious worldview is more articulated than before and she is able to recognize the instances when her immediate needs take precedence over her relationship with God and over broader religious principles.
On the other hand, she still has quite severe feelings of sadness and depression, low unconditional self-acceptance, and has not succeeded in making new social relations.
"Open access contributes to scientific excellence and integrity. It opens up research results to wider analysis. It allows research results to be reused for new discoveries. And it enables the multi-disciplinary research that is needed to solve global 21st century problems. Open access connects science with society. It allows the public to engage with research. To go behind the headlines. And look at the scientific evidence. And it enables policy makers to draw on innovative solutions to societal challenges".
\n\nCarlos Moedas, the European Commissioner for Research Science and Innovation at the STM Annual Frankfurt Conference, October 2016.
",metaTitle:"About Open Access",metaDescription:"Open access contributes to scientific excellence and integrity. It opens up research results to wider analysis. It allows research results to be reused for new discoveries. And it enables the multi-disciplinary research that is needed to solve global 21st century problems. Open access connects science with society. It allows the public to engage with research. To go behind the headlines. And look at the scientific evidence. And it enables policy makers to draw on innovative solutions to societal challenges.\n\nCarlos Moedas, the European Commissioner for Research Science and Innovation at the STM Annual Frankfurt Conference, October 2016.",metaKeywords:null,canonicalURL:"about-open-access",contentRaw:'[{"type":"htmlEditorComponent","content":"The Open Access publishing movement started in the early 2000s when academic leaders from around the world participated in the formation of the Budapest Initiative. They developed recommendations for an Open Access publishing process, “which has worked for the past decade to provide the public with unrestricted, free access to scholarly research—much of which is publicly funded. Making the research publicly available to everyone—free of charge and without most copyright and licensing restrictions—will accelerate scientific research efforts and allow authors to reach a larger number of readers” (reference: http://www.budapestopenaccessinitiative.org)
\\n\\nIntechOpen’s co-founders, both scientists themselves, created the company while undertaking research in robotics at Vienna University. Their goal was to spread research freely “for scientists, by scientists’ to the rest of the world via the Open Access publishing model. The company soon became a signatory of the Budapest Initiative, which currently has more than 1000 supporting organizations worldwide, ranging from universities to funders.
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The Open Access publishing movement started in the early 2000s when academic leaders from around the world participated in the formation of the Budapest Initiative. They developed recommendations for an Open Access publishing process, “which has worked for the past decade to provide the public with unrestricted, free access to scholarly research—much of which is publicly funded. Making the research publicly available to everyone—free of charge and without most copyright and licensing restrictions—will accelerate scientific research efforts and allow authors to reach a larger number of readers” (reference: http://www.budapestopenaccessinitiative.org)
\n\nIntechOpen’s co-founders, both scientists themselves, created the company while undertaking research in robotics at Vienna University. Their goal was to spread research freely “for scientists, by scientists’ to the rest of the world via the Open Access publishing model. The company soon became a signatory of the Budapest Initiative, which currently has more than 1000 supporting organizations worldwide, ranging from universities to funders.
\n\nAt IntechOpen today, we are still as committed to working with organizations and people who care about scientific discovery, to putting the academic needs of the scientific community first, and to providing an Open Access environment where scientists can maximize their contribution to scientific advancement. By opening up access to the world’s scientific research articles and book chapters, we aim to facilitate greater opportunity for collaboration, scientific discovery and progress. We subscribe wholeheartedly to the Open Access definition:
\n\n“By “open access” to [peer-reviewed research literature], we mean its free availability on the public internet, permitting any users to read, download, copy, distribute, print, search, or link to the full texts of these articles, crawl them for indexing, pass them as data to software, or use them for any other lawful purpose, without financial, legal, or technical barriers other than those inseparable from gaining access to the internet itself. The only constraint on reproduction and distribution, and the only role for copyright in this domain, should be to give authors control over the integrity of their work and the right to be properly acknowledged and cited” (reference: http://www.budapestopenaccessinitiative.org)
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\n\nAs a firm believer in the wider dissemination of knowledge, IntechOpen supports the Open Access Initiative Protocol for Metadata Harvesting (OAI-PMH Version 2.0). Read more
\n\nLicense
\n\nBook chapters published in edited volumes are distributed under the Creative Commons Attribution 3.0 Unported License (CC BY 3.0). IntechOpen upholds a very flexible Copyright Policy. There is no copyright transfer to the publisher and Authors retain exclusive copyright to their work. All Monographs/Compacts are distributed under the Creative Commons Attribution-NonCommercial 4.0 International (CC BY-NC 4.0). Read more
\n\nPeer Review Policies
\n\nAll scientific works are Peer Reviewed prior to publishing. Read more
\n\nOA Publishing Fees
\n\nThe Open Access publishing model employed by IntechOpen eliminates subscription charges and pay-per-view fees, enabling readers to access research at no cost. In order to sustain operations and keep our publications freely accessible we levy an Open Access Publishing Fee for manuscripts, which helps us cover the costs of editorial work and the production of books. Read more
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\n\nIntechOpen is committed to ensuring the long-term preservation and the availability of all scholarly research we publish. We employ a variety of means to enable us to deliver on our commitments to the scientific community. Apart from preservation by the Croatian National Library (for publications prior to April 18, 2018) and the British Library (for publications after April 18, 2018), our entire catalogue is preserved in the CLOCKSS archive.
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ASD is associated with deficiencies in communication and social interaction, as well as restricted and repetitive behavioural patterns, according to the fifth edition of the diagnostic and statistical manual of mental disorders (DSM-5). By using the ISI Web of Knowledge as the reference data basis, we perform a bibliometric study of the use of VR as an educational tool for high-functioning ASD children. By this study we can quantify, on the one hand, the up to day importance of the different types of VR applied to this field: immersive or non-immersive, as well as the use of human or agent avatars. On the other hand, we can also differentiate amongst those interventions that work on emotional and social competences. The analysis of periods of research scarce, research abundance and research trends provides a dynamic view of the strategies used in this field in the last 20 years and suggests future lines of research.",book:{id:"6327",slug:"contemporary-perspective-on-child-psychology-and-education",title:"Contemporary Perspective on Child Psychology and Education",fullTitle:"Contemporary Perspective on Child Psychology and Education"},signatures:"Jorge Fernández-Herrero, Gonzalo Lorenzo-Lledó and Asunción\nLledó Carreres",authors:[{id:"187920",title:"Prof.",name:"Gonzalo",middleName:null,surname:"Lorenzo",slug:"gonzalo-lorenzo",fullName:"Gonzalo Lorenzo"},{id:"189580",title:"Prof.",name:"Asunción",middleName:null,surname:"Lledó",slug:"asuncion-lledo",fullName:"Asunción