Monitoring Period (monitoring + period)

Distribution by Scientific Domains


Selected Abstracts


Long-Term Monitoring and Identification of Bridge Structural Parameters

COMPUTER-AIDED CIVIL AND INFRASTRUCTURE ENGINEERING, Issue 2 2009
Serdar Soyoz
This three-span 111-m long bridge is instrumented with 13 acceleration sensors at both the superstructure and the columns. The sensor data are transmitted to a server computer wirelessly. Modal parameters of the bridge, that is, the frequencies and the modal shapes were identified by processing 1,707 vibration data sets collected under traffic excitations, based on which the bridge structural parameters, stiffness and mass, and the soil spring values were identified by employing the neural network technique. The identified superstructure stiffness at the beginning of the monitoring was 97% of the stiffness value based on the design drawings. In the identified modal frequencies, a variation from ,10% to +10% was observed over the monitoring period. In the identified stiffness values of the bridge superstructure, a variation from ,3% to +3% was observed over the monitoring period. Based on the statistical analysis of the collected data for each year, 5% decrease in the first modal frequency and 2% decrease in the superstructure stiffness were observed over the 5-year monitoring period. Probability density functions were obtained for stiffness values each year. Stiffness threshold values for the collapse of the bridge under the operational loading can be determined. Then the number of years can be assessed for which the area under the proposed probability density functions is greater than the threshold value. So the information obtained in this study is valuable for studying aging and long-term performance assessment of similar bridges. [source]


Climate-driven decrease in erosion in extant Mediterranean badlands

EARTH SURFACE PROCESSES AND LANDFORMS, Issue 11 2010
Michèle L. Clarke
Abstract Badland areas provide some of the highest erosion rates globally. Most studies of erosion have insufficient lengths of record to interrogate the impacts of decadal-scale changes in precipitation on rates of badland erosion in regions such as the Mediterranean, which are known to be sensitive to land degradation and desertification. Erosion measurements, derived from field monitoring using erosion pins, in southern Italy during the period 1974,2004 are used to explore the impacts of changing precipitation patterns on badland erosion. Erosion on badland inter-rill areas is strongly correlated with cumulative rainfall over each monitoring period. Annual precipitation has a substantial dynamic range, but both annual and winter (December, January, February) rainfall amounts in southern Italy show a steady decrease over the period 1970,2000. The persistence of positive values of the winter North Atlantic Oscillation index in the period 1980,2000 is correlated with a reduction in the winter rainfall amounts. Future climate scenarios show a reduction in annual rainfall across the western and central Mediterranean which is likely to result in a further reduction in erosion rates in existing badlands. Copyright © 2010 John Wiley & Sons, Ltd. [source]


The spatial and temporal patterns of aggradation in a temperate, upland, gravel-bed river

EARTH SURFACE PROCESSES AND LANDFORMS, Issue 9 2009
Emma K. Raven
Abstract Intensive field monitoring of a reach of upland gravel-bed river illustrates the temporal and spatial variability of in-channel sedimentation. Over the six-year monitoring period, the mean bed level in the channel has risen by 0·17 m with a maximum bed level rise of 0·5 m noted at one location over a five month winter period. These rapid levels of aggradation have a profound impact on the number and duration of overbank flows with flood frequency increasing on average 2·6 times and overbank flow time increasing by 12·8 hours. This work raises the profile of coarse sediment transfer in the design and operation of river management, specifically engineering schemes. It emphasizes the need for the implementation of strategic monitoring programmes before engineering work occurs to identify zones where aggradation is likely to be problematic. Exploration of the sediment supply and transfer system can explain patterns of channel sedimentation. The complex spatial, seasonal and annual variability in sediment supply and transfer raise uncertainties into the system's response to potential changes in climate and land-use. Thus, there is a demand for schemes that monitor coarse sediment transfer and channel response. Copyright © 2009 John Wiley & Sons, Ltd. [source]


Sediment budget for an eroding peat-moorