General Trend (general + trend)

Distribution by Scientific Domains
Distribution within Chemistry


Selected Abstracts


From Theory to Practice: General Trends in Foreign Language Teaching Methodology and Their Influence on Language Assessment

LINGUISTICS & LANGUAGE COMPASS (ELECTRONIC), Issue 6 2007
Christine Campbell
In the late 1970s, language-learning theorists redefined ability in a second or foreign language, emphasizing its communicative aspects. The proficient linguist was one who could function effectively in the four skills of speaking, writing, reading comprehension, and listening comprehension in real-life, not contrived or artificial, contexts. This new paradigm led to change in language-teaching methodology; communicative language teaching became the prevailing approach. From that time through the present, developments in language-teaching methodology have both informed trends in language assessment and been influenced by them. One recent pivotal development has been the creation and implementation of the national standards for foreign language learning. The product of both theorists and practitioners, the standards broadened the concept of ability to include the capacity to perform in 11 standards that fall under five goal areas: communication, cultures, connections, comparisons, and communities. However, although the original standards describe the content of instruction, they do not specify performance standards for each of the 11 content standards or provide assessments. As a result, the profession has had to rise to the challenge of producing standards-based assessments in K-16. Select state and school district programs have devised model assessments; others are gradually following suit. With the standards as a catalyst, both teaching and testing will undoubtedly continue to evolve in a positive direction. [source]


ChemInform Abstract: General Trends in Reaction of N-Aryl-3-oxobutanethioamides with 2-Aminoazoles(azines).

CHEMINFORM, Issue 15 2008
V. N. Britsun
Abstract ChemInform is a weekly Abstracting Service, delivering concise information at a glance that was extracted from about 200 leading journals. To access a ChemInform Abstract of an article which was published elsewhere, please select a "Full Text" option. The original article is trackable via the "References" option. [source]


Proteomic profiles of induced hepatotoxicity at the subcellular level

PROTEINS: STRUCTURE, FUNCTION AND BIOINFORMATICS, Issue 16 2006
Victor Zgoda Dr.
Abstract In the present study proteomes of liver samples were analyzed after administration of phenobarbital,(PB),or,3-methylcholantrene,(3-MC) to mice. Liver cell homogenates were subfractionated by differential ultracentrifugation into cytosol and microsomes, which were subjected to 2-DE to generate the proteomic maps of these fractions. 2-DE yielded 1100 and 800,protein spots for microsomes and cytosol, respectively. General trends of the fraction-specific alterations after 3-MC or PB treatment were evaluated using the Student's t -test and the principal component analysis (PCA). According to the PCA-derived data, the microsomal changes after 3-MC and PB treatment were quite similar. However, in the case of the cytosol data, the specificities of 3-MC- and PB-induced responses could be clearly distinguished from each other. Protein spots, whose expression levels differed from control, were identified by MALDI-TOF PMF. Proteomic studies such as those reported herein can be useful in identifying the molecular-based toxicity of lead drug candidates. [source]


Investigation of the structure and phase transitions in the novel A-site substituted distorted perovskite compound Na0.5Bi0.5TiO3

ACTA CRYSTALLOGRAPHICA SECTION B, Issue 2 2002
G. O. Jones
Rietveld neutron powder profile analysis of the compound Na0.5Bi0.5TiO3 (NBT) is reported over the temperature range 5,873,K. The sequence of phase transitions from the high-temperature prototypic cubic structure (above 813,K), to one of tetragonal (673,773,K) and then rhombohedral structures (5,528,K) has been established. Coexisting tetragonal/cubic (773,813,K) and rhombohedral/tetragonal (with an upper temperature limit of 145,K between 528 and 673,K) phases have also been observed. Refinements have revealed that the rhombohedral phase, space group R3c, with aH = 5.4887,(2), cH = 13.5048,(8),Å, V = 352.33,(3),Å3, Z = 6 and Dx = 5.99,Mg,m,3, exhibits an antiphase, a,a,a, oxygen tilt system, , = 8.24,(4)°, with parallel cation displacements at room temperature. The tetragonal phase, space group P4bm, with aT = 5.5179,(2), cT = 3.9073,(2),Å, V = 118.96,(1),Å3, Z = 2 and Dx = 5.91,Mg,m,3, possesses an unusual combination of in-phase, a0a0c+ oxygen octahedra tilts, , = 3.06,(2)°, and antiparallel cation displacements along the polar axis. General trends of cation displacements and the various deviations of the octahedral network from the prototypic cubic perovskite structure have been established and their systematic behaviour with temperature is reported. An investigation of phase transition behaviour using second harmonic generation (SHG) to establish the centrosymmetric or non-centrosymmetric nature of the various phases is also reported. [source]


A flexible framework for consistency management

CONCURRENCY AND COMPUTATION: PRACTICE & EXPERIENCE, Issue 1 2002
S. Weber
Abstract Recent distributed shared memory (DSM) systems provide increasingly more support for the sharing of objects rather than portions of memory. However, like earlier DSM systems these distributed shared object systems (DSO) still force developers to use a single protocol, or a small set of given protocols, for the sharing of application objects. This limitation prevents the applications from optimizing their communication behaviour and results in unnecessary overhead. A current general trend in software systems development is towards customizable systems, for example frameworks, reflection, and aspect-oriented programming all aim to give the developer greater flexibility and control over the functionality and performance of their code. This paper describes a novel object-oriented framework that defines a DSM system in terms of a consistency model and an underlying coherency protocol. Different consistency models and coherency protocols can be used within a single application because they can be customized, by the application programmer, on a per-object basis. This allows application specific semantics to be exploited at a very fine level of granularity and with a resulting improvement in performance. The framework is implemented in JAVA and the speed-up obtained by a number of applications that use the framework is reported. Copyright © 2002 John Wiley & Sons, Ltd. [source]