Lledó"},{id:"213024",title:"Mr.",name:"Jorge",middleName:null,surname:"Fernandez-Herrero",slug:"jorge-fernandez-herrero",fullName:"Jorge Fernandez-Herrero"}]},{id:"57391",doi:"10.5772/intechopen.71287",title:"Influence of Parental Divorce on Anxiety Level of Adolescents",slug:"influence-of-parental-divorce-on-anxiety-level-of-adolescents",totalDownloads:1937,totalCrossrefCites:3,totalDimensionsCites:4,abstract:"Family divorce might have an effect on some aspects of child development. Adolescence as a transitional stage is marked by process of seeking identity, the need for intimate relationship, as well as the struggle for psychological independence from family. Anxiety is defined as a state of extreme worry, fear, and uncertainty which results from the expectation of a threatening event or situation. The aims of study are: to explore the differences in anxiety levels among adolescents from divorced and intact families; to explore the level of anxiety of adolescents from divorced and intact families with respect to their genders. A demographic questionnaire was created and The Beck Anxiety Inventory was applied to measure anxiety. The scale was applied with 162 participants who were chosen randomly from 5 different high schools in Istanbul province. The study found out that there are statistically significant differences in anxiety level of adolescents between children from divorced and intact families. Descriptive measures are in range as follows: (17.67 ± 9.645). The adolescents from divorced families had a higher level of anxiety (t = 17.322; p < .05). The result related to the second study aim shows that there are no statistically significant differences in anxiety between male and female adolescents from divorced and intact families (p > .05).",book:{id:"6327",slug:"contemporary-perspective-on-child-psychology-and-education",title:"Contemporary Perspective on Child Psychology and Education",fullTitle:"Contemporary Perspective on Child Psychology and Education"},signatures:"Senija Tahirović and Gokce Demir",authors:[{id:"214445",title:"Dr.",name:"Senija",middleName:null,surname:"Tahirovic",slug:"senija-tahirovic",fullName:"Senija Tahirovic"},{id:"214465",title:"MSc.",name:"Gokce",middleName:null,surname:"Demir",slug:"gokce-demir",fullName:"Gokce Demir"}]},{id:"68639",doi:"10.5772/intechopen.88569",title:"Social Media and Young People’s Mental Health",slug:"social-media-and-young-people-s-mental-health",totalDownloads:2138,totalCrossrefCites:1,totalDimensionsCites:3,abstract:"Evidence suggests that social media can impact detrimentally on children and young people’s mental health. At the same time, social media use can be beneficial and have positive effects. This chapter outlines the detrimental and positive effects of social media use for young people. Schools play a critical role in educating young people about how to use social media safely and responsibly. However, schools cannot address all the issues and parents, social media and advertising companies also have a responsibility to protect children and young people from harm. This chapter outlines some of the potential solutions to the issues that are identified.",book:{id:"7927",slug:"selected-topics-in-child-and-adolescent-mental-health",title:"Selected Topics in Child and Adolescent Mental Health",fullTitle:"Selected Topics in Child and Adolescent Mental Health"},signatures:"Jonathan Glazzard and Samuel Stones",authors:[{id:"294281",title:"Prof.",name:"Jonathan",middleName:null,surname:"Glazzard",slug:"jonathan-glazzard",fullName:"Jonathan Glazzard"},{id:"309587",title:"Mr.",name:"Samuel",middleName:"Oliver James",surname:"Stones",slug:"samuel-stones",fullName:"Samuel Stones"}]},{id:"57686",doi:"10.5772/intechopen.71672",title:"Children and Young People’s Vulnerabilities to Grooming",slug:"children-and-young-people-s-vulnerabilities-to-grooming",totalDownloads:2250,totalCrossrefCites:1,totalDimensionsCites:2,abstract:"Child abuse is evolving, pervasive and complex and children are vulnerable to its widespread reach in many aspects of their lives, from face-to-face interactions to those they have online. This chapter aims to review contemporary literature which outlines the vulnerabilities of children to face-to-face and online grooming as part of a process leading to child abuse and exploitation. The chapter will undertake a review of literature on two aspects of grooming: child sexual exploitation (CSE) and radicalisation. It will draw on contemporary case examples to illustrate grooming drawn from UK Serious Case Reviews (SCR) on CSE and, on radicalisation, the case of the three girls from Bethnal Green who were groomed for travel to Syria. It will then reflect on the push and pull factors of grooming to highlight the similarities between CSE and radicalisation. Moving on, the chapter will then consider how and if interactive social media simulations, linked to an innovative, preventative educational approach and designed with reference to Vygotsky’s social construction theory, have the potential to educate young people to help protect them from being groomed. The chapter will then make reference to the findings of a small pilot study which evaluated the use of this approach with young people.",book:{id:"6327",slug:"contemporary-perspective-on-child-psychology-and-education",title:"Contemporary Perspective on Child Psychology and Education",fullTitle:"Contemporary Perspective on Child Psychology and Education"},signatures:"Jane Reeves, Emma Soutar, Sally Green and Tracy Crowther",authors:[{id:"211328",title:"Prof.",name:"Jane",middleName:null,surname:"Reeves",slug:"jane-reeves",fullName:"Jane Reeves"},{id:"211838",title:"Dr.",name:"Tracy",middleName:null,surname:"Crowther",slug:"tracy-crowther",fullName:"Tracy Crowther"},{id:"211839",title:"Mrs.",name:"Emma",middleName:null,surname:"Soutar",slug:"emma-soutar",fullName:"Emma Soutar"},{id:"211840",title:"Mrs.",name:"Sally",middleName:null,surname:"Green",slug:"sally-green",fullName:"Sally Green"}]},{id:"57269",doi:"10.5772/intechopen.71265",title:"Enhancing Young Children’s Access to Early Childhood Education and Care in Tanzania",slug:"enhancing-young-children-s-access-to-early-childhood-education-and-care-in-tanzania",totalDownloads:1518,totalCrossrefCites:2,totalDimensionsCites:2,abstract:"This chapter draws on the current situation of limited access of young children to early childhood education and care (ECEC) settings in Tanzania. It offers information and evidence on early childhood education and care (ECEC) from an international perspective to those who are, directly or indirectly, involved with young children and their families. Basically, early childhood education and care in Tanzania is still unsatisfactory. Many children have no access to early childhood settings for various reasons including: lack of parents’ awareness on the importance of early investment in education, lack of support from the government, low socio-economic status of parents, gender discrimination, and traditional norms and cultural values. To improve the situation, there is need for a forging of partnership between the government, parents, and the community. Government policy-makers have to set clear policies regarding how quality early childhood education and care can be equitably funded and conducted throughout the country.",book:{id:"6327",slug:"contemporary-perspective-on-child-psychology-and-education",title:"Contemporary Perspective on Child Psychology and Education",fullTitle:"Contemporary Perspective on Child Psychology and Education"},signatures:"Ignasia Mligo",authors:[{id:"212055",title:"Dr.",name:"Ignasia",middleName:null,surname:"Mligo",slug:"ignasia-mligo",fullName:"Ignasia Mligo"}]}],mostDownloadedChaptersLast30Days:[{id:"57686",title:"Children and Young People’s Vulnerabilities to Grooming",slug:"children-and-young-people-s-vulnerabilities-to-grooming",totalDownloads:2247,totalCrossrefCites:1,totalDimensionsCites:2,abstract:"Child abuse is evolving, pervasive and complex and children are vulnerable to its widespread reach in many aspects of their lives, from face-to-face interactions to those they have online. This chapter aims to review contemporary literature which outlines the vulnerabilities of children to face-to-face and online grooming as part of a process leading to child abuse and exploitation. The chapter will undertake a review of literature on two aspects of grooming: child sexual exploitation (CSE) and radicalisation. It will draw on contemporary case examples to illustrate grooming drawn from UK Serious Case Reviews (SCR) on CSE and, on radicalisation, the case of the three girls from Bethnal Green who were groomed for travel to Syria. It will then reflect on the push and pull factors of grooming to highlight the similarities between CSE and radicalisation. Moving on, the chapter will then consider how and if interactive social media simulations, linked to an innovative, preventative educational approach and designed with reference to Vygotsky’s social construction theory, have the potential to educate young people to help protect them from being groomed. 