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Bimodal
Terms modified by Bimodal Selected AbstractsStructure, function and evolution of the gas exchangers: comparative perspectivesJOURNAL OF ANATOMY, Issue 4 2002J. N. Maina Abstract Over the evolutionary continuum, animals have faced similar fundamental challenges of acquiring molecular oxygen for aerobic metabolism. Under limitations and constraints imposed by factors such as phylogeny, behaviour, body size and environment, they have responded differently in founding optimal respiratory structures. A quintessence of the aphorism that ,necessity is the mother of invention', gas exchangers have been inaugurated through stiff cost,benefit analyses that have evoked transaction of trade-offs and compromises. Cogent structural,functional correlations occur in constructions of gas exchangers: within and between taxa, morphological complexity and respiratory efficiency increase with metabolic capacities and oxygen needs. Highly active, small endotherms have relatively better-refined gas exchangers compared with large, inactive ectotherms. Respiratory structures have developed from the plain cell membrane of the primeval prokaryotic unicells to complex multifunctional ones of the modern Metazoa. Regarding the respiratory medium used to extract oxygen from, animal life has had only two choices , water or air , within the biological range of temperature and pressure the only naturally occurring respirable fluids. In rarer cases, certain animals have adapted to using both media. Gills (evaginated gas exchangers) are the primordial respiratory organs: they are the archetypal water breathing organs. Lungs (invaginated gas exchangers) are the model air breathing organs. Bimodal (transitional) breathers occupy the water,air interface. Presentation and exposure of external (water/air) and internal (haemolymph/blood) respiratory media, features determined by geometric arrangement of the conduits, are important features for gas exchange efficiency: counter-current, cross-current, uniform pool and infinite pool designs have variably developed. [source] Incorporation of Recreational Fishing Effort into Design of Marine Protected AreasCONSERVATION BIOLOGY, Issue 5 2006TIM P. LYNCH consulta pública; modelos de reservas marinas; pesca con caña; suposiciones de poza dinámica Abstract:,Theoretical models of marine protected areas (MPAs) that explore benefits to fisheries or biodiversity conservation often assume a dynamic pool of fishing effort. For instance, effort is homogenously distributed over areas from which subsets of reserves are chosen. I tested this and other model assumptions with a case study of the multiple-use Jervis Bay Marine Park. Prior to zoning of the park I conducted 166 surveys of the park's recreational fisheries, plotting the location of 16,009 anglers. I converted these plots into diagrams of fishing effort and analyzed correlates between fishing and habitat and the effect of two reserve designs,the draft and final zoning plans of the park,on the 15 fisheries observed. Fisheries were strongly correlated with particular habitats and had negatively skewed and often bimodal spatial distribution. The second mode of intensely fished habitat could be 6 SD greater than the fishery's mean allocation of effort by area. In the draft-zoning plan, sanctuary zone (no-take) area and potential subduction of fishing effort were similar. In the final plan, which was altered in response to public comment, the area of sanctuary zone increased, and the impact on fishing effort decreased. In only one case was a fishery's most intensely targeted location closed to fishing. Because of the discriminating manner with which fishers target habitats, if simple percentage targets are used for planning, sanctuary location can be adjusted to avoid existing fishing effort. According to modeled outcomes, the implication of this may be diminished reserve effectiveness. To address this, reserve area should be implicitly linked to subducted fishing effort when promoting or modeling MPAs. Resumen:,Los modelos teóricos de áreas marinas protegidas (AMPs) que exploran los beneficios para las pesquerías o la conservación de la biodiversidad a menudo asumen que hay una poza dinámica en el esfuerzo de pesca. Por ejemplo, el esfuerzo es distribuido homogéneamente en áreas en las que se seleccionan subconjuntos de reservas. Probé esta y otras suposiciones del modelo con un estudio de caso del Parque Marino Jarvis Bay. Antes de la zonificación del parque, realicé 166 muestreos de las pesquerías recreativas del parque, dibujando la localización de 16,009 pescadores con caña. Convertí estos dibujos en diagramas de esfuerzo de pesca y analicé las correlaciones entre la pesca, el hábitat y el efecto de dos diseños de reserva,el anteproyecto y los planes finales de zonificación del parque,sobre las 15 pesquerías observadas. Las pesquerías se correlacionaron fuertemente con los hábitats particulares y tenían una distribución espacial sesgada negativamente y a menudo bimodal. El segundo tipo de hábitat pescado intensivamente podría ser 6 DS mayor que la asignación promedio de esfuerzo de pesquería por unidad de área. En el anteproyecto de plan de zonificación, el área santuario (sin pesca) y la subducción potencial del esfuerzo de pesca eran similares. En el plan final, que fue alterado en respuesta a comentarios del público, el área del santuario fue incrementada, y el impacto del esfuerzo de pesca disminuyó. En solo un caso fue cerrado a la pesca la localidad de pesca más intensiva. Debido a la forma discriminada en que los pescadores eligen los hábitats, si se utilizan objetivos porcentuales simples para la planificación, la localización del santuario puede ser ajustada para evitar el esfuerzo de pesca existente. De acuerdo con los resultados del modelo, la implicación puede ser la disminución de la efectividad de la reserva. Para abordar esto, el área de la reserva debiera estar implícitamente relacionada con la reducción del esfuerzo de pesca cuando se promueven o modelan AMPs. [source] Intersensory redundancy facilitates discrimination of tempo in 3-month-old infantsDEVELOPMENTAL PSYCHOBIOLOGY, Issue 4 2002Lorraine E. Bahrick Abstract L. Bahrick and R. Lickliter (2000) proposed an intersensory redundancy hypothesis that states that information presented redundantly and in temporal synchrony across two or more sensory modalities selectively recruits infant attention and facilitates perceptual learning more effectively than does the same information presented unimodally. In support of this