Biogeographic variation in nest placement: a case study with conservation implications

DIVERSITY AND DISTRIBUTIONS, Issue 1 2002
Jennifer M. Parody
Abstract. Local habitat characteristics are often used to describe a species' niche despite the fact that habitat use can vary across the geographical range. We sought to quantify variation in habitat preferences by asking how nesting habit varies within and between populations of Bell's vireo (Vireo bellii) across its geographical range. Analyses of detailed nest placement data from three localities (Kansas, eastern New Mexico and western New Mexico) showed a general trend towards use of dense vegetation. However, there was substantial variation in nest placement and vegetation at nest sites between localities. Furthermore, a review of nest placement data from the literature shows strong differences in nest heights and species of trees even between populations less than 100 km apart. We evaluate these results in light of conservation and suggest that to be most effective, habitat conservation plans should be based on data collected at the locality where the population of interest occurs. [source]


Effects of spatially structured vegetation patterns on hillslope erosion in a semiarid Mediterranean environment: a simulation study

EARTH SURFACE PROCESSES AND LANDFORMS, Issue 2 2005
Matthias Boer
Abstract A general trend of decreasing soil loss rates with increasing vegetation cover fraction is widely accepted. Field observations and experimental work, however, show that the form of the cover-erosion function can vary considerably, in particular for low cover conditions that prevail on arid and semiarid hillslopes. In this paper the structured spatial distribution of the vegetation cover and associated soil attributes is proposed as one of the possible causes of variation in cover,erosion relationships, in particular in dryland environments where patchy vegetation covers are common. A simulation approach was used to test the hypothesis that hillslope discharge and soil loss could be affected by variation in the spatial correlation structure of coupled vegetation cover and soil patterns alone. The Limburg Soil Erosion Model (LISEM) was parameterized and verified for a small catchment with discontinuous vegetation cover at Rambla Honda, SE Spain. Using the same parameter sets LISEM was subsequently used to simulate water and sediment fluxes on 1 ha hypothetical hillslopes with simulated spatial distributions of vegetation and soil parameters. Storms of constant rainfall intensity in the range of 30,70 mm h,1 and 10,30 min duration were applied. To quantify the effect of the spatial correlation structure of the vegetation and soil patterns, predicted discharge and soil loss rates from hillslopes with spatially structured distributions of vegetation and soil parameters were compared with those from hillslopes with spatially uniform distributions. The results showed that the spatial organization of bare and vegetated surfaces alone can have a substantial impact on predicted storm discharge and erosion. In general, water and sediment yields from hillslopes with spatially structured distributions of vegetation and soil parameters were greater than from identical hillslopes with spatially uniform distributions. Within a storm the effect of spatially structured vegetation and soil patterns was observed to be highly dynamic, and to depend on rainfall intensity and slope gradient. Copyright © 2005 John Wiley & Sons, Ltd. [source]


Measures, perceptions and scaling patterns of aggregated species distributions

ECOGRAPHY, Issue 1 2010
Cang Hui
Non-random (aggregated) species distributions arise from habitat heterogeneity and nonlinear biotic processes. A comprehensive understanding of the concept of aggregation, as well as its measurement, is pivotal to our understanding of species distributions and macroecological patterns. Here, using an individual-based model, we analyzed opinions on the concept of aggregation from the public and experts (trained ecologists), in addition to those calculated from a variety of aggregation indices. Three forms of scaling patterns (logarithmic, power-law and lognormal) and four groups of scaling trajectories emerged. The experts showed no significant difference from the public, although with a much lower deviation. The public opinion was partially influenced by the abundance of individuals in the spatial map, which was not found in the experts. With the increase of resolution (decrease of grain), aggregation indices showed a general trend from significantly different to significantly similar to the expert opinion. The over-dispersion index (i.e. the clumping parameter k in the negative binomial distribution) performed, at certain scales, as the closest index to the expert opinion. Examining performance of aggregation measures from different groups of scaling patterns was proposed as a practical way of analyzing spatial structures. The categorization of the scaling patterns of aggregation measures, as well as their over- and in-sensitivity towards spatial structures, thus not only provides a potential solution to the modifiable areal unit problem, but also unveils the interrelationship among the concept, measures and perceptions of aggregated species distributions. [source]


Scale dependence of spatial patterns and cartography on the detection of landscape change: relationships with species' perception

ECOGRAPHY, Issue 4 2002
Susana Suárez-Seoane
This paper analyses how landscape pattern detection changes when different spatial and temporal scales and several levels of detail of the cartography are used to describe a landscape affected by land abandonment in northern Spain. In order to integrate landscape composition and structure at different temporal and spatial scales in the same framework, a multiple correspondence factorial analysis was ran for each typology of landscape units. Annual rates of change and scale dependencies were calculated for each typology from the Euclidean distances in the factorial space. Finally, the potential assessment of habitat utilisation by species with different landscape perception and movement capacity was modelled for the range of typologies. The amount of variance explained by the factorial analysis decreased with the complexity of the typology. Annual rates of change appeared different according to the time span and the detail of the landscape unit typology used. For all typologies, changes were faster during 1983,95, a period characterised by massive land abandonment. However, when the whole period (1956,95) was considered, annual changes were much lower, showing differences between typologies. As a general trend, the variance of the mean annual change decreased with the size of the analysis units. In response to land abandonment, different scale dependencies were found for different levels of detail of the cartography. Coarser typologies are suitable when analysing highly mobile species. However, species with small movement capacity or with a preference for homogeneous habitats perceive more detail in landscape. In this case, a detailed typology is more appropriate. [source]