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At the same time, social media use can be beneficial and have positive effects. This chapter outlines the detrimental and positive effects of social media use for young people. Schools play a critical role in educating young people about how to use social media safely and responsibly. However, schools cannot address all the issues and parents, social media and advertising companies also have a responsibility to protect children and young people from harm. This chapter outlines some of the potential solutions to the issues that are identified.",book:{id:"7927",slug:"selected-topics-in-child-and-adolescent-mental-health",title:"Selected Topics in Child and Adolescent Mental Health",fullTitle:"Selected Topics in Child and Adolescent Mental Health"},signatures:"Jonathan Glazzard and Samuel Stones",authors:[{id:"294281",title:"Prof.",name:"Jonathan",middleName:null,surname:"Glazzard",slug:"jonathan-glazzard",fullName:"Jonathan Glazzard"},{id:"309587",title:"Mr.",name:"Samuel",middleName:"Oliver James",surname:"Stones",slug:"samuel-stones",fullName:"Samuel Stones"}]},{id:"57391",title:"Influence of Parental Divorce on Anxiety Level of Adolescents",slug:"influence-of-parental-divorce-on-anxiety-level-of-adolescents",totalDownloads:1931,totalCrossrefCites:3,totalDimensionsCites:4,abstract:"Family divorce might have an effect on some aspects of child development. Adolescence as a transitional stage is marked by process of seeking identity, the need for intimate relationship, as well as the struggle for psychological independence from family. Anxiety is defined as a state of extreme worry, fear, and uncertainty which results from the expectation of a threatening event or situation. The aims of study are: to explore the differences in anxiety levels among adolescents from divorced and intact families; to explore the level of anxiety of adolescents from divorced and intact families with respect to their genders. A demographic questionnaire was created and The Beck Anxiety Inventory was applied to measure anxiety. The scale was applied with 162 participants who were chosen randomly from 5 different high schools in Istanbul province. The study found out that there are statistically significant differences in anxiety level of adolescents between children from divorced and intact families. Descriptive measures are in range as follows: (17.67 ± 9.645). The adolescents from divorced families had a higher level of anxiety (t = 17.322; p < .05). The result related to the second study aim shows that there are no statistically significant differences in anxiety between male and female adolescents from divorced and intact families (p > .05).",book:{id:"6327",slug:"contemporary-perspective-on-child-psychology-and-education",title:"Contemporary Perspective on Child Psychology and Education",fullTitle:"Contemporary Perspective on Child Psychology and Education"},signatures:"Senija Tahirović and Gokce Demir",authors:[{id:"214445",title:"Dr.",name:"Senija",middleName:null,surname:"Tahirovic",slug:"senija-tahirovic",fullName:"Senija Tahirovic"},{id:"214465",title:"MSc.",name:"Gokce",middleName:null,surname:"Demir",slug:"gokce-demir",fullName:"Gokce Demir"}]},{id:"57167",title:"The Early Childhood Educators’ Attitudes Towards Innovative Instructional Applications about Digital Learning Activities for Young Children",slug:"the-early-childhood-educators-attitudes-towards-innovative-instructional-applications-about-digital-",totalDownloads:1234,totalCrossrefCites:0,totalDimensionsCites:0,abstract:"The innovative value and practices of digital learning activities assist early childhood educators in employing effective instruction to improve young children’s performance as well as advance their own professional autonomy to implement digital learning activities for young children. This study examined the factors and relationships about early childhood educators’ attitudes towards the integration and behavioral intention of digital learning tools into young children’s innovative pedagogical activities using a questionnaire survey. The questionnaire consisted of five factors, including digital innovative value (DIV), digital innovative practices (DIP), perception of instructional use (PIU), instructional professional autonomy (IPA), and behavioral intention to use (BIU). The researcher used structural equation modeling to analyze the survey data. The results showed that early childhood educators’ perceptions about innovative value and applications of digital learning activities play a key role in the success of young children’s performance and competence in preschool. The early childhood educators with positive attitudes towards the innovative consideration and practical instructional applications of digital learning activities had more behavioral intention to plan and design instructional activities with innovative applications of digital learning tools.",book:{id:"6327",slug:"contemporary-perspective-on-child-psychology-and-education",title:"Contemporary Perspective on Child Psychology and Education",fullTitle:"Contemporary Perspective on Child Psychology and Education"},signatures:"Ru-Si Chen",authors:[{id:"211677",title:"Prof.",name:"Ru-Si",middleName:null,surname:"Chen",slug:"ru-si-chen",fullName:"Ru-Si Chen"}]},{id:"57680",title:"Thinking and Learning Demands in Contemporary Childhood",slug:"thinking-and-learning-demands-in-contemporary-childhood",totalDownloads:1503,totalCrossrefCites:0,totalDimensionsCites:0,abstract:"Is today’s childhood is the same as the past’s? Frankly speaking, we cannot answer this question as a clear yes. It is obvious that children today are more into tablet computers, social networks and online games than traditional child games. Besides, our communication styles have been changed significantly for the past years. We, no longer need to meet others face to face to ask for help or to chat. Artificial intelligence, machine learning and robots are another story of the contemporary world. Robots capable of perceiving their surroundings and making decisions have started to deprive many people of their jobs. But what kind of jobs will human beings perform? The increasing emphasis on innovation, cooperation, critical thinking, being creative, problem solving, communication skills and project management is an indicator of what kind of a business world will today’s children meet in the future. This on-going trend also includes clues about how should children be educated. This study is focusing on thinking and learning demands expected contemporary children to meet. 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Saxena",hash:"d92a4085627bab25ddc7942fbf44cf05",volumeInSeries:2,fullTitle:"Current Perspectives in Human Papillomavirus",editors:[{id:"158026",title:"Prof.",name:"Shailendra K.",middleName:null,surname:"Saxena",slug:"shailendra-k.-saxena",fullName:"Shailendra K. Saxena",profilePictureURL:"https://s3.us-east-1.amazonaws.com/intech-files/0030O00002bRET3QAO/Profile_Picture_2022-05-10T10:10:26.jpeg",institutionString:"King George's Medical University",institution:{name:"King George's Medical University",institutionURL:null,country:{name:"India"}}}],equalEditorOne:null,equalEditorTwo:null,equalEditorThree:null}]},subseriesFiltersForPublishedBooks:[{group:"subseries",caption:"Bacterial Infectious Diseases",value:3,count:2},{group:"subseries",caption:"Parasitic Infectious Diseases",value:5,count:4},{group:"subseries",caption:"Viral Infectious Diseases",value:6,count:7}],publicationYearFilters:[{group:"publicationYear",caption:"2022",value:2022,count:2},{group:"publicationYear",caption:"2021",value:2021,count:4},{group:"publicationYear",caption:"2020",value:2020,count:3},{group:"publicationYear",caption:"2019",value:2019,count:3},{group:"publicationYear",caption:"2018",value:2018,count:1}],authors:{paginationCount:250,paginationItems:[{id:"274452",title:"Dr.",name:"Yousif",middleName:"Mohamed",surname:"Abdallah",slug:"yousif-abdallah",fullName:"Yousif Abdallah",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/274452/images/8324_n.jpg",biography:"I certainly enjoyed my experience in Radiotherapy and Nuclear