view, they found that 5-month-old infants were able to differentiate between two complex rhythms when they were presented bimodally, but not unimodally. The present study extended our test of the intersensory redundancy hypothesis to younger infants and to a different amodal property. Three-month-olds' sensitivity to the amodal property of tempo was investigated. Results replicated and extended those of Bahrick and Lickliter, demonstrating that infants could discriminate a change in tempo following bimodal, but not unimodal, habituation. It appears that when infants are first learning to differentiate an amodal stimulus property, discrimination is facilitated by intersensory redundancy and attenuated under conditions of unimodal stimulation. © 2002 Wiley Periodicals, Inc. Dev Psychobiol 41: 352,363, 2002. Published online in Wiley InterScience (www.interscience.wiley.com). DOI 10.1002/dev.10049 [source] Intersensory redundancy educates selective attention in bobwhite quail embryosDEVELOPMENTAL SCIENCE, Issue 6 2006Robert Lickliter We assessed whether exposure to amodal properties in bimodal stimulation (e.g. rhythm, rate, duration) could educate attention to amodal properties in subsequent unimodal stimulation during prenatal development. Bobwhite quail embryos were exposed to an individual bobwhite maternal call under several experimental and control conditions during the day prior to hatching. Experimental groups received redundant auditory and visual exposure to the temporal features of an individual maternal call followed by unimodal auditory exposure to the same call immediately or after a 2-hr or 4-hr delay. Control groups received (1) the same exposure but in the reverse sequence (unimodal , redundant bimodal), (2) asynchronous bimodal , unimodal, (3) only unimodal exposure, or (4) only bimodal exposure. All experimental groups showed a significant preference for the familiar maternal call over a novel maternal call when tested 2 days after hatching, whereas none of the control groups showed a significant preference for the familiar call. These results indicate that intersensory redundancy can direct attention to amodal properties in bimodal stimulation and educate attention to the same amodal properties in subsequent unimodal stimulation where no intersensory redundancy is available. [source] Development of multisensory spatial integration and perception in humansDEVELOPMENTAL SCIENCE, Issue 5 2006Patricia A. Neil Previous studies have shown that adults respond faster and more reliably to bimodal compared to unimodal localization cues. The current study investigated for the first time the development of audiovisual (A-V) integration in spatial localization behavior in infants between 1 and 10 months of age. We observed infants' head and eye movements in response to auditory, visual, or both kinds of stimuli presented either 25° or 45° to the right or left of midline. Infants under 8 months of age intermittently showed response latencies significantly faster toward audiovisual targets than toward either auditory or visual targets alone They did so, however, without exhibiting a reliable violation of the Race Model, suggesting that probability summation alone could explain the faster bimodal response. In contrast, infants between 8 and 10 months of age exhibited bimodal response latencies significantly faster than unimodal latencies for both eccentricity conditions and their latencies violated the Race Model at 25° eccentricity. In addition to this main finding, we found age-dependent eccentricity and modality effects on response latencies. Together, these findings suggest that audiovisual integration emerges late in the first year of life and are consistent with neurophysiological findings from multisensory sites in the superior colliculus of infant monkeys showing that multisensory enhancement of responsiveness is not present at birth but emerges later in life. [source] Demographic Factors and Their Association with Outcomes in Pediatric Submersion InjuryACADEMIC EMERGENCY MEDICINE, Issue 3 2006Lois K. Lee MD Objectives: To describe the epidemiology and outcomes of serious pediatric submersion injuries and to identify factors associated with an increased risk of death or chronic disability. Methods: A retrospective database review of 1994,2000 Massachusetts death and hospital discharge data characterized demographic factors; International Classification of Diseases, Ninth Revision (ICD-9), Clinical Modification (ICD-9-CM), or ICD-10 injury codes; and outcomes for state residents 0,19 years of age identified with unintentional submersion injuries. The authors performed logistic regression analysis to correlate outcomes with risk and demographic factors. Results: The database included 267 cases of serious submersion injury, defined as those requiring hospitalization or leading to death. Of these 267 patients, 125 (47%) drowned, 118 (44%) were discharged home, 13 (5%) were discharged home with intravenous therapy or with availability of a home health aide, and 11 (4%) were discharged to an intermediate care/chronic care facility. The authors observed a trend of improved outcome in successively younger age groups (p < 0.0001). The multivariable logistic regression analysis showed an increased likelihood of poor outcome for males compared with females (odds ratio [OR]: 2.52; 95% confidence interval [95% CI] = 1.31 to 4.84) and for African Americans compared with whites (OR: 3.47; 95% CI = 1.24 to 9.75), and a decreased likelihood of poor outcome for Hispanics compared with whites (OR: 0.056; 95% CI = 0.013 to 0.24). Conclusions: After serious pediatric submersion injuries, the overall outcome appears largely bimodal, with children primarily discharged home or dying. The observations that better outcomes occurred among younger age groups, females, and Hispanic children, with worse outcomes in African American children, suggest that injury prevention for submersion injuries should consider differences in age, gender, and race/ethnicity. [source] Patterns of commonness and rarity in central European birds: reliability of the core-satellite hypothesis within a large scaleECOGRAPHY, Issue 4 2002David Storch The frequency distribution of species' area of occupancy is often bimodal, most species being either very rare or very common in terms of number of occupied sites. This pattern has been attributed to the nonlinearity associated with metapopulation dynamics of the species, but there are also other explanations comprising sampling artifact and frequency distribution of suitable habitats. We tested whether