Latitudinal gradients in diversity: real patterns and random models

ECOGRAPHY, Issue 3 2001
Patricia Koleff
Mid-domain models have been argued to provide a default explanation for the best known spatial pattern in biodiversity, namely the latitudinal gradient in species richness. These models assume no environmental gradients, but merely a random latitudinal association between the size and placement of the geographic ranges of species. A mid-domain peak in richness is generated because when the latitudinal extents of species in a given taxonomic group are bounded to north and south, perhaps by a physical constraint such as a continental edge or perhaps by a climatic constraint such as a critical temperature or precipitation threshold, then the number of ways in which ranges can be distributed changes systematically between the bounds. In addition, such models make predictions about latitudinal variation in the latitudinal extents of the distributions of species, and in beta diversity (the spatial turnover in species identities). Here we test how well five mid-domain models predict observed latitudinal patterns of species richness, latitudinal extent and beta diversity in two groups of birds, parrots and woodpeckers, across the New World. Whilst both groups exhibit clear gradients in richness and beta diversity and the general trend in species richness is acceptably predicted (but not accurately, unless substantial empirical information is assumed), the fit of these models is uniformly poor for beta diversity and latitudinal range extent. This suggests either that, at least for these data, as presently formulated mid-domain models are too simplistic, or that in practice the mid-domain effect is not significant in determining geographical variation in diversity. [source]


Adaptations of amphibious fish for surviving life out of water

FISH AND FISHERIES, Issue 3 2005
Martin D J Sayer
Abstract There are a small number of fish species, both marine and freshwater, that exhibit a truly amphibious habit that includes periods of aerial exposure. The duration of emersion is reflected in the level of physical and physiological adaptation to an amphibious lifestyle. Fish that are only briefly out of water retain predominantly aquatic attributes whereas there are semi-terrestrial species that are highly adapted to prolonged periods in the aerial habitat. Desiccation is the main stressor for amphibious fish and it cannot be prevented by physiological means. Instead, amphibious fish resist excessive water loss by means of cutaneous modification and behavioural response. The more terrestrially adapted fish species can tolerate considerable water loss and may employ evaporation to aid thermoregulation. The amphibious habit is limited to fish species that can respire aerially. Aerial respiration is usually achieved through modification to existing aquatic pathways. Freshwater air-breathers may respire via the skin or gills but some also have specialized branchial diverticula. Marine species utilize a range of adaptations that may include modified gills, specialized buccopharyngeal epithelia, the intestine and the skin. Areas of enhanced respiratory activity are typified by increased vascularization that permits enhanced perfusion during aerial exposure. As with other adaptations the mode of nitrogenous elimination is related to the typical durations of emersion experienced by the fish. Intertidal species exposed on a regular cycle, and which may retain some contact with water, tend to remain ammoniotelic while reducing excretion rates in order to prevent excessive water loss. Amphibious fish that inhabit environments where emersion is less predictable than the intertidal, can store nitrogen during the state of emersion with some conversion to ureotelism or have been shown to tolerate high ammonia levels in the blood. Finally, the more amphibious fish are more adapted to moving on land and seeing in air. Structural modifications to the pectoral, pelvic, dorsal and anal fins, combined with a well-developed musculature permit effective support and movement on land. For vision in air, there is a general trend for fish to possess close-set, moveable, protruberant eyes set high on the head with various physical adaptations to the structure of the eye to allow for accurate vision in both air and water. [source]


Present status, and social and economic significance of inland fisheries in Germany

FISHERIES MANAGEMENT & ECOLOGY, Issue 4-5 2001
H. Wedekind
The Federal Republic of Germany is situated in the central part of Europe and covers an area of 358 000 km2. The climate is maritime in the north and continental in the south with precipitation varying between 600 and 2000 mm year,1. Lakes and farm ponds are common in the north-eastern part of the country and in the alpine and pre-alpine regions to the south. A great number of small natural and artificial water bodies exist all over the country. There are about 800 000 ha of inland waters. The population of 82 million people are concentrated around a number of large conurbations. Over the last 150 years, intense use of the water resources by industry led to pollution and a severe decrease in river and lake fisheries. Only 587 inland fishing enterprises still existed in the early 1990s. Catches from commercial fisheries are decreasing with a total of 3469 t being caught in 1998. The Lake Constance fishery, which landed about 840 t in 1998, is an exception to the general trend. Strong competition for the aquatic resource is affecting commercial fisheries, whilst recreational fisheries have gained increasing importance over the last decades. Recent studies provided basic information on anglers' habits, social structure and economic significance as well as their effects on the waters. Aquaculture mainly produces rainbow trout, Oncoryhnchus mykiss (Walbaum) 20 000 t and carps (12 000 t) e.g. Cyprinus carpio L. Despite pressures from industry and conservation movements, regional support for fisheries and their development has intensified, leading to improved water quality. There are even attempts to re-establish abandoned fisheries. Co-operation with conservationists provides an opportunity for the future survival and development of fisheries. The fisheries and aquaculture sectors changed drastically after the reunification of Germany. The collapse of the infrastructure in the eastern part of Germany led to a decline in production and to a special investigation on recent developments of this sector. [source]


Conductivity and Methanol Permeability of Nafion,Zirconium Phosphate Composite Membranes Containing High Aspect Ratio Filler Particles,