Medicine, particularly it has been in different institutions and hospitals with different Medical Cultures and allocated resources. Radiotherapy and Nuclear Medicine Technology has always been my aspiration and my life. As years passed I accumulated a tremendous amount of skills and knowledge in Radiotherapy and Nuclear Medicine, Conventional Radiology, Radiation Protection, Bioinformatics Technology, PACS, Image processing, clinically and lecturing that will enable me to provide a valuable service to the community as a Researcher and Consultant in this field. My method of translating this into day to day in clinical practice is non-exhaustible and my habit of exchanging knowledge and expertise with others in those fields is the code and secret of success.",institutionString:null,institution:{name:"Majmaah University",country:{name:"Saudi Arabia"}}},{id:"313277",title:"Dr.",name:"Bartłomiej",middleName:null,surname:"Płaczek",slug:"bartlomiej-placzek",fullName:"Bartłomiej Płaczek",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/313277/images/system/313277.jpg",biography:"Bartłomiej Płaczek, MSc (2002), Ph.D. (2005), Habilitation (2016), is a professor at the University of Silesia, Institute of Computer Science, Poland, and an expert from the National Centre for Research and Development. His research interests include sensor networks, smart sensors, intelligent systems, and image processing with applications in healthcare and medicine. He is the author or co-author of more than seventy papers in peer-reviewed journals and conferences as well as the co-author of several books. He serves as a reviewer for many scientific journals, international conferences, and research foundations. Since 2010, Dr. Placzek has been a reviewer of grants and projects (including EU projects) in the field of information technologies.",institutionString:"University of Silesia",institution:{name:"University of Silesia",country:{name:"Poland"}}},{id:"35000",title:"Prof.",name:"Ulrich H.P",middleName:"H.P.",surname:"Fischer",slug:"ulrich-h.p-fischer",fullName:"Ulrich H.P Fischer",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/35000/images/3052_n.jpg",biography:"Academic and Professional Background\nUlrich H. P. has Diploma and PhD degrees in Physics from the Free University Berlin, Germany. He has been working on research positions in the Heinrich-Hertz-Institute in Germany. Several international research projects has been performed with European partners from France, Netherlands, Norway and the UK. He is currently Professor of Communications Systems at the Harz University of Applied Sciences, Germany.\n\nPublications and Publishing\nHe has edited one book, a special interest book about ‘Optoelectronic Packaging’ (VDE, Berlin, Germany), and has published over 100 papers and is owner of several international patents for WDM over POF key elements.\n\nKey Research and Consulting Interests\nUlrich’s research activity has always been related to Spectroscopy and Optical Communications Technology. Specific current interests include the validation of complex instruments, and the application of VR technology to the development and testing of measurement systems. He has been reviewer for several publications of the Optical Society of America\\'s including Photonics Technology Letters and Applied Optics.\n\nPersonal Interests\nThese include motor cycling in a very relaxed manner and performing martial arts.",institutionString:null,institution:{name:"Charité",country:{name:"Germany"}}},{id:"341622",title:"Ph.D.",name:"Eduardo",middleName:null,surname:"Rojas Alvarez",slug:"eduardo-rojas-alvarez",fullName:"Eduardo Rojas Alvarez",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/341622/images/15892_n.jpg",biography:null,institutionString:null,institution:{name:"University of Cuenca",country:{name:"Ecuador"}}},{id:"215610",title:"Prof.",name:"Muhammad",middleName:null,surname:"Sarfraz",slug:"muhammad-sarfraz",fullName:"Muhammad Sarfraz",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/215610/images/system/215610.jpeg",biography:"Muhammad Sarfraz is a professor in the Department of Information Science, Kuwait University. His research interests include computer graphics, computer vision, image processing, machine learning, pattern recognition, soft computing, data science, intelligent systems, information technology, and information systems. Prof. Sarfraz has been a keynote/invited speaker on various platforms around the globe. He has advised various students for their MSc and Ph.D. theses. He has published more than 400 publications as books, journal articles, and conference papers. He is a member of various professional societies and a chair and member of the International Advisory Committees and Organizing Committees of various international conferences. Prof. Sarfraz is also an editor-in-chief and editor of various international journals.",institutionString:"Kuwait University",institution:{name:"Kuwait University",country:{name:"Kuwait"}}},{id:"32650",title:"Prof.",name:"Lukas",middleName:"Willem",surname:"Snyman",slug:"lukas-snyman",fullName:"Lukas Snyman",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/32650/images/4136_n.jpg",biography:"Lukas Willem Snyman received his basic education at primary and high schools in South Africa, Eastern Cape. He enrolled at today's Nelson Metropolitan University and graduated from this university with a BSc in Physics and Mathematics, B.Sc Honors in Physics, MSc in Semiconductor Physics, and a Ph.D. in Semiconductor Physics in 1987. After his studies, he chose an academic career and devoted his energy to the teaching of physics to first, second, and third-year students. After positions as a lecturer at the University of Port Elizabeth, he accepted a position as Associate Professor at the University of Pretoria, South Africa.\r\n\r\nIn 1992, he motivates the concept of 'television and computer-based education” as means to reach large student numbers with only the best of teaching expertise and publishes an article on the concept in the SA Journal of Higher Education of 1993 (and later in 2003). The University of Pretoria subsequently approved a series of test projects on the concept with outreach to Mamelodi and Eerste Rust in 1993. In 1994, the University established a 'Unit for Telematic Education ' as a support section for multiple faculties at the University of Pretoria. In subsequent years, the concept of 'telematic education” subsequently becomes well established in academic circles in South Africa, grew in popularity, and is adopted by many universities and colleges throughout South Africa as a medium of enhancing education and training, as a method to reaching out to far out communities, and as a means to enhance study from the home environment.\r\n\r\nProfessor Snyman in subsequent years pursued research in semiconductor physics, semiconductor devices, microelectronics, and optoelectronics.\r\n\r\nIn 2000 he joined the TUT as a full professor. Here served for a period as head of the Department of Electronic Engineering. Here he makes contributions to solar energy development, microwave and optoelectronic device development, silicon photonics, as well as contributions to new mobile telecommunication systems and network planning in SA.\r\n\r\nCurrently, he teaches electronics and telecommunications at the TUT to audiences ranging from first-year students to Ph.D. level.\r\n\r\nFor his research in the field of 'Silicon Photonics” since 1990, he has published (as author and co-author) about thirty internationally reviewed articles in scientific journals, contributed to more than forty international conferences, about 25 South African provisional patents (as inventor and co-inventor), 8 PCT international patent applications until now. Of these, two USA patents applications, two European Patents, two Korean patents, and ten SA patents have been granted. A further 4 USA patents, 5 European patents, 3 Korean patents, 3 Chinese patents, and 3 Japanese patents are currently under consideration.\r\n\r\nRecently he has also published an extensive scholarly chapter in an internet open access book on 'Integrating Microphotonic Systems and MOEMS into standard Silicon CMOS Integrated circuitry”.\r\n\r\nFurthermore, Professor Snyman recently steered a new initiative at the TUT by introducing a 'Laboratory for Innovative Electronic Systems ' at the Department of Electrical Engineering. The model of this laboratory or center is to primarily combine outputs as achieved by high-level research with lower-level system development and entrepreneurship in a technical university environment. Students are allocated to projects at different levels with PhDs and Master students allocated to the generation of new knowledge and new technologies, while students at the diploma and Baccalaureus level are allocated to electronic systems development with a direct and a near application for application in industry or the commercial and public sectors in South Africa.