BACKGROUND: Depression is prevalent during antenatal and postnatal stages of pregnancy. The effect of depression can be seen in complications during and after pregnancy, fetal growth retardation, abortions and preterm births. The literature abounds on postpartum depression (PD) while few studies are on antepartum depression (AD).
AIM: The systematic review aims to compute the prevalence of AD from published articles.
MATERIAL AND METHODS: The published articles (26) used in this review were obtained from the search of the search keywords “Depressive conditions in pregnancy AND trimesters”. All the articles were considered irrespective of language and their citation status as of the time of the query. Only articles that presented the prevalence mean and sample size were included. Articles on questionnaires filled by nonpregnant women and men were excluded. Articles that presented the prevalence of depression for the postpartum period only were excluded but were included if they addressed depression at both postpartum and trimester(s) of pregnancy. P-value of less than or equal to 0.05 was considered significant.
RESULTS: Analysis of the 26 articles showed that 4,303 subjects tested positive for depression in a sample of 28,248 pregnant mothers, giving the prevalence rate as 15%. Confounding was removed, and the sample size was adjusted to be 25,771 and 4,223 were screened to have depressive symptoms, thereby giving a new prevalence rate as 16.4%. It was also revealed that AD is most prevalent in the last trimester of pregnancy and least in the second trimester. Pregnancy duration and PD are not correlated with AD. This implies that AD can be observed in any period of the pregnancy and cannot predict the incidence of PD.
CONCLUSION: Efforts must be intensified to monitor pregnant women during the third trimester to reduce the incidence of maternal depression during pregnancy, thereby reducing the prevalence.
A B S T R A C TA three parameter probability model, the so called Weibull-exponential distribution was proposed using the Weibull Generalized family of distributions. Some important models in the literature were found to be sub models of the new model. Explicit expressions for some of its basic mathematical properties like moments, moment generating function, reliability analysis, limiting behavior and order statistics were derived. The method of maximum likelihood estimation was proposed in estimating its parameters and real life applications were provided to illustrate its flexibility and potentiality over the exponential distribution.
This data article explores the factors that contribute to maintaining steady cost projection on construction projects. The data was obtained using structured questionnaire designed in Likert scale. The responses were solicited from category of construction practitioners. Simple random sampling was employed in the distribution of the questionnaires to the respondents. Data samples were analysed using severity index, ranking and simple percentages. The analysis of the data brought to fore some important data on factors that causes cost overrun, they include: contractor's inexperience, inadequate planning, inflation, incessant variation order, and change in project design. They are critical to causing cost overrun, while project complexity, shortening of project period and fraudulent practices are found to be responsible. The data fall within the percentages of possible consequences of cost overrun when compared with those available in scientific literature. The data can provide insights on how to mitigate the risks of project deviation from initial cost and as-built project.
In this article, a random number of datasets was generated from random samples of used GSM (Global Systems for Mobile Communications) recharge cards. Statistical analyses were performed to refine the raw data to random number datasets arranged in table. A detailed description of the method and relevant tests of randomness were also discussed.
This data article contains the partial analysis (descriptive statistics) of data obtained from 1770 primary school pupils and secondary school students in three Local Government Areas of Ogun State, Nigeria. The schools are either privately owned or public (government owned) schools. The aim of the field survey is to measure the level and patterns of externalizing behavior of the respondents. The data was collected using a standardized questionnaire. The questionnaire is a modification of Achenbach manual for Child behavior checklist (Achenbach, 2001) [1] and manual for Youth self-report (Achenbach and Rescorla, 2001) [2]. The questionnaire was designed to suit the demographic and socio-cultural nature of the target population. Analysis of the data can provide useful insights to the patterns of externalizing behavior of primary school pupils and secondary school students.
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