FUEL CELLS, Issue 4 2009
M. Casciola
Abstract Gels of exfoliated ,-zirconium phosphate (ZrPexf) in dimethylformamide (DMF) were used to prepare Nafion/ZrPexf composite membranes with filler loadings up to 7,wt.-% by casting mixtures of Nafion 1100 solutions in DMF and suitable amounts of 2,wt.-% ZrP gels in DMF. TEM pictures showed that the ZrPexf particles had aspect ratio of at least 20. All samples were characterised by methanol permeability (P) and through-plane (,thp) and in-plane (,inp) conductivity measurements at 40,°C and 100% RH. The methanol permeability of Nafion membranes containing in situ grown ZrP particles with low aspect ratio (Nafion/ZrPisg) was also determined. The methanol permeability and the swelling behaviour of the composite membranes turned out to be strongly dependent on the filler morphology. As a general trend, both permeability and swelling decreased according to the sequence: Nafion/ZrPisg > Nafion > Nafion/ZrPexf. The maximum selectivity (,thp/P,=,1.4,×,105,S,cm,3,s) was found for the membrane filled with 1,wt.-% ZrPexf: this value is seven times higher than that of Nafion. For the Nafion/ZrPexf membranes, the ratio ,inp/,thp increases with the filler loading, thus indicating that the preferred orientation of the ZrP sheets is parallel to the membrane surface. [source]


Off-great-circle propagation of intermediate-period surface waves observed on a dense array in the French Alps

GEOPHYSICAL JOURNAL INTERNATIONAL, Issue 3 2000
N. Cotte
Array analysis is performed on surface waves recorded in the French Alps using a small-aperture (25 km) temporary array of six broad-band stations. The analysis shows that both Rayleigh and Love waves deviate relative to the great-circle path. The deviations are particularly strong, up to 30°, between 20 and 40 s period. To interpret these observations, we first study the effect of large-scale structures using ray tracing in a smooth, laterally heterogeneous model of the Earth. Second, we evaluate the local effect by considering a model for the French Alps including strong lateral heterogeneities around the array that were not taken into account in the ray tracing. By combining these two possible causes of the observed deviations, we propose an explanation for the general trend in the observed deviations. Finally, we show that by taking into account azimuthal deviations, phase velocities measured at a regional scale can be significantly improved. [source]


Pliocene forest dynamics as a primary driver of African bird speciation

GLOBAL ECOLOGY, Issue 1 2010
Gary Voelker
ABSTRACT Aim, Montane tropics are areas of high endemism, and mechanisms driving this endemism have been receiving increasing attention at a global scale. A general trend is that climatic factors do not explain the species richness of species with small to medium-sized geographic ranges, suggesting that geological and evolutionary processes must be considered. On the African continent, several hypotheses including both refugial and geographic uplift models have been advanced to explain avian speciation and diversity in the lowland forest and montane regions of central and eastern Africa; montane regions in particular are recognized as hotspots of vertebrate endemism. Here, we examine the possible role of these models in driving speciation in a clade of African forest robins. Location, Africa. Methods, We constructed the first robustly supported molecular phylogenetic hypothesis of forest robins. On this phylogeny, we reconstructed habitat-based distributions and geographic distributions relative to the Albertine Rift. We also estimated the timing of lineage divergences via a molecular clock. Results, Robust estimates of phylogenetic relationships and clock-based divergences reject Miocene tectonic uplift and Pleistocene forest refugia as primary drivers of speciation in forest robins. Instead, our data suggest that most forest robin speciation took place in the Late Pliocene, from 3.2 to 2.2 Ma. Distributional patterns are complex, with the Albertine Rift region serving as a general east,west break across the group. Montane distributions are inferred to have evolved four times. Main conclusions, Phylogenetic divergence dates coincide with a single period of lowland forest retraction in the late Pliocene, suggesting that most montane speciation resulted from the rapid isolation of populations in montane areas, rather than montane areas themselves being drivers of speciation. This conclusion provides additional evidence that Pliocene climate change was a major driver of speciation in broadly distributed African animal lineages. We further show that lowland forest robins are no older than their montane relatives, suggesting that lowland areas are not museums which house ,ancient' taxa; rather, for forest robins, montane areas should be viewed as living museums of a late Pliocene diversification event. A forest refugial pattern is operating in Africa, but it is not constrained to the Pleistocene. [source]


Increasing representation of localized dung beetles across a chronosequence of regenerating vegetation and natural dune forest in South Africa

GLOBAL ECOLOGY, Issue 3 2002
Adrian L. V. Davis
Abstract Aim Species assemblages with high proportions of localized taxa occur in regional islands with a history of strong eco-climatic separation from adjacent systems. Current disturbance in such islands of relictualism or endemism disrupts the distinctive local character in favour of regionally distributed taxa with a wider range of tolerances. However, rehabilitation of the system should restore the localized biota. Thus, we used biogeographical composition to assess progress towards restoration of the dung beetle fauna associated with such an island of endemism following dredge-mining. Location The study was conducted in natural coastal dune forest and a 23-year chronosequence of regenerating dune vegetation in the Maputaland centre of endemism, KwaZulu-Natal, South Africa. Methods Dung beetles were trapped in eight stands of regenerating vegetation of different ages (< 1 year to ~21 years) and in four stands of natural dune forest with differing ecological characteristics defined by measurements of vegetative physiognomy and microclimate. Species groups defined from multivariate analysis of biogeographical distribution patterns and vegetation associations were used to demonstrate quantitative compositional changes in the dung beetle assemblages across the chronosequence to natural forest. Results Three biogeographical groups were defined. One group comprised species widespread in southern Africa or both southern and east Africa. The other two groups were endemic, one to the east coast and the other to Maputaland. There was a general trend from dominance by regionally distributed dung beetle taxa to dominance by locally distributed taxa across the chronosequence of regenerating vegetation from grassland, to open Acacia karroo thicket, to dense A. karroo- dominated woodland. However, this trend was linked closely to the relative physiognomic and microclimatic similarity between the regenerating vegetation and natural forest. Thus, proportions of locally distributed taxa were lower in older chronosequence woodland (~18,~21 years) with its low canopy cover and open understorey than in dense early chronosequence woodland (~9,~12 years), which is physiognomically and microclimatically closer to species-diverse natural forest with its dense canopy and understorey. Overall, the present dung beetle community comprises five species groups. Single widespread (21 spp.) and endemic groups (14 spp.) showed similar patterns of association with early chronosequence grassland and open thicket stands. A single widespread (3 spp.) and two endemic shade-associated groups (3 and 11 spp.) showed differing patterns of association centred, respectively, in late chronosequence woodland, natural forest, or all shaded stands. Main conclusions At 23 years, vegetative regeneration is still at an early stage, but abundant activity of most, although not all species recorded in natural forest, is recovered with the closure of the woodland canopy at ~9 years. Compositional differences with respect to natural forest vary closely with vegetative physiognomy and its effect on the microclimate. Therefore, full compositional recovery is dependent on the re-establishment of natural forest physiognomy and microclimate. [source]