\r\n\r\nProfessor Snyman received the WIRSAM Award of 1983 and the WIRSAM Award in 1985 in South Africa for best research papers by a young scientist at two international conferences on electron microscopy in South Africa. He subsequently received the SA Microelectronics Award for the best dissertation emanating from studies executed at a South African university in the field of Physics and Microelectronics in South Africa in 1987. In October of 2011, Professor Snyman received the prestigious Institutional Award for 'Innovator of the Year” for 2010 at the Tshwane University of Technology, South Africa. This award was based on the number of patents recognized and granted by local and international institutions as well as for his contributions concerning innovation at the TUT.",institutionString:null,institution:{name:"University of South Africa",country:{name:"South Africa"}}},{id:"317279",title:"Mr.",name:"Ali",middleName:"Usama",surname:"Syed",slug:"ali-syed",fullName:"Ali Syed",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/317279/images/16024_n.png",biography:"A creative, talented, and innovative young professional who is dedicated, well organized, and capable research fellow with two years of experience in graduate-level research, published in engineering journals and book, with related expertise in Bio-robotics, equally passionate about the aesthetics of the mechanical and electronic system, obtained expertise in the use of MS Office, MATLAB, SolidWorks, LabVIEW, Proteus, Fusion 360, having a grasp on python, C++ and assembly language, possess proven ability in acquiring research grants, previous appointments with social and educational societies with experience in administration, current affiliations with IEEE and Web of Science, a confident presenter at conferences and teacher in classrooms, able to explain complex information to audiences of all levels.",institutionString:null,institution:{name:"Air University",country:{name:"Pakistan"}}},{id:"75526",title:"Ph.D.",name:"Zihni Onur",middleName:null,surname:"Uygun",slug:"zihni-onur-uygun",fullName:"Zihni Onur Uygun",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/75526/images/12_n.jpg",biography:"My undergraduate education and my Master of Science educations at Ege University and at Çanakkale Onsekiz Mart University have given me a firm foundation in Biochemistry, Analytical Chemistry, Biosensors, Bioelectronics, Physical Chemistry and Medicine. After obtaining my degree as a MSc in analytical chemistry, I started working as a research assistant in Ege University Medical Faculty in 2014. In parallel, I enrolled to the MSc program at the Department of Medical Biochemistry at Ege University to gain deeper knowledge on medical and biochemical sciences as well as clinical chemistry in 2014. In my PhD I deeply researched on biosensors and bioelectronics and finished in 2020. Now I have eleven SCI-Expanded Index published papers, 6 international book chapters, referee assignments for different SCIE journals, one international patent pending, several international awards, projects and bursaries. In parallel to my research assistant position at Ege University Medical Faculty, Department of Medical Biochemistry, in April 2016, I also founded a Start-Up Company (Denosens Biotechnology LTD) by the support of The Scientific and Technological Research Council of Turkey. Currently, I am also working as a CEO in Denosens Biotechnology. The main purposes of the company, which carries out R&D as a research center, are to develop new generation biosensors and sensors for both point-of-care diagnostics; such as glucose, lactate, cholesterol and cancer biomarker detections. My specific experimental and instrumental skills are Biochemistry, Biosensor, Analytical Chemistry, Electrochemistry, Mobile phone based point-of-care diagnostic device, POCTs and Patient interface designs, HPLC, Tandem Mass Spectrometry, Spectrophotometry, ELISA.",institutionString:null,institution:{name:"Ege University",country:{name:"Turkey"}}},{id:"267434",title:"Dr.",name:"Rohit",middleName:null,surname:"Raja",slug:"rohit-raja",fullName:"Rohit Raja",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/267434/images/system/267434.jpg",biography:"Dr. Rohit Raja received Ph.D. in Computer Science and Engineering from Dr. CVRAMAN University in 2016. His main research interest includes Face recognition and Identification, Digital Image Processing, Signal Processing, and Networking. Presently he is working as Associate Professor in IT Department, Guru Ghasidas Vishwavidyalaya (A Central University), Bilaspur (CG), India. He has authored several Journal and Conference Papers. He has good Academics & Research experience in various areas of CSE and IT. He has filed and successfully published 27 Patents. He has received many time invitations to be a Guest at IEEE Conferences. He has published 100 research papers in various International/National Journals (including IEEE, Springer, etc.) and Proceedings of the reputed International/ National Conferences (including Springer and IEEE). He has been nominated to the board of editors/reviewers of many peer-reviewed and refereed Journals (including IEEE, Springer).",institutionString:"Guru Ghasidas Vishwavidyalaya",institution:{name:"Guru Ghasidas Vishwavidyalaya",country:{name:"India"}}},{id:"246502",title:"Dr.",name:"Jaya T.",middleName:"T",surname:"Varkey",slug:"jaya-t.-varkey",fullName:"Jaya T. Varkey",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/246502/images/11160_n.jpg",biography:"Jaya T. Varkey, PhD, graduated with a degree in Chemistry from Cochin University of Science and Technology, Kerala, India. She obtained a PhD in Chemistry from the School of Chemical Sciences, Mahatma Gandhi University, Kerala, India, and completed a post-doctoral fellowship at the University of Minnesota, USA. She is a research guide at Mahatma Gandhi University and Associate Professor in Chemistry, St. Teresa’s College, Kochi, Kerala, India.\nDr. Varkey received a National Young Scientist award from the Indian Science Congress (1995), a UGC Research award (2016–2018), an Indian National Science Academy (INSA) Visiting Scientist award (2018–2019), and a Best Innovative Faculty award from the All India Association for Christian Higher Education (AIACHE) (2019). She Hashas received the Sr. Mary Cecil prize for best research paper three times. She was also awarded a start-up to develop a tea bag water filter. \nDr. Varkey has published two international books and twenty-seven international journal publications. She is an editorial board member for five international journals.",institutionString:"St. Teresa’s College",institution:null},{id:"250668",title:"Dr.",name:"Ali",middleName:null,surname:"Nabipour Chakoli",slug:"ali-nabipour-chakoli",fullName:"Ali Nabipour Chakoli",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/250668/images/system/250668.jpg",biography:"Academic Qualification:\r\n•\tPhD in Materials Physics and Chemistry, From: Sep. 2006, to: Sep. 2010, School of Materials Science and Engineering, Harbin Institute of Technology, Thesis: Structure and Shape Memory Effect of Functionalized MWCNTs/poly (L-lactide-co-ε-caprolactone) Nanocomposites. Supervisor: Prof. Wei Cai,\r\n•\tM.Sc in Applied Physics, From: 1996, to: 1998, Faculty of Physics & Nuclear Science, Amirkabir Uni. of Technology, Tehran, Iran, Thesis: Determination of Boron in Micro alloy Steels with solid state nuclear track detectors by neutron induced auto radiography, Supervisors: Dr. M. Hosseini Ashrafi and Dr. A. Hosseini.\r\n•\tB.Sc. in Applied Physics, From: 1991, to: 1996, Faculty of Physics & Nuclear Science, Amirkabir Uni. of Technology, Tehran, Iran, Thesis: Design of shielding for Am-Be neutron sources for In Vivo neutron activation analysis, Supervisor: Dr. M. Hosseini Ashrafi.\r\n\r\nResearch Experiences:\r\n1.\tNanomaterials, Carbon Nanotubes, Graphene: Synthesis, Functionalization and Characterization,\r\n2.\tMWCNTs/Polymer Composites: Fabrication and Characterization, \r\n3.\tShape Memory Polymers, Biodegradable Polymers, ORC, Collagen,\r\n4.\tMaterials Analysis and Characterizations: TEM, SEM, XPS, FT-IR, Raman, DSC, DMA, TGA, XRD, GPC, Fluoroscopy, \r\n5.