the bimodal frequency distribution of occupied squares in central European birds could be derived solely from the frequency distribution of species population sizes (i.e. the sampling artifact hypothesis) or from the spatial distribution of their preferred habitats. Both models predict high proportion of very common species, i.e. the right side of frequency distribution. Bimodality itself is well predicted by models based on random placement of individuals according to their abundances but neither model predicts the observed prevalence of rare species. Even the combined models that assume random placement of individuals within the squares with suitable habitat do not predict such a high proportion of rare species. The observed distribution is more aggregated, rare species occupying a smaller portion of suitable habitat than predicted on the basis of their abundance. The pattern is consistent with metapopulation processes involving local population extinctions. The involvement of these processes is supported by two further observations. First, species rarity is associated with significant population trend and/or location on the edge of their ranges within central Europe, both situations presumably associated with metapopulation processes. Second, suitable habitats seem to be either saturated or almost unoccupied, which is consistent with the predictions of the metapopulation model based on nonlinear dynamics of extinction and colonization. Although the habitat suitability is an important determinant of species distribution, the rarity of many species of birds within this scale of observation seems to be affected by other factors, including local population extinctions associated with fragmentation of species' habitats. [source] Solute Content and the Grain Microstructure of High Pressure Diecast Magnesium,Aluminium Alloys,ADVANCED ENGINEERING MATERIALS, Issue 11 2009Anumalasetty V. Nagasekhar The grain microstructure is strongly bimodal due to the mixture of large dendritic grains that solidify in the shot sleeve and are subsequently injected into the die cavity, and the small grains that nucleate inside the cavity and grow to a size dictated by the solute content and the solidification rate. The large grains form only in concentrated alloys; their size is also partially controlled by the growth restriction factor. [source] Measurement of the size distribution of water-filled pores at different matric potentials by stray field nuclear magnetic resonanceEUROPEAN JOURNAL OF SOIL SCIENCE, Issue 1 2005N. R. A. Bird Summary The water retention characteristic provides the traditional data set for the derivation of a soil's pore-size distribution. However, the technique employed to achieve this requires that assumptions be made about the way pores interconnect. We explore an alternative approach based on stray field nuclear magnetic resonance (STRAFI-NMR) to probe the water-filled pores of both saturated and unsaturated soils, which does not require information relating to pore connectivity. We report the relative size distributions of water-occupied pores in saturated and unsaturated samples of two sets of glass beads of known particle size, two sands, and three soils (a silty loam, a sandy loam and a loamy sand), using measurements of the NMR T1 proton relaxation time of water. The T1 values are linearly related to pore size and consequently measured T1 distributions provide a measure of the pore-size distribution. For both the sands and the glass beads at saturation the T1 distributions are unimodal, and the samples with small particle sizes show a shift to small T1 values indicating smaller voids relative to the samples with larger particles. Different matric potentials were used to reveal how the water-occupied pore-size distribution changes during drainage. These changes are inconsistent with, and demonstrate the inadequacies of, the commonly employed parallel-capillary tube model of a soil pore space. We find that not all pores of the same size drain at the same matric potential. Further, we observe that the T1 distribution is shifted to smaller values beyond the distribution at saturation. This shift is explained by a change in the weighted average of the relaxation rates as the proportion of water in the centre of water-filled pores decreases. This is evidence for the presence of pendular structures resulting from incomplete drainage of pores. For the soils the results are similar except that at saturation the T1 distributions are bimodal or asymmetrical, indicative of inter-aggregate and intra-aggregate pore spaces. We conclude that the NMR method provides a characterization of the water-filled pore space which complements that derived from the water retention characteristic and which can provide insight into the way pore connectivity impacts on drainage. [source] CONFLICTING SELECTION FROM AN ANTAGONIST AND A MUTUALIST ENHANCES PHENOTYPIC VARIATION IN A PLANTEVOLUTION, Issue 4 2010Adam M. Siepielski The raw material for evolution is variation. Consequently, identifying the factors that generate, maintain, and erode phenotypic and genetic variation in ecologically important traits within and among populations is important. Although persistent directional or stabilizing selection can deplete variation, spatial variation in conflicting directional selection can enhance variation. Here, we present evidence that phenotypic variation in limber pine (Pinus flexilis) cone structure is enhanced by conflicting selection pressures exerted by its mutualistic seed disperser (Clark's nutcracker Nucifraga columbiana) and an antagonistic seed predator (pine squirrel Tamiasciurus spp.). Phenotypic variation in cone structure was bimodal and about two times greater where both agents of selection co-occurred than where one (the seed predator) was absent. Within the region where both agents of selection co-occurred, bimodality in cone structure was pronounced where there appears to be a mosaic of habitats with some persistent habitats supporting only the seed disperser. These results indicate that conflicting selection stemming from spatial variation in community diversity can enhance phenotypic variation in ecologically important traits. [source] SEX-RATIO CONFLICT BETWEEN QUEENS AND WORKERS IN EUSOCIAL HYMENOPTERA: MECHANISMS, COSTS, AND THE EVOLUTION OF SPLIT COLONY SEX RATIOSEVOLUTION, Issue 12 2005Ken R. Helms Abstract Because workers in the eusocial Hymenoptera are more closely related to sisters than to brothers, theory predicts that natural selection should act on them to bias (change) sex allocation to favor