Psychosocial risk exposures and musculoskeletal disorders across working-age males and females

HUMAN FACTORS AND ERGONOMICS IN MANUFACTURING & SERVICE INDUSTRIES, Issue 4 2010
John Collins
Abstract In 2008, The European Agency for Safety and Health at Work (EU-OSHA) reported that musculoskeletal disorders (MSDs) were the most common work-related health problem in Europe. Females are considered more susceptible to MSDs than are males, and older workers are more vulnerable than are younger workers. Factors specific to the job, work organization, and individual have been implicated as potential risk factors, with current interest focusing on psychosocial risk factors and the pathology of disorders. Although there is some disagreement in the literature, there is growing support that, after controlling for exposure, females have a predisposition to MSDs. More is known of the role of psychosocial risks in MSD etiology, but it is unclear if there are differences in exposures across gender and age and if this has a resultant effect on injury rates. The purpose of this study was to investigate the prevalence of MSDs and trends with psychosocial risks, across age and gender. The study group consisted of 200 female and 132 male employees from varied occupations within Ireland, ranging from age 18,66 years. The most prevalent symptoms of MSDs were for the lower back, shoulder, and neck regions. Age and gender differences in prevalence were evident for these regions. There was a general trend for increasing prevalence with age. For the psychosocial risks, significant differences in job content exposures were observed across age groups for males (p < 0.05) and females (p < 0.0005). There were also differences in scores across the age groups for mental health (p < 0.0005) and insecurity at work (p < 0.0005) for the females. The conclusions are that there were not sufficiently strong differences in exposures to relevant psychosocial risks both between genders and across age for a resultant effect on MSDs. © 2010 Wiley Periodicals, Inc. [source]


Frequency analysis for predicting 1% annual maximum water levels along Florida coast, US

HYDROLOGICAL PROCESSES, Issue 23 2008
Sudong Xu
Abstract In the Coastal Flood Insurance Study by the Federal Emergency Management Agency (FEMA, 2005), 1% annual maximum coastal water levels are used in coastal flood hazard mitigation and engineering design in coastal areas of USA. In this study, a frequency analysis method has been developed to provide more accurate predictions of 1% annual maximum water levels for the Florida coast waters. Using 82 and 94 years of annual maximum water level data at Pensacola and Fernandina, performances of traditional frequency analysis methods, including advanced method of Generalized Extreme Value distribution method, have been evaluated. Comparison with observations of annual maximum water levels with 83 and 95 years of return periods indicate that traditional methods are unable to provide satisfactory predictions of 1% annual maximum water levels to account for hurricane-induced extreme water levels. Based on the characteristics of annual maximum water level distribution of Pensacola and Fernandina stations, a new probability distribution method has been developed in this study. Comparison with observations indicates that the method presented in this study significantly improves the accuracy of predictions of 1% annual maximum water levels. For Fernandina station, predictions of extreme water level match well with the general trend of observations. With a correlation coefficient of 0·98, the error for the maximum observed extreme water level of 3·11 m (National Geodetic Vertical Datum) with 95 years of return period is 0·92%. For Pensacola station, the prediction error for the maximum observed extreme water level with a return period of 83 years is 5·5%, with a correlation value of 0·98. The frequency analysis has also been reasonably compared to the more costly Monte Carlo simulation method. Copyright © 2008 John Wiley & Sons, Ltd. [source]


LS-DYNA and the 8:1 differentially heated cavity

INTERNATIONAL JOURNAL FOR NUMERICAL METHODS IN FLUIDS, Issue 8 2002
Mark A. Christon
Abstract This paper presents results computed using LS-DYNA's new incompressible flow solver for a differentially heated cavity with an 8:1 aspect ratio at a slightly super-critical Rayleigh number. Three Galerkin-based solution methods are applied to the 8:1 thermal cavity on a sequence of four grids. The solution methods include an explicit time-integration algorithm and two second-order projection methods,one semi-implicit and the other fully implicit. A series of ad hoc modifications to the basic Galerkin finite element method are shown to result in degraded solution quality with the most serious effects introduced by row-sum lumping the mass matrix. The inferior accuracy of a lumped mass matrix relative to a consistent mass matrix is demonstrated with the explicit algorithm which fails to obtain a transient solution on the coarsest grid and exhibits a general trend to under-predict oscillation amplitudes. The best results are obtained with semi-implicit and fully implicit second-order projection methods where the fully implicit method is used in conjunction with a ,smart' time integrator. Copyright © 2002 John Wiley & Sons, Ltd. [source]


Reconstruction of a 1436-year soil moisture and vegetation water use history based on tree-ring widths from Qilian junipers in northeastern Qaidam Basin, northwestern China