\tInteraction of Radiation with Mater, Nuclear Safety and Security, NDT(RT),\r\n6.\tRadiation Detectors, Calibration (SSDL),\r\n7.\tCompleted IAEA e-learning Courses:\r\nNuclear Security (15 Modules),\r\nNuclear Safety:\r\nTSA 2: Regulatory Protection in Occupational Exposure,\r\nTips & Tricks: Radiation Protection in Radiography,\r\nSafety and Quality in Radiotherapy,\r\nCourse on Sealed Radioactive Sources,\r\nCourse on Fundamentals of Environmental Remediation,\r\nCourse on Planning for Environmental Remediation,\r\nKnowledge Management Orientation Course,\r\nFood Irradiation - Technology, Applications and Good Practices,\r\nEmployment:\r\nFrom 2010 to now: Academic staff, Nuclear Science and Technology Research Institute, Kargar Shomali, Tehran, Iran, P.O. Box: 14395-836.\r\nFrom 1997 to 2006: Expert of Materials Analysis and Characterization. Research Center of Agriculture and Medicine. Rajaeeshahr, Karaj, Iran, P. O. Box: 31585-498.",institutionString:"Atomic Energy Organization of Iran",institution:{name:"Atomic Energy Organization of Iran",country:{name:"Iran"}}},{id:"248279",title:"Dr.",name:"Monika",middleName:"Elzbieta",surname:"Machoy",slug:"monika-machoy",fullName:"Monika Machoy",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/248279/images/system/248279.jpeg",biography:"Monika Elżbieta Machoy, MD, graduated with distinction from the Faculty of Medicine and Dentistry at the Pomeranian Medical University in 2009, defended her PhD thesis with summa cum laude in 2016 and is currently employed as a researcher at the Department of Orthodontics of the Pomeranian Medical University. She expanded her professional knowledge during a one-year scholarship program at the Ernst Moritz Arndt University in Greifswald, Germany and during a three-year internship at the Technical University in Dresden, Germany. She has been a speaker at numerous orthodontic conferences, among others, American Association of Orthodontics, European Orthodontic Symposium and numerous conferences of the Polish Orthodontic Society. She conducts research focusing on the effect of orthodontic treatment on dental and periodontal tissues and the causes of pain in orthodontic patients.",institutionString:"Pomeranian Medical University",institution:{name:"Pomeranian Medical University",country:{name:"Poland"}}},{id:"252743",title:"Prof.",name:"Aswini",middleName:"Kumar",surname:"Kar",slug:"aswini-kar",fullName:"Aswini Kar",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/252743/images/10381_n.jpg",biography:"uploaded in cv",institutionString:null,institution:{name:"KIIT University",country:{name:"India"}}},{id:"204256",title:"Dr.",name:"Anil",middleName:"Kumar",surname:"Kumar Sahu",slug:"anil-kumar-sahu",fullName:"Anil Kumar Sahu",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/204256/images/14201_n.jpg",biography:"I have nearly 11 years of research and teaching experience. I have done my master degree from University Institute of Pharmacy, Pt. Ravi Shankar Shukla University, Raipur, Chhattisgarh India. I have published 16 review and research articles in international and national journals and published 4 chapters in IntechOpen, the world’s leading publisher of Open access books. I have presented many papers at national and international conferences. I have received research award from Indian Drug Manufacturers Association in year 2015. My research interest extends from novel lymphatic drug delivery systems, oral delivery system for herbal bioactive to formulation optimization.",institutionString:null,institution:{name:"Chhattisgarh Swami Vivekanand Technical University",country:{name:"India"}}},{id:"253468",title:"Dr.",name:"Mariusz",middleName:null,surname:"Marzec",slug:"mariusz-marzec",fullName:"Mariusz Marzec",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/253468/images/system/253468.png",biography:"An assistant professor at Department of Biomedical Computer Systems, at Institute of Computer Science, Silesian University in Katowice. Scientific interests: computer analysis and processing of images, biomedical images, databases and programming languages. He is an author and co-author of scientific publications covering analysis and processing of biomedical images and development of database systems.",institutionString:"University of Silesia",institution:{name:"University of Silesia",country:{name:"Poland"}}},{id:"212432",title:"Prof.",name:"Hadi",middleName:null,surname:"Mohammadi",slug:"hadi-mohammadi",fullName:"Hadi Mohammadi",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/212432/images/system/212432.jpeg",biography:"Dr. Hadi Mohammadi is a biomedical engineer with hands-on experience in the design and development of many engineering structures and medical devices through various projects that he has been involved in over the past twenty years. Dr. Mohammadi received his BSc. and MSc. degrees in Mechanical Engineering from Sharif University of Technology, Tehran, Iran, and his PhD. degree in Biomedical Engineering (biomaterials) from the University of Western Ontario. He was a postdoctoral trainee for almost four years at University of Calgary and Harvard Medical School. He is an industry innovator having created the technology to produce lifelike synthetic platforms that can be used for the simulation of almost all cardiovascular reconstructive surgeries. He’s been heavily involved in the design and development of cardiovascular devices and technology for the past 10 years. He is currently an Assistant Professor with the University of British Colombia, Canada.",institutionString:"University of British Columbia",institution:{name:"University of British Columbia",country:{name:"Canada"}}},{id:"254463",title:"Prof.",name:"Haisheng",middleName:null,surname:"Yang",slug:"haisheng-yang",fullName:"Haisheng Yang",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/254463/images/system/254463.jpeg",biography:"Haisheng Yang, Ph.D., Professor and Director of the Department of Biomedical Engineering, College of Life Science and Bioengineering, Beijing University of Technology. He received his Ph.D. degree in Mechanics/Biomechanics from Harbin Institute of Technology (jointly with University of California, Berkeley). Afterwards, he worked as a Postdoctoral Research Associate in the Purdue Musculoskeletal Biology and Mechanics Lab at the Department of Basic Medical Sciences, Purdue University, USA. He also conducted research in the Research Centre of Shriners Hospitals for Children-Canada at McGill University, Canada. Dr. Yang has over 10 years research experience in orthopaedic biomechanics and mechanobiology of bone adaptation and regeneration. He earned an award from Beijing Overseas Talents Aggregation program in 2017 and serves as Beijing Distinguished Professor.",institutionString:null,institution:{name:"Beijing University of Technology",country:{name:"China"}}},{id:"89721",title:"Dr.",name:"Mehmet",middleName:"Cuneyt",surname:"Ozmen",slug:"mehmet-ozmen",fullName:"Mehmet Ozmen",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/89721/images/7289_n.jpg",biography:null,institutionString:null,institution:{name:"Gazi University",country:{name:"Turkey"}}},{id:"265335",title:"Mr.",name:"Stefan",middleName:"Radnev",surname:"Stefanov",slug:"stefan-stefanov",fullName:"Stefan Stefanov",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/265335/images/7562_n.jpg",biography:null,institutionString:null,institution:{name:"Medical University Plovdiv",country:{name:"Bulgaria"}}},{id:"242893",title:"Ph.D. Student",name:"Joaquim",middleName:null,surname:"De Moura",slug:"joaquim-de-moura",fullName:"Joaquim De Moura",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/242893/images/7133_n.jpg",biography:"Joaquim de Moura received his degree in Computer Engineering in 2014 from the University of A Coruña (Spain). In 2016, he received his M.Sc degree in Computer Engineering from the same university. He is currently pursuing his Ph.D degree in Computer Science in a collaborative project between ophthalmology centers in Galicia and the University of A Coruña. His research interests include computer vision, machine learning algorithms and analysis and medical imaging processing of various kinds.",institutionString:null,institution:{name:"University of A Coruña",country:{name:"Spain"}}},{id:"294334",title:"B.Sc.",name:"Marc",middleName:null,surname:"Bruggeman",slug:"marc-bruggeman",fullName:"Marc Bruggeman",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/294334/images/8242_n.jpg",biography:"Chemical engineer graduate, with a passion for material science and specific interest in polymers - their near infinite applications intrigue me. \n\nI plan to continue my scientific career in the field of polymeric biomaterials as I am fascinated by intelligent, bioactive and biomimetic materials for use in both consumer and medical applications.",institutionString:null,institution:null},{id:"255757",title:"Dr.",name:"Igor",middleName:"Victorovich",surname:"Lakhno",slug:"igor-lakhno",fullName:"Igor Lakhno",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/255757/images/system/255757.jpg",biography:"Igor Victorovich Lakhno was born in 1971 in Kharkiv (Ukraine). \nMD – 1994, Kharkiv National Medical Univesity.