reproductive females over males. However, selection should also act on queens to prevent worker bias. We use a simulation approach to analyze the coevolution of this conflict in colonies with single, once-mated queens. We assume that queens bias the primary (egg) sex ratio and workers bias the secondary (adult) sex ratio, both at some cost to colony productivity. Workers can bias either by eliminating males or by directly increasing female caste determination. Although variation among colonies in kin structure is absent, simulations often result in bimodal (split) colony sex ratios. This occurs because of the evolution of two alternative queen or two alternative worker biasing strategies, one that biases strongly and another that does not bias at all. Alternative strategies evolve because the mechanisms of biasing result in accelerating benefits per unit cost with increasing bias, resulting in greater fitness for strategies that bias more and bias less than the population equilibrium. Strategies biasing more gain from increased biasing efficiency whereas strategies biasing less gain from decreased biasing cost. Our study predicts that whether queens or workers evolve alternative strategies depends upon the mechanisms that workers use to bias the sex ratio, the relative cost of queen and worker biasing, and the rates at which queen and worker strategies evolve. Our study also predicts that population and colony level sex allocation, as well as colony productivity, will differ diagnostically according to whether queens or workers evolve alternative biasing strategies and according to what mechanism workers use to bias sex allocation. [source] Depositional environment of Sirius Group sediments, Table Mountain, Dry Valleys area, AntarcticaGEOGRAFISKA ANNALER SERIES A: PHYSICAL GEOGRAPHY, Issue 1 2002James R. Goff Outcrops and cores of the Sirius Group sediments were studied at Table Mountain, Dry Valleys area, Antarctica. These sediments form a surficial veneer at least 9.5 m thick. Three facies , a gravelly sandstone, a sandstone, and a sandy conglomerate , are mapped and described from 13 outcrops and three cores. The gravelly sandstone, constituting 13%of all cored material, is bimodal with matrix-supported clasts comprising 5,33%of the facies. Fabric analysis indicates that it was deposited primarily by lodgment from glacial ice but with minor elements of meltout and flow. The sandstone facies, constituting 77%of all cored material, is a well-sorted, fine- to medium-grained sand, which commonly has laminated bedding. It is predominantly a glaciofluvial deposit but has some glaciolacustrine elements. The sandy conglomerate, constituting 10%of all cored material, is a minor facies. It is massive and clast-supported. It was deposited in a high-energy environment suggestive of subglacial meltwater channels. Sirius Group sediments at Table Mountain are the result of wet-based ice advancing and retreating over waterlain deposits. This is consistent with an advancing ice mass in climatic conditions that were warmer than present. The majority of the sediments were deposited by alpine ice following a similar pathway to the present-day Ferrar Glacier and as such the depositional environment is one that concurs with evidence of a stable East Antarctic Ice Sheet approach. At Table Mountain, the predominantly glaciofluvial and glaciolacustrine facies is inferred to represent a more distal part of the Sirius Group environment than that seen at other outcrops in the Dry Valleys. [source] Origin, age and petrogenesis of Neoproterozoic composite dikes from the Arabian-Nubian Shield, SW JordanGEOLOGICAL JOURNAL, Issue 2 2004G. Jarrar Abstract The evolution of a Pan-African (c. 900,550,Ma) suite of composite dikes, with latite margins and rhyolite interiors, from southwest Jordan is discussed. The dikes cut the Neoproterozoic calc-alkaline granitoids and high-grade metamorphic rocks (c. 800,600,Ma) of the northern Arabian-Nubian Shield in Jordan and have been dated by the Rb-Sr isochron method at 566±7,Ma. The symmetrically distributed latite margins constitute less than one-quarter of the whole dike thickness. The rhyolite intruded a median fracture within the latite, while the latter was still hot but completely solidified. The dikes are alkaline and bimodal in composition with a gap in SiO2 between 61 and 74,wt%. Both end members display similar chondrite-normalized rare earth element patterns. The rhyolites display the compositional signature of A-type granites. The (La/Lu)N values are 6.02 and 4.91 for latites and rhyolites, respectively, and the rhyolites show a pronounced negative Eu anomaly, in contrast to the slight negative Eu anomaly of the latites. The chemical variability (e.g. Zr/Y, Zr/Nb, K/Rb) within and between latites and rhyolites does not support a fractional crystallization relationship between the felsic and mafic members of the dikes. We interpret the magma genesis of the composite dikes as the result of intrusion of mantle-derived mafic magma into the lower crust in an extensional tectonic regime. The mafic magma underwent extensive fractional crystallization, which supplied the necessary heat for melting of the lower crust. The products of the initial stages of partial melting (5,10%) mixed with the fractionating mafic magma and gave rise to the latite melts. Further partial melting of the lower crust (up to 30%) produced a felsic melt, which upon 50% fractional crystallization (hornblende 15%, biotite 5%, feldspars 60%, and quartz 20%) gave rise to the rhyolitic magma. Copyright © 2004 John Wiley & Sons, Ltd. [source] Crossmodal influences in somatosensory cortex: Interaction of vision and touchHUMAN BRAIN MAPPING, Issue 1 2010Jennifer K. Dionne Abstract Previous research has shown that information from one sensory modality has the potential to influence activity in a different modality, and these crossmodal interactions can occur early in the cortical sensory processing stream within sensory-specific cortex. In addition, it has been shown that when sensory information is relevant to the performance of a task, there is an upregulation of sensory cortex. This study sought to investigate the effects of simultaneous bimodal (visual and vibrotactile) stimulation on the modulation of primary somatosensory cortex (SI), in the context of a delayed sensory-to-motor task when both stimuli are task-relevant. It was hypothesized that the requirement to combine visual and vibrotactile stimuli would be associated with an increase in SI activity compared to vibrotactile stimuli alone. Functional magnetic resonance