INTERNATIONAL JOURNAL OF CLIMATOLOGY, Issue 1 2008
Zhi-Yong Yin
Abstract Tree-ring widths have been used widely in studies of environmental changes and reconstructions of past climate. Eleven tree-ring chronologies of approximately 800,1500 years long were developed from Qilian junipers (Sabina przewalskii Kom.) for northeastern Qaidam Basin, along the margin of the Qinghai,Tibetan Plateau. Previous studies have revealed that water usage stress is the most limiting factor for tree growth in the study region. To evaluate the impact of the combined effects of temperature and precipitation changes over time, we performed water balance modelling using 1955,2002 meteorological data. We found that the tree-ring widths were strongly correlated with variables representing soil moisture conditions obtained from the water balance model. Specifically we considered actual evapotranspiration (AE) to represent the combined effect of water use demand and moisture availability, deficit as the difference between potential evapotranspiration (PE) and AE to represent the severity of water use stress, and relative soil moisture as the measure of moisture availability. For certain individual monthly and seasonal combinations, the tree-ring chronologies explained up to 80% of the variation in the soil moisture variables in regression analysis, indicating very good potential for reconstruction of regional soil moisture conditions in the past. These soil moisture variables outperformed precipitation and Palmer's drought severity index in most cases. We reconstructed the soil moisture conditions from 566 AD to 2001, which revealed major dry and wet periods and a general trend toward a wetter condition during the most recent 300 years. By comparing with other proxies in the region, we concluded that the moisture conditions reconstructed from tree-ring widths very well reflected the climate variability at the interannual and interdecadal scales. Copyright © 2007 Royal Meteorological Society [source]


Deliberate self-harm in older adults: a review of the literature from 1995 to 2004

INTERNATIONAL JOURNAL OF GERIATRIC PSYCHIATRY, Issue 8 2007
Jenifer Chan
Abstract Background The prevention of suicide is a national and international policy priority. Old age is an important predictor of completed suicide. Suicide rates in old age differ markedly from country to country but there is a general trend towards increasing rates with increasing age. In 1996 Draper reviewed critically the evidence on attempted suicide in old age in the 10 years between 1985 and 1994. The review highlighted a need for prospective controlled studies in older people with more representative samples as well as studies examining the interaction of risk factors, precipitants, motivations, psychopathology and response to treatment. The aim of this paper is to update this review and to summarise the advances in our understanding of DSH in later life. Method We have critically reviewed relevant studies published between 1995 and 2004 to summarise the advances in our understanding of factors associated with deliberate self-harm in later life. Results The main advances in understanding have been to clarify the effect of personality and cultural factors, service utilisation pre and post attempt, and the (lesser) impact of socio-economic status and physical illness. Methodological weaknesses continue to include inadequate sample sizes performed on highly selected populations, inconsistent age criteria and lack of informant data on studies relating to role of personality. Conclusions Future studies should include prospective, cross-cultural research with adequate sample sizes and which are population-based. Such approaches might confirm or refute the results generated to date and improve knowledge on factors such as the biological correlates of deliberate self-harm, service utilisation, costs and barriers to health care, and the interaction of these factors. Intervention studies to elucidate the impact of modifying these factors and of specific treatment packages are also needed. Copyright © 2007 John Wiley & Sons, Ltd. [source]


The "externalization" of labour law

INTERNATIONAL LABOUR REVIEW, Issue 1-2 2009
Antonio OJEDA AVILÉS
Abstract. The powerful process of labour law adjustment which, for some three decades, experts have looked upon as one of fragmentation , not to say disintegration , into evermore disconnected subfields is turning into a general trend that looks set to take on a structural dimension. An expansionary drive is indeed taking labour law into alien territories, seemingly jeopardizing its identity and traditional boundaries, albeit with a symbiotic interchange of reciprocal influences. This article analyses six avenues of expansion which have been observed in Europe and in some American and Asian countries. [source]


Research Design in European Studies: The Case of Europeanization,

JCMS: JOURNAL OF COMMON MARKET STUDIES, Issue 3 2009
THEOFANIS EXADAKTYLOS
In this article, we contribute to the debate on research design and causal analysis in European integration studies by considering the sub-field of Europeanization. First, we examine the awareness of research design issues in the literature on Europeanization through a review of the debate on causality, concept formation and methods. Second, we analyse how much of the discussion of the trade-offs in causal analysis in mainstream political science has percolated into Europeanization studies. We therefore construct a sample of the Europeanization literature, comparing it to a control group of highly cited articles on European integration. This enables us to control if some patterns are specific to the Europeanization literature or reflect a more general trend in European integration. We then look at trade-offs in the Europeanization sample and in the control group. Our findings indicate that awareness of research design is still low. Europeanization articles differ from the control group in the focus on mechanisms (rather than variables) and the qualitative aspects of time in politics. Complex notions of causality prevail in Europeanization but not in the control group and the cause-of-effects approach is preferred to effects-of-causes in the control group but not in Europeanization , in both cases, however, the difference is slight. We conclude by explaining differences and similarities and make proposals for future research. [source]


A regional impact assessment of climate and land-use change on alpine vegetation

JOURNAL OF BIOGEOGRAPHY, Issue 3 2003
Thomas Dirnböck
Abstract Aim, Assessing potential response of alpine plant species distribution to different future climatic and land-use scenarios. Location, Four mountain ranges totalling 150 km2 in the north-eastern Calcareous Alps of Austria. Methods, Ordinal regression models of eighty-five alpine plant species based on environmental constraints and land use determining their abundance. Site conditions are simulated spatially using a GIS, a Digital Terrain Model, meteorological station data and existing maps. Additionally, historical records were investigated to derive data on time spans since pastures were abandoned. This was then used to assess land-use impacts on vegetation patterns in combination with climatic changes. Results, A regionalized GCM scenario for 2050 (+ 0.65 °C, ,30 mm August precipitation) will only lead to local loss of potential habitat for alpine plant species. More profound changes (+ 2 °C, ,30 mm August precipitation; + 2 °C, ,60 mm August precipitation) however, will bring about a severe contraction of the alpine, non-forest zone, because of range expansion of the treeline conifer Pinus mugo Turra and many alpine species will loose major parts of their habitat. Precipitation change significantly influences predicted future habitat patterns, mostly by enhancing the general trend. Maintenance of summer pastures facilitates the persistence of alpine plant species by providing refuges, but existing pastures are too small in the area to effectively prevent the regional extinction risk of alpine plant species. Main conclusions, The results support earlier hypotheses that alpine plant species on mountain ranges with restricted habitat availability above the treeline will experience severe fragmentation and habitat loss, but only if the mean annual temperature increases by 2 °C or more. Even in temperate alpine regions it is important to consider precipitation in addition to temperature when climate impacts are to be assessed. The maintenance of large summer farms may contribute to preventing the expected loss of non-forest habitats for alpine plant species. Conceptual and technical shortcomings of static equilibrium modelling limit the mechanistic understanding of the processes involved. [source]