\nOb&Gyn; – 1997, master courses in Kharkiv Medical Academy of Postgraduate Education.\nPh.D. – 1999, Kharkiv National Medical Univesity.\nDSC – 2019, PL Shupik National Academy of Postgraduate Education \nProfessor – 2021, Department of Obstetrics and Gynecology of VN Karazin Kharkiv National University\nHead of Department – 2021, Department of Perinatology, Obstetrics and gynecology of Kharkiv Medical Academy of Postgraduate Education\nIgor Lakhno has been graduated from international training courses on reproductive medicine and family planning held at Debrecen University (Hungary) in 1997. Since 1998 Lakhno Igor has worked as an associate professor in the department of obstetrics and gynecology of VN Karazin National University and an associate professor of the perinatology, obstetrics, and gynecology department of Kharkiv Medical Academy of Postgraduate Education. Since June 2019 he’s been a professor in the department of obstetrics and gynecology of VN Karazin National University and a professor of the perinatology, obstetrics, and gynecology department. He’s affiliated with Kharkiv Medical Academy of Postgraduate Education as a Head of Department from November 2021. Igor Lakhno has participated in several international projects on fetal non-invasive electrocardiography (with Dr. J. A. Behar (Technion), Prof. D. Hoyer (Jena University), and José Alejandro Díaz Méndez (National Institute of Astrophysics, Optics, and Electronics, Mexico). He’s an author of about 200 printed works and there are 31 of them in Scopus or Web of Science databases. Igor Lakhno is a member of the Editorial Board of Reproductive Health of Woman, Emergency Medicine, and Technology Transfer Innovative Solutions in Medicine (Estonia). He is a medical Editor of “Z turbotoyu pro zhinku”. Igor Lakhno is a reviewer of the Journal of Obstetrics and Gynaecology (Taylor and Francis), British Journal of Obstetrics and Gynecology (Wiley), Informatics in Medicine Unlocked (Elsevier), The Journal of Obstetrics and Gynecology Research (Wiley), Endocrine, Metabolic & Immune Disorders-Drug Targets (Bentham Open), The Open Biomedical Engineering Journal (Bentham Open), etc. He’s defended a dissertation for a DSc degree “Pre-eclampsia: prediction, prevention, and treatment”. Three years ago Igor Lakhno has participated in a training course on innovative technologies in medical education at Lublin Medical University (Poland). Lakhno Igor has participated as a speaker in several international conferences and congresses (International Conference on Biological Oscillations April 10th-14th 2016, Lancaster, UK, The 9th conference of the European Study Group on Cardiovascular Oscillations). His main scientific interests: are obstetrics, women’s health, fetal medicine, and cardiovascular medicine. \nIgor Lakhno is a consultant at Kharkiv municipal perinatal center. He’s graduated from training courses on endoscopy in gynecology. He has 28 years of practical experience in the field.",institutionString:null,institution:null},{id:"244950",title:"Dr.",name:"Salvatore",middleName:null,surname:"Di Lauro",slug:"salvatore-di-lauro",fullName:"Salvatore Di Lauro",position:null,profilePictureURL:"https://intech-files.s3.amazonaws.com/0030O00002bSF1HQAW/ProfilePicture%202021-12-20%2014%3A54%3A14.482",biography:"Name:\n\tSALVATORE DI LAURO\nAddress:\n\tHospital Clínico Universitario Valladolid\nAvda Ramón y Cajal 3\n47005, Valladolid\nSpain\nPhone number: \nFax\nE-mail:\n\t+34 983420000 ext 292\n+34 983420084\nsadilauro@live.it\nDate and place of Birth:\nID Number\nMedical Licence \nLanguages\t09-05-1985. Villaricca (Italy)\n\nY1281863H\n474707061\nItalian (native language)\nSpanish (read, written, spoken)\nEnglish (read, written, spoken)\nPortuguese (read, spoken)\nFrench (read)\n\t\t\nCurrent position (title and company)\tDate (Year)\nVitreo-Retinal consultant in ophthalmology. Hospital Clinico Universitario Valladolid. Sacyl. National Health System.\nVitreo-Retinal consultant in ophthalmology. Instituto Oftalmologico Recoletas. Red Hospitalaria Recoletas. Private practise.\t2017-today\n\n2019-today\n\t\n\t\nEducation (High school, university and postgraduate training > 3 months)\tDate (Year)\nDegree in Medicine and Surgery. University of Neaples 'Federico II”\nResident in Opthalmology. Hospital Clinico Universitario Valladolid\nMaster in Vitreo-Retina. IOBA. University of Valladolid\nFellow of the European Board of Ophthalmology. Paris\nMaster in Research in Ophthalmology. University of Valladolid\t2003-2009\n2012-2016\n2016-2017\n2016\n2012-2013\n\t\nEmployments (company and positions)\tDate (Year)\nResident in Ophthalmology. Hospital Clinico Universitario Valladolid. Sacyl.\nFellow in Vitreo-Retina. IOBA. University of Valladolid\nVitreo-Retinal consultant in ophthalmology. Hospital Clinico Universitario Valladolid. Sacyl. National Health System.\nVitreo-Retinal consultant in ophthalmology. Instituto Oftalmologico Recoletas. Red Hospitalaria Recoletas. \n\t2012-2016\n2016-2017\n2017-today\n\n2019-Today\n\n\n\t\nClinical Research Experience (tasks and role)\tDate (Year)\nAssociated investigator\n\n' FIS PI20/00740: DESARROLLO DE UNA CALCULADORA DE RIESGO DE\nAPARICION DE RETINOPATIA DIABETICA BASADA EN TECNICAS DE IMAGEN MULTIMODAL EN PACIENTES DIABETICOS TIPO 1. Grant by: Ministerio de Ciencia e Innovacion \n\n' (BIO/VA23/14) Estudio clínico multicéntrico y prospectivo para validar dos\nbiomarcadores ubicados en los genes p53 y MDM2 en la predicción de los resultados funcionales de la cirugía del desprendimiento de retina regmatógeno. Grant by: Gerencia Regional de Salud de la Junta de Castilla y León.\n' Estudio multicéntrico, aleatorizado, con enmascaramiento doble, en 2 grupos\nparalelos y de 52 semanas de duración para comparar la eficacia, seguridad e inmunogenicidad de SOK583A1 respecto a Eylea® en pacientes con degeneración macular neovascular asociada a la edad' (CSOK583A12301; N.EUDRA: 2019-004838-41; FASE III). Grant by Hexal AG\n\n' Estudio de fase III, aleatorizado, doble ciego, con grupos paralelos, multicéntrico para comparar la eficacia y la seguridad de QL1205 frente a Lucentis® en pacientes con degeneración macular neovascular asociada a la edad. (EUDRACT: 2018-004486-13). Grant by Qilu Pharmaceutical Co\n\n' Estudio NEUTON: Ensayo clinico en fase IV para evaluar la eficacia de aflibercept en pacientes Naive con Edema MacUlar secundario a Oclusion de Vena CenTral de la Retina (OVCR) en regimen de tratamientO iNdividualizado Treat and Extend (TAE)”, (2014-000975-21). Grant by Fundacion Retinaplus\n\n' Evaluación de la seguridad y bioactividad de anillos de tensión capsular en conejo. Proyecto Procusens. Grant by AJL, S.A.\n\n'Estudio epidemiológico, prospectivo, multicéntrico y abierto\\npara valorar la frecuencia de la conjuntivitis adenovírica diagnosticada mediante el test AdenoPlus®\\nTest en pacientes enfermos de conjuntivitis aguda”\\n. National, multicenter study. Grant by: NICOX.\n\nEuropean multicentric trial: 'Evaluation of clinical outcomes following the use of Systane Hydration in patients with dry eye”. Study Phase 4. Grant by: Alcon Labs'\n\nVLPs Injection and Activation in a Rabbit Model of Uveal Melanoma. Grant by Aura Bioscience\n\nUpdating and characterization of a rabbit model of uveal melanoma. Grant by Aura Bioscience\n\nEnsayo clínico en fase IV para evaluar las variantes genéticas de la vía del VEGF como biomarcadores de eficacia del tratamiento con aflibercept en pacientes con degeneración macular asociada a la edad (DMAE) neovascular. Estudio BIOIMAGE. IMO-AFLI-2013-01\n\nEstudio In-Eye:Ensayo clínico en fase IV, abierto, aleatorizado, de 2 brazos,\nmulticçentrico y de 12 meses de duración, para evaluar la eficacia y seguridad de un régimen de PRN flexible individualizado de 'esperar y extender' versus un régimen PRN según criterios de estabilización mediante evaluaciones mensuales de inyecciones intravítreas de ranibizumab 0,5 mg en pacientes naive con neovascularización coriodea secunaria a la degeneración macular relacionada con la edad. CP: CRFB002AES03T\n\nTREND: Estudio Fase IIIb multicéntrico, randomizado, de 12 meses de\nseguimiento con evaluador de la agudeza visual enmascarado, para evaluar la eficacia y la seguridad de ranibizumab 0.5mg en un régimen de tratar y extender comparado con un régimen mensual, en pacientes con degeneración macular neovascular asociada a la edad. CP: CRFB002A2411 Código Eudra CT:\n2013-002626-23\n\n\n\nPublications\t\n\n2021\n\n\n\n\n2015\n\n\n\n\n2021\n\n\n\n\n\n2021\n\n\n\n\n2015\n\n\n\n\n2015\n\n\n2014\n\n\n\n\n2015-16\n\n\n\n2015\n\n\n2014\n\n\n2014\n\n\n\n\n2014\n\n\n\n\n\n\n\n2014\n\nJose Carlos Pastor; Jimena Rojas; Salvador Pastor-Idoate; Salvatore Di Lauro; Lucia Gonzalez-Buendia; Santiago Delgado-Tirado. Proliferative vitreoretinopathy: A new concept of disease pathogenesis and practical\nconsequences. Progress in Retinal and Eye Research. 