imaging (fMRI) was performed on healthy subjects using a 3T scanner. During the scanning session, subjects performed a sensory-guided motor task while receiving visual, vibrotactile, or both types of stimuli. An event-related design was used to examine cortical activity related to the stimulus onset and the motor response. A region of interest (ROI) analysis was performed on right SI and revealed an increase in percent blood oxygenation level dependent signal change in the bimodal (visual + tactile) task compared to the unimodal tasks. Results of the whole-brain analysis revealed a common fronto-parietal network that was active across both the bimodal and unimodal task conditions, suggesting that these regions are sensitive to the attentional and motor-planning aspects of the task rather than the unimodal or bimodal nature of the stimuli. Hum Brain Mapp, 2010. © 2009 Wiley-Liss, Inc. [source] Task-relevance and temporal synchrony between tactile and visual stimuli modulates cortical activity and motor performance during sensory-guided movementHUMAN BRAIN MAPPING, Issue 2 2009Sean K. Meehan Abstract Sensory-guided movements require the analysis and integration of task-relevant sensory inputs from multiple modalities. This article sought to: (1) assess effects of intermodal temporal synchrony upon modulation of primary somatosensory cortex (S1) during continuous sensorimotor transformations, (2) identify cortical areas sensitive to temporal synchrony, and (3) provide further insight into the reduction of S1 activity during continuous vibrotactile tracking previously observed by our group (Meehan and Staines 2007: Brain Res 1138:148,158). Functional MRI was acquired while participants received simultaneous bimodal (visuospatial/vibrotactile) stimulation and continuously tracked random changes in one modality, by applying graded force to a force-sensing resistor. Effects of intermodal synchrony were investigated, unbeknownst to the participants, by varying temporal synchrony so that sensorimotor transformations dictated by the distracter modality either conflicted (low synchrony) or supplemented (high synchrony) those of the target modality. Temporal synchrony differentially influenced tracking performance dependent upon tracking modality. Physiologically, synchrony did not influence S1 activation; however, the insula and superior temporal gyrus were influenced regardless of tracking modality. The left temporal-parietal junction demonstrated increased activation during high synchrony specific to vibrotactile tracking. The superior parietal lobe and superior temporal gyrus demonstrated increased activation during low synchrony specific to visuospatial tracking. As previously reported, vibrotactile tracking resulted in decreased S1 activation relative to when it was task-irrelevant. We conclude that while temporal synchrony is represented at higher levels than S1, interactions between inter- and intramodal mechanisms determines sensory processing at the level of S1. Hum Brain Mapp, 2009. © 2007 Wiley-Liss, Inc. [source] GPS tracking of the foraging movements of Manx Shearwaters Puffinus puffinus breeding on Skomer Island, WalesIBIS, Issue 3 2008T. C. GUILFORD We report the first successful use of miniature Global Positioning System loggers to track the ocean-going behaviour of a c. 400 g seabird, the Manx Shearwater Puffinus puffinus. Breeding birds were tracked over three field seasons during the incubation and chick-rearing periods on their foraging excursions from the large colony on Skomer Island, Pembrokeshire, UK. Foraging effort was concentrated in the Irish Sea. Likely foraging areas were identified to the north, and more diffusely to the west of the colony. No foraging excursions were recorded significantly to the south of the colony, conflicting with the conclusions of earlier studies based on ringing recoveries and observations. We discuss several explanations including the hypothesis that foraging may have shifted substantially northwards in recent decades. We found no obvious relationship between birds' positions and water depth, although there was a suggestion that observations at night were in shallower water than those during the day. We also found that, despite the fact that Shearwaters can be observed rafting off-shore from their colonies in the hours prior to making landfall at night, breeding birds are usually located much further from the colony in the last 8 h before arrival, a finding that has significance for the likely effectiveness of marine protection areas if they are only local to the colony. Short sequences of precise second-by-second fixes showed that movement speeds were bimodal, corresponding to sitting on the water (most common at night and around midday) and flying (most common in the morning and evening), with flight behaviour separable into erratic (indicative of searching for food) and directional (indicative of travelling). We also provide a first direct measurement of mean flight speed during directional flight (c. 40 km/h), slower than a Shearwater's predicted maximum range velocity, suggesting that birds are exploiting wave or dynamic soaring during long-distance travel. [source] Post-fledging care, philopatry and recruitment in brown thornbillsJOURNAL OF ANIMAL ECOLOGY, Issue 3 2001David J. Green Summary 1,We describe patterns of post-fledging care, dispersal and recruitment in four cohorts of brown thornbills Acanthiza pusilla. We examine what factors influence post-fledging survival and determine how post-fledging care and the timing of dispersal influence the probability of recruitment in this small, pair breeding, Australian passerine. 2,Fledgling thornbills were dependent on their parents for approximately 6 weeks. Male fledglings were more likely than female fledglings to survive until independence. For both sexes, the probability of reaching independence increased as nestling weight increased and was higher for nestlings that fledged later in the season. 3,The timing of dispersal by juvenile thornbills was bimodal. Juveniles either dispersed by the end of the breeding season or remained on their natal territory into the autumn and winter. Juveniles that delayed dispersal were four times more likely to recruit into the local breeding population than juveniles that dispersed early. 