Impacts of traditional land uses on biodiversity outside conservation areas: effects on dung beetle communities of Vaalbos National Park

AFRICAN JOURNAL OF ECOLOGY, Issue 2 2010
Thokozani S. Simelane
Abstract Grazing is one of the key processes in terrestrial ecosystems and this can be provided by both indigenous and domestic ungulates. However, a question remains whether or not traditional forms of land use such as the grazing of domestic animals support the maintenance of biodiversity. If it does not, then the second question becomes to what extent does grazing of domestic animals alter the systems and processes that support biodiversity? This study demonstrates that in attempting to answer this question, small organisms like dung beetles are ideal indicators that can be used to express significant differences between conserved (indigenous) and non-conserved (domestic) land. As a general trend, studies that investigated these differences displayed differences through analysis of the diversity indices. This method has in most cases demonstrated a lack of contrast between conserved and non-conserved land. In the existence of such uncertainty this study has demonstrated that in such cases, where the analysis of biodiversity indices fail to demonstrate significant differences a closer examination of actual species such as guilds and functional groups could confirm significant differences between conserved and non-conserved land. These apparently conflicting findings reflect the need to consider the actual elements of biodiversity (e.g. species) when assessing conservation issues rather than just the statistical measures of biodiversity. Résumé Le pâturage est un des processus clés dans les écosystèmes terrestres, et il est le fait d'ongulés aussi bien indigènes que domestiques. Pourtant, la question subsiste de savoir si oui ou non des formes traditionnelles d'utilisation des terres telles que le pâturage des animaux domestiques favorisent le maintien de la biodiversité. Si la réponse est non, la seconde question consiste à se demander dans quelle mesure le pâturage des animaux domestiques modifie les systèmes et les processus qui sous-tendent la biodiversité. Cette étude montre que, pour essayer de répondre à cette question, de petits organismes comme les bousiers sont des indicateurs idéaux que l'on peut utiliser pour exprimer des différences significatives entre les terres protégées (animaux indigènes) et non protégées (animaux domestiques). Selon une tendance générale, les études qui ont recherché ces différences exprimaient des différences par l'analyse des indices de biodiversité. Dans la plupart des cas, cette méthode montrait un manque de contraste entre terres conservées et non conservées. Lorsqu'une telle incertitude subsiste, cette étude a pu montrer que, lorsque l'analyse des indices de biodiversité n'arrive pas à prouver de différences significatives, un examen plus approfondi d'espèces réelles, comme des guildes ou des groupes fonctionnels, peut confirmer des différences significatives entre les terres préservées et non préservées. Ces résultats apparemment contradictoires montrent bien qu'il est nécessaire de considérer les éléments réels de la biodiversité (ex. des espèces) lorsque l'on évalue des questions de conservation, au lieu de se contenter de mesures statistiques de la biodiversité. [source]


Being an intensive care nurse related to questions of withholding or withdrawing curative treatment

JOURNAL OF CLINICAL NURSING, Issue 1 2007
Reidun Hov MNSc
Aims and objectives., The aim of the study was to acquire a deeper understanding of what it is to be an intensive care nurse in situations related to questions of withholding or withdrawing curative treatment. Background., Nurses in intensive care units regularly face critically ill patients. Some patients do not benefit from the treatment and die after days or months of apparent pain and suffering. A general trend is that withdrawal of treatment in intensive care units is increasing. Physicians are responsible for decisions concerning medical treatment, but as nurses must carry out physicians' decisions, they are involved in the consequences. Design and methods., The research design was qualitative, based on interpretative phenomenology. The study was carried out at an adult intensive care unit in Norway. Data were collected by group interviews inspired by focus group methodology. Fourteen female intensive care nurses participated, divided into two groups. Colaizzi's model was used in the process of analysis. Results., The analysis revealed four main themes which captured the nurses' experiences: loneliness in responsibility, alternation between optimism and pessimism, uncertainty , a constant shadow and professional pride despite little formal influence. The essence of being an intensive care nurse in the care of patients when questions were raised concerning curative treatment or not, was understood as ,being a critical interpreter and a dedicated helper.' Conclusions., The findings underpin the important role of intensive care nurses in providing care and treatment to patients related to questions of withholding or withdrawing curative treatment. Relevance to clinical practice., The findings also show the need for physicians, managers and intensive care nurses themselves to recognize the burdens intensive care nurses carry and to appreciate their knowledge as an important contribution in decision making. [source]