51, pp. 125 - 155. 03/2016. DOI: 10.1016/j.preteyeres.2015.07.005\n\n\nLabrador-Velandia S; Alonso-Alonso ML; Di Lauro S; García-Gutierrez MT; Srivastava GK; Pastor JC; Fernandez-Bueno I. Mesenchymal stem cells provide paracrine neuroprotective resources that delay degeneration of co-cultured organotypic neuroretinal cultures.Experimental Eye Research. 185, 17/05/2019. DOI: 10.1016/j.exer.2019.05.011\n\nSalvatore Di Lauro; Maria Teresa Garcia Gutierrez; Ivan Fernandez Bueno. Quantification of pigment epithelium-derived factor (PEDF) in an ex vivo coculture of retinal pigment epithelium cells and neuroretina.\nJournal of Allbiosolution. 2019. ISSN 2605-3535\n\nSonia Labrador Velandia; Salvatore Di Lauro; Alonso-Alonso ML; Tabera Bartolomé S; Srivastava GK; Pastor JC; Fernandez-Bueno I. Biocompatibility of intravitreal injection of human mesenchymal stem cells in immunocompetent rabbits. Graefe's archive for clinical and experimental ophthalmology. 256 - 1, pp. 125 - 134. 01/2018. DOI: 10.1007/s00417-017-3842-3\n\n\nSalvatore Di Lauro, David Rodriguez-Crespo, Manuel J Gayoso, Maria T Garcia-Gutierrez, J Carlos Pastor, Girish K Srivastava, Ivan Fernandez-Bueno. A novel coculture model of porcine central neuroretina explants and retinal pigment epithelium cells. Molecular Vision. 2016 - 22, pp. 243 - 253. 01/2016.\n\nSalvatore Di Lauro. Classifications for Proliferative Vitreoretinopathy ({PVR}): An Analysis of Their Use in Publications over the Last 15 Years. Journal of Ophthalmology. 2016, pp. 1 - 6. 01/2016. DOI: 10.1155/2016/7807596\n\nSalvatore Di Lauro; Rosa Maria Coco; Rosa Maria Sanabria; Enrique Rodriguez de la Rua; Jose Carlos Pastor. Loss of Visual Acuity after Successful Surgery for Macula-On Rhegmatogenous Retinal Detachment in a Prospective Multicentre Study. Journal of Ophthalmology. 2015:821864, 2015. DOI: 10.1155/2015/821864\n\nIvan Fernandez-Bueno; Salvatore Di Lauro; Ivan Alvarez; Jose Carlos Lopez; Maria Teresa Garcia-Gutierrez; Itziar Fernandez; Eva Larra; Jose Carlos Pastor. Safety and Biocompatibility of a New High-Density Polyethylene-Based\nSpherical Integrated Porous Orbital Implant: An Experimental Study in Rabbits. Journal of Ophthalmology. 2015:904096, 2015. DOI: 10.1155/2015/904096\n\nPastor JC; Pastor-Idoate S; Rodríguez-Hernandez I; Rojas J; Fernandez I; Gonzalez-Buendia L; Di Lauro S; Gonzalez-Sarmiento R. Genetics of PVR and RD. Ophthalmologica. 232 - Suppl 1, pp. 28 - 29. 2014\n\nRodriguez-Crespo D; Di Lauro S; Singh AK; Garcia-Gutierrez MT; Garrosa M; Pastor JC; Fernandez-Bueno I; Srivastava GK. Triple-layered mixed co-culture model of RPE cells with neuroretina for evaluating the neuroprotective effects of adipose-MSCs. Cell Tissue Res. 358 - 3, pp. 705 - 716. 2014.\nDOI: 10.1007/s00441-014-1987-5\n\nCarlo De Werra; Salvatore Condurro; Salvatore Tramontano; Mario Perone; Ivana Donzelli; Salvatore Di Lauro; Massimo Di Giuseppe; Rosa Di Micco; Annalisa Pascariello; Antonio Pastore; Giorgio Diamantis; Giuseppe Galloro. Hydatid disease of the liver: thirty years of surgical experience.Chirurgia italiana. 59 - 5, pp. 611 - 636.\n(Italia): 2007. ISSN 0009-4773\n\nChapters in books\n\t\n' Salvador Pastor Idoate; Salvatore Di Lauro; Jose Carlos Pastor Jimeno. PVR: Pathogenesis, Histopathology and Classification. Proliferative Vitreoretinopathy with Small Gauge Vitrectomy. Springer, 2018. ISBN 978-3-319-78445-8\nDOI: 10.1007/978-3-319-78446-5_2. \n\n' Salvatore Di Lauro; Maria Isabel Lopez Galvez. Quistes vítreos en una mujer joven. Problemas diagnósticos en patología retinocoroidea. Sociedad Española de Retina-Vitreo. 2018.\n\n' Salvatore Di Lauro; Salvador Pastor Idoate; Jose Carlos Pastor Jimeno. iOCT in PVR management. OCT Applications in Opthalmology. pp. 1 - 8. INTECH, 2018. DOI: 10.5772/intechopen.78774.\n\n' Rosa Coco Martin; Salvatore Di Lauro; Salvador Pastor Idoate; Jose Carlos Pastor. amponadores, manipuladores y tinciones en la cirugía del traumatismo ocular.Trauma Ocular. Ponencia de la SEO 2018..\n\n' LOPEZ GALVEZ; DI LAURO; CRESPO. OCT angiografia y complicaciones retinianas de la diabetes. PONENCIA SEO 2021, CAPITULO 20. (España): 2021.\n\n' Múltiples desprendimientos neurosensoriales bilaterales en paciente joven. Enfermedades Degenerativas De Retina Y Coroides. SERV 04/2016. \n' González-Buendía L; Di Lauro S; Pastor-Idoate S; Pastor Jimeno JC. Vitreorretinopatía proliferante (VRP) e inflamación: LA INFLAMACIÓN in «INMUNOMODULADORES Y ANTIINFLAMATORIOS: MÁS ALLÁ DE LOS CORTICOIDES. RELACION DE PONENCIAS DE LA SOCIEDAD ESPAÑOLA DE OFTALMOLOGIA. 10/2014.",institutionString:null,institution:null},{id:"243698",title:"Dr.",name:"Xiaogang",middleName:null,surname:"Wang",slug:"xiaogang-wang",fullName:"Xiaogang Wang",position:null,profilePictureURL:"https://mts.intechopen.com/storage/users/243698/images/system/243698.png",biography:"Dr. Xiaogang Wang, a faculty member of Shanxi Eye Hospital specializing in the treatment of cataract and retinal disease and a tutor for postgraduate students of Shanxi Medical University, worked in the COOL Lab as an international visiting scholar under the supervision of Dr. David Huang and Yali Jia from October 2012 through November 2013. Dr. Wang earned an MD from Shanxi Medical University and a Ph.D. from Shanghai Jiao Tong University. Dr. Wang was awarded two research project grants focused on multimodal optical coherence tomography imaging and deep learning in cataract and retinal disease, from the National Natural Science Foundation of China. He has published around 30 peer-reviewed journal papers and four book chapters and co-edited one book.",institutionString:null,institution:null},{id:"7227",title:"Dr.",name:"Hiroaki",middleName:null,surname:"Matsui",slug:"hiroaki-matsui",fullName:"Hiroaki Matsui",position:null,profilePictureURL:"//cdnintech.com/web/frontend/www/assets/author.svg",biography:null,institutionString:null,institution:{name:"University of Tokyo",country:{name:"Japan"}}},{id:"312999",title:"Dr.",name:"Bernard O.",middleName:null,surname:"Asimeng",slug:"bernard-o.-asimeng",fullName:"Bernard O. Asimeng",position:null,profilePictureURL:"//cdnintech.com/web/frontend/www/assets/author.svg",biography:null,institutionString:null,institution:{name:"University of Ghana",country:{name:"Ghana"}}},{id:"318905",title:"Prof.",name:"Elvis",middleName:"Kwason",surname:"Tiburu",slug:"elvis-tiburu",fullName:"Elvis Tiburu",position:null,profilePictureURL:"//cdnintech.com/web/frontend/www/assets/author.svg",biography:null,institutionString:null,institution:{name:"University of Ghana",country:{name:"Ghana"}}},{id:"336193",title:"Dr.",name:"Abdullah",middleName:null,surname:"Alamoudi",slug:"abdullah-alamoudi",fullName:"Abdullah Alamoudi",position:null,profilePictureURL:"//cdnintech.com/web/frontend/www/assets/author.svg",biography:null,institutionString:null,institution:{name:"Majmaah University",country:{name:"Saudi Arabia"}}},{id:"318657",title:"MSc.",name:"Isabell",middleName:null,surname:"Steuding",slug:"isabell-steuding",fullName:"Isabell Steuding",position:null,profilePictureURL:"//cdnintech.com/web/frontend/www/assets/author.svg",biography:null,institutionString:null,institution:{name:"Harz University of Applied Sciences",country:{name:"Germany"}}},{id:"318656",title:"BSc.",name:"Peter",middleName:null,surname:"Kußmann",slug:"peter-kussmann",fullName:"Peter Kußmann",position:null,profilePictureURL:"//cdnintech.com/web/frontend/www/assets/author.svg",biography:null,institutionString:null,institution:{name:"Harz University of Applied Sciences",country:{name:"Germany"}}}]}},subseries:{item:{id:"3",type:"subseries",title:"Bacterial Infectious Diseases",keywords:"Antibiotics, Biofilm, Antibiotic Resistance, Host-microbiota Relationship, Treatment, Diagnostic Tools",scope:"