4,Delayed dispersal was advantageous because individuals that remained on their natal territory suffered little mortality and tended to disperse only when a local vacancy was available. Consequently, the risk of mortality associated with obtaining a breeding vacancy using this dispersal strategy was low. 5,Males, the more philopatric sex, were far more likely than females to delay dispersal. Despite the apparent advantages of prolonged natal philopatry, however, only 54% of pairs that raised male fledglings to independence had sons that postponed dispersal, and most of these philopatric sons gained vacancies before their parents bred again. Consequently, few sons have the opportunity to help their parents. Constraints on delayed dispersal therefore appear to play a major role in the evolution of pair-breeding in the brown thornbill. [source] Preliminary estimates of the population parameters of major fish species in Lake Ayamé I (Bia basin; Côte d'Ivoire)JOURNAL OF APPLIED ICHTHYOLOGY, Issue 1 2010L. Tah Summary Length frequency data collected from artisanal fisheries in Lake Ayamé I (Côte d'Ivoire) from August 2004 to 2005 were analysed with Fisat software using the Elefan package to estimate the population parameters of 11 fish species. Asymptotic values for total length (L,) ranged from 20.5 cm for Brycinus imberi to 78 cm for Mormyrops anguilloides. Growth rates (k) varied from 0.24 year,1 for Chrysichthys nigrodigitatus to 0.57 year,1 for Hemichromis fasciatus. The growth performance estimates were close to the values found by others authors and reported in FishBase 2008. Fishing mortality (F) and exploitation rate (E) were found to be below optimum levels of exploitation for most fish species. Recruitment was noted as year,round and bimodal for most studied populations. The data sets were limited in most cases, thus this study provides preliminary population parameters only, but for species for which information is scarce. For application in stock assessment, the growth parameters and especially the natural mortality data require further confirmation. [source] Genetic variation in flowering phenology and avoidance of seed predation in native populations of Ulex europaeusJOURNAL OF EVOLUTIONARY BIOLOGY, Issue 2 2010A. ATLAN Abstract The genetic variation in flowering phenology may be an important component of a species' capacity to colonize new environments. In native populations of the invasive species Ulex europaeus, flowering phenology has been shown to be bimodal and related to seed predation. The aim of the present study was to determine if this bimodality has a genetic basis, and to investigate whether the polymorphism in flowering phenology is genetically linked to seed predation, pod production and growth patterns. We set up an experiment raising maternal families in a common garden. Based on mixed analyses of variance and correlations among maternal family means, we found genetic differences between the two main flowering types and confirmed that they reduced seed predation in two different ways: escape in time or predator satiation. We suggest that this polymorphism in strategy may facilitate maintain high genetic diversity for flowering phenology and related life-history traits in native populations of this species, hence providing high evolutionary potential for these traits in invaded areas. [source] Tracer studies of high-shear granulation: II.AICHE JOURNAL, Issue 9 2001Population balance modeling A population balance framework developed describes the tracer studies in Part I. A two internal coordinate population balance equation (PBE) links the evolution with time of granule-size and tracer-mass distributions to underlying rate processes. A new analytical PBE was developed for the tracer distribution and novel numerical techniques, including a new discretized population balance equation for breakage or grinding. Also developed is a general differential technique for extracting rate constants from measurements of particle-size distributions. Granulation in a high-shear mixer proceeds after nucleation, not studied here, with very high initial breakage rates but a relatively unchanging aggregation rate constant. The breakage function is bimodal on a mass basis and the selection rate decays exponentially over about 20 s. A heterogeneous strength hypothesis was used to account for this time dependence. Aggregation rates are the highest for interactions between small and large granules and may be quantitatively given by the Equipartition of kinetic energy kernel developed from the theory of collisions between gas molecules. The model can describe granule-size and tracer-mass distributions simultaneously with great accuracy. The need to replace time as a driving force variable in the kinetics for these systems is identified. [source] Role of grafting in the emulsion polymerization of vinyl acetate with poly(vinyl alcohol) as an emulsifier.JOURNAL OF POLYMER SCIENCE (IN TWO SECTIONS), Issue 20 2001Abstract The role of grafting in particle nucleation during the emulsion polymerization of vinyl acetate with partially hydrolyzed poly(vinyl alcohol) (PVA) as an emulsifier and potassium persulfate as an initiator was investigated. The polymerizations were carried out in batch with a low solids (10%) recipe. An automated reaction calorimeter (Mettler RC1) was used for the direct monitoring of the kinetics of emulsion polymerizations with three medium molecular weight PVAs differing in their degrees of blockiness (Poval 217EE > 217E > 217). Smith,Ewart case 1 kinetics (average number of free radicals per particle < 0.5) were followed in all cases, and no constant rate in interval II was observed. Contrary to what was expected, a nonlinear relationship was observed between the rate of polymerization (Rp) and the number of particles (Np). At Rp max,Np (217E) > Np (217EE) > Np (217), and the final Np was independent of the degree of blockiness of PVA. The particle size distributions were broad (particle diameter = 20,100 nm) and bimodal. On the basis of these data, we concluded that particle nucleation was continuous and was accompanied by extensive limited aggregation during the particle growth stages. The evolution of the amounts of grafted PVA and poly(vinyl acetate) (PVAc) were determined in polymerizations employing the two PVAs differing the most in blockiness (Poval 217EE and 217). The grafted PVAc followed similar profiles, increasing with conversion, particularly near the end of the two reactions. The amounts of grafted PVAc were about the same in the final latexes (37,39%). In contrast, the grafting of PVA was nearly complete by the time monomer droplets had disappeared in each reaction (25% conversion). However, the extent of grafting differed significantly, with the blockier PVA having about one-third the grafting of the more random PVA (,10% vs ,30%). In these low