Gingival involvement of oral lichen planus in a series of 700 patients

JOURNAL OF CLINICAL PERIODONTOLOGY, Issue 10 2005
Michele D. Mignogna
Abstract Background: Oral lichen planus (OLP) is one of the most common oral mucosa disorders. OLP gingival involvement is very frequently observed, and it is characterized by wide variations in clinical appearance and symptoms, leading, in many cases, to misdiagnosis or undiagnosis. This can be potentially harmful since OLP patients require appropriate management in oral and periodontal care, together with an adequate systemic evaluation. Objective: In this paper, we have analysed the prevalence and clinical aspects of gingival lesions in our series of 700 patients affected by OLP. Furthermore, we have discussed the possible periodontal implications on the basis of the available literature. Patients and Methods: Data from 700 patients affected by OLP, clinically and histologically assessed, have been studied; the location and morphology of lesions, the symptoms and the progression of the disease have been considered, with particular attention given to gingival involvement. Results: Gingival lesions have been diagnosed in 48% of cases, usually associated with diffuse oral involvement. Only 7.4% of patients had OLP lesions confined to the gingiva. The morphology of lesions included all the forms originally described for OLP (reticular, papular, plaque, atrophic, erosive and bullous). The symptoms, if present, varied from mild discomfort to severe oral pain, with the general trend increasing from the keratotic to the erosive forms. The gingiva was involved in four out of 21 of our oral cancer cases, which developed from pre-existing OLP lesions. Conclusion: OLP is a very proteiform disorder; considering the high frequency of gingival involvement and its influence on oral health, it is our opinion that periodontologists should be involved in OLP management and should become familiar with its clinical aspects and related themes. [source]


Mass-dependent reproductive strategies in wild bighorn ewes: a quantitative genetic approach

JOURNAL OF EVOLUTIONARY BIOLOGY, Issue 4 2000
RÉale
In the Ram Mountain bighorn sheep (Ovis canadensis) population, ewes differing by more than 30% in body mass weaned lambs with an average mass difference of only 3%. Variability in adult body mass was partly due to additive genetic effects, but inheritance of weaning mass was weak. Maternal effects could obscure genetic effects in the phenotypic expression of weaning mass, particularly if they reflected strategies of maternal expenditure that varied according to ewe mass. We performed a quantitative genetic analysis to assess genetic and environmental influences on ewe mass and on maternal expenditure. We used the mean daughters/mother regression method and Derivative Free Restricted Maximum Likelihood models to estimate heritability (h2) of ewe mass and indices of maternal expenditure. We found additive genetic effects on phenotypic variation in maternal mass, in lamb mass at weaning (absolute maternal expenditure) and in weaning mass relative to maternal mass at weaning (relative maternal expenditure). Heritability suggests that maternal expenditure has the potential to evolve. The genetic correlation of ewe mass and absolute maternal expenditure was weak, while ewe mass and relative maternal expenditure were strongly negatively correlated. These results suggest additive genetic effects on mass-dependent reproductive strategies in bighorn ewes. Mass-dependent reproductive strategies could affect lamb survival and phenotypic variation in adult mass. As population density increased and reproduction became costlier, small females reduced maternal expenditure more than large females. Constraints on reproductive strategy imposed by variations in resource availability are therefore likely to differ according to ewe mass. A general trend for a decrease in maternal expenditure relative to maternal size in mammals suggests that size-dependent negative maternal effects may be common. [source]


Hypocretin-1 Dose-Dependently Modulates Maternal Behaviour in Mice

JOURNAL OF NEUROENDOCRINOLOGY, Issue 8 2006
K. L. D'Anna
Increases in neuronal activity of hypocretin (HCRT), a peptide involved in arousal, and in HCRT-1 receptor mRNA expression have recently been identified in association with lactation. HCRT is released within brain regions regulating maternal behaviour and it is possible that increased HCRT neurotransmission during lactation supports maternal care. The present study examined for the first time the behavioural effects of HCRT on lactating mice. At intermediate doses, intracerebroventricular (i.c.v.) injections of HCRT-1 (0.06 and 0.1 µg) elevated levels of licking and grooming of pups (but not self-grooming) and number of nursing bouts without affecting other behaviours. At the highest dose, HCRT-1 (0.3 µg, i.c.v) delayed latency to nurse, decreased nursing, increased time off nest, and decreased maternal aggression. Intraperitoneal injections of the HCRT-1 receptor antagonist, SB-334867, exhibited a general trend towards increasing time spent low-arched back nursing (P = 0.053) and decreasing licking and grooming of pups while high-arched back nursing (P = 0.052). This suggests that the endogenous release of HCRT, working independently or dependently with other neuromodulators, may be necessary for full maternal behaviour expression. Possible sites of HCRT action in enhancing and impairing maternal care were identified via examinations of c,Fos immunoreactivity in association with i.c.v. HCRT injections. Together, these finding support the idea of HCRT modulating maternal behaviour, with intermediate levels (0.06 and 0.1 µg) supporting (even augmenting) some behaviours, but with levels that are too high (0.3 µg HCRT, i.c.v.), maternal behaviour and aggression are suppressed. [source]


Role of side chains in collagen triple helix stabilization and partner recognition,

JOURNAL OF PEPTIDE SCIENCE, Issue 3 2009
Rita Berisio
Abstract Collagen is a widespread protein family involved in a variety of biological processes. The complexity of collagen and its fibrous nature prevent detailed investigations on the full-length protein. Reductionist approaches conducted by dissecting the protein complexity through the use of model peptides have proved to be quite effective. There are, however, several issues regarding structure,stability relationships, aggregation in higher-order assemblies, and partner recognition that are still extensively investigated. In this review, we discuss the role that side chains play in triple helix stabilization and in partner recognition. On the basis of recent literature data, we show that collagen triple helix stability is the result of the interplay of different factors. As a general trend, interactions established by amino/imino acid side chains within the triple helix scaffold effectively modulate the intrinsic residue propensity for this common structural motif. The use of peptide models has also highlighted the role that side chains play in collagen self-association and in its interactions with receptors. Valuable examples in these fields are illustrated. Finally, future actions required to obtain more detailed information on the structure and the function of this complex protein are also delineated. Copyright © 2008 European Peptide Society and John Wiley & Sons, Ltd. [source]