solids recipes, grafting appeared to be primarily a solution event, occurring predominantly in the aqueous phase and not at the particle/water interface, as was previously speculated. The PVAc grafts grew until the molecules became water-insoluble and precipitated, forming polymer particles. © 2001 John Wiley & Sons, Inc. J Polym Sci Part A: Polym Chem 39: 3633,3654, 2001 [source] A Bayesian hierarchical mixture model for platelet-derived growth factor receptor phosphorylation to improve estimation of progression-free survival in prostate cancerJOURNAL OF THE ROYAL STATISTICAL SOCIETY: SERIES C (APPLIED STATISTICS), Issue 1 2010Satoshi Morita Summary., Advances in understanding the biological underpinnings of many cancers have led increasingly to the use of molecularly targeted anticancer therapies. Because the platelet-derived growth factor receptor (PDGFR) has been implicated in the progression of prostate cancer bone metastases, it is of great interest to examine possible relationships between PDGFR inhibition and therapeutic outcomes. We analyse the association between change in activated PDGFR (phosphorylated PDGFR) and progression-free survival time based on large within-patient samples of cell-specific phosphorylated PDGFR values taken before and after treatment from each of 88 prostate cancer patients. To utilize these paired samples as covariate data in a regression model for progression-free survival time, and be cause the phosphorylated PDGFR distributions are bimodal, we first employ a Bayesian hierarchical mixture model to obtain a deconvolution of the pretreatment and post-treatment within-patient phosphorylated PDGFR distributions. We evaluate fits of the mixture model and a non-mixture model that ignores the bimodality by using a supnorm metric to compare the empirical distribution of each phosphorylated PDGFR data set with the corresponding fitted distribution under each model. Our results show that first using the mixture model to account for the bimodality of the within-patient phosphorylated PDGFR distributions, and then using the posterior within-patient component mean changes in phosphorylated PDGFR so obtained as covariates in the regression model for progression-free survival time, provides an improved estimation. [source] Chemiluminescent picture of diphenyleneiodonium-inhibited NADPH oxidase: a bimodal process and its logistic,exponential model-based descriptionLUMINESCENCE: THE JOURNAL OF BIOLOGICAL AND CHEMICAL LUMINESCENCE, Issue 4 2007Bonawentura Kochel Abstract A chemiluminescence (CL) study of diphenyleneiodonium-inhibited NADPH oxidase was performed on a cellular system containing neutrophils stimulated by phorbol myristate acetate, indicating a complex bimodal structure of CL processes corresponding to different stages of the inhibition. The complex structure of these processes was described by a superposition of two logistic,exponential (LE) models, characterizing these processes as bimodal ones. To determine the mechanistic foundation of the LE model-described processes, a generalized form of the second-order dynamic system of CL reactions, the solution to which corresponds to the LE model, was constructed. The diphenyleneiodonium effects on neutrophil NADPH oxidase were separated from the total bimodal CL of the whole measurement system by the use of difference CL processes. These difference processes were also found to be bimodal; thus, inhibitor-induced reduction of CL could be described by a second-order dynamic system. The rate constants and initial concentrations in this dynamic system were determined by the least squares method applied to numerical solutions approximating the difference processes. Using interrelations between the parameters of the dynamic system, cooperative effects in the inhibitor reactions with NADPH oxidase were found and described quantitatively. Other evidences of cooperativity were obtained from integral characteristics of the CL reduction process, i.e. dose,response and progress curves, determined by numerical integration of the LE models constituting the superposition. On this basis, it was also possible to detect a specific binding of the inhibitor to the enzyme. Finally, putative reaction mechanisms suggested by the model obtained were considered and compared with those known at present. Copyright © 2007 John Wiley & Sons, Ltd. [source] Porous Cellulose Acetate Butyrate Foams with a Tunable Bimodality in Foam Morphology Produced with Supercritical Carbon DioxideMACROMOLECULAR MATERIALS & ENGINEERING, Issue 4 2008Leon J. M. Jacobs Abstract Porous cellulose acetate butyrate foams with a bimodal cell size distribution were produced using supercritical carbon dioxide as a blowing agent. It is demonstrated that the cell size distribution is tunable, due to the semi-crystalline nature of the polymer. The resulting morphology will either be homogeneous or bimodal, depending on the depressurization rate. Mercury intrusion porosimetry shows that the produced cellulose acetate butyrate foams possess an open cellular structure. [source] "Living" Radical Polymerization in Tubular Reactors, 2 , Process Optimization for Tailor-Made Molecular Weight DistributionsMACROMOLECULAR REACTION ENGINEERING, Issue 5 2008Mariano Asteasuain Abstract "Living" radical polymerization is a relatively new polymerization process that can be used to prepare resins with controlled structures. In this work, a mathematical model developed previously to describe nitroxide-mediated "living" radical polymerizations performed in tubular reactors is used for the optimization of the process and obtainment of tailor-made MWDs. Operating conditions and design variables are determined with the help of optimization procedures in order to produce polymers with specified MWDs. It is shown that bimodal and trimodal MWDs, with given peak locations, can be obtained through proper manipulation of the operating conditions. This indicates that the technique discussed in this work is suitable for detailed design of the MWD of the final polymer. [source] Orbit characteristics of the tristatic EISCAT UHF meteorsMONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 1 2008C. Szasz ABSTRACT The tristatic EISCAT 930-MHz UHF system is used to determine the absolute geocentric velocities of meteors detected with all three receivers simultaneously at 96 km, the height of the common radar volume. The data used in this study were taken between 2002 and 2005, during four 24-h runs at summer/winter solstice and vernal/autumnal equinox to observe the largest seasonal difference. The observed velocities of 410 tristatic meteors are integrated back through the Earth atmosphere to find their atmospheric entry velocities using an ablation model. Orbit calculations are performed by taking zenith attraction, Earth rotation as well as obliquity of the ecliptic into account. The results are presented in the form of different orbital characteristics. None of the observed meteors appears to be of extrasolar or asteroidal origin; comets, particularly short-period (<200 yr) ones, may be the dominant source for the particles observed. About 40 per cent of the radiants can be associated with the north apex sporadic meteor source and 58 per cent of the orbits are retrograde. There is evidence of resonance gaps at semimajor axis values corresponding to commensurabilities with Jupiter, which may be the first convincing evidence of Jupiter's gravitational influence on the population of small sporadic meteoroids surveyed by radar. The geocentric velocity distribution is bimodal with a prograde population centred around 38 km s,1 and a retrograde population peaking at 59 km s,1. The EISCAT radar system is located close to the Arctic Circle, which means that the North Ecliptic Pole (NEP) is near zenith once every 24 h, i.e. during each observational period. In this particular geometry, the local horizon coincides with the ecliptic plane. The meteoroid influx should therefore be directly comparable throughout the year. [source] Particle energies and filling fractions of radio bubbles in cluster coresMONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 3 2004R. J. H. Dunn ABSTRACT Using Chandra images of cluster cores with clear radio bubbles, we have determined k, which is the ratio of the total particle energy to that of the electrons radiating between 10 MHz and 10 GHz. Radiative and dynamical constraints on the bubbles indicate that the ratio of the energy factor, k, to the volume filling factor, f, lies within the range 1 ,k/f, 1000. Assuming pressure equilibrium between the radio-emitting plasma and the surrounding X-ray gas, none of the lobes has equipartition between relativistic particles and magnetic field. There is no evidence for any dependence of the upper limit of the k/f ratio on any physical parameter of the cluster or the radio source. The distribution of the upper limit on k/f appears to be bimodal, the value being ,3 for some clusters and ,300 for the others. We show that this may be due to the composition of the jet which forms the bubbles, the variation in the volume filling fraction or variation in the amount of reacceleration occurring in the bubble. [source] A transition in the accretion properties of radio-loud active nucleiMONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 2 2004Danilo Marchesini ABSTRACT We present evidence for the presence of a transition in the accretion properties of radio-loud sources. For a sample of radio galaxies and radio-loud quasars, selected based on their extended radio properties, the accretion rate is estimated from the black hole mass and nuclear luminosity. The inferred distribution is bimodal, with a paucity of sources at accretion rates, in Eddington units, of the order of ,10,2, assuming a radiative efficiency of 10 per cent , and possibly spanning 1,2 orders of magnitude. Selection biases are unlikely to be responsible for such behaviour. We discuss possible physical explanations, including a fast transition to low accretion rates, a change in the accretion mode/actual accretion rate/radiative efficiency, the lack of stable disc solutions at intermediate accretion rates or the inefficiency of the jet formation processes in geometrically thin flows. This transition might be analogous to spectral states (and jet) transitions in black hole binary systems. [source] The bimodal spiral galaxy surface brightness distributionMONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 4 2000Eric F. Bell We have assessed the significance of Tully and Verheijen's bimodal Ursa Major Cluster spiral galaxy near-infrared surface brightness distribution, focusing on whether this bimodality is simply an artefact of small number statistics. A Kolmogorov,Smirnov style of significance test shows that the total distribution is fairly represented by a single-peaked distribution, but that their isolated galaxy subsample (with no significant neighbours within a projected distance of ,80 kpc) is bimodal at the 96 per cent level. We have also investigated the assumptions underlying the isolated galaxy surface brightness distribution, finding that the (often large) inclination corrections used in the construction of this distribution reduce the significance of the bimodality. We conclude that the Ursa Major Cluster data set is insufficient to establish the presence of a bimodal near-infrared surface brightness distribution: an independent sample of ,100 isolated, low-inclination galaxies is required to establish bimodality at the 99 per cent level. [source] The effect of stellar rotation on colour,magnitude diagrams: on the apparent presence of multiple populations in intermediate age stellar clustersMONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY: LETTERS (ELECTRONIC), Issue 1 2009N. Bastian ABSTRACT A significant number of intermediate age clusters (1,2 Gyr) in the Magellanic Clouds appear to have multiple stellar populations within them, derived from bimodal or extended main-sequence turn-offs. If this is interpreted as an age spread, the multiple populations are separated by a few hundred million years, which would call into question the long-held notion that clusters are simple stellar populations. Here, we show that stellar rotation in stars with masses between 1.2 and 1.7 M, can mimic the effect of a double or multiple population, whereas in actuality only a single population exists. The two main causes of the spread near the turn-off are the effects of stellar rotation on the structure of the star and the inclination angle of the star relative to the observer. Both effects change the observed effective temperature, hence colour, and flux of the star. In order to match observations, the required rotation rates are 20,50 per cent of the critical rotation, which are consistent with observed rotation rates of similar mass stars in the Galaxy. We provide scaling relations which can be applied to non-rotating isochrones in order to mimic the effects of rotation. Finally, we note that rotation is unlikely to be the cause of the multiple stellar populations observed in old globular clusters, as low-mass stars (<1 M,) are not expected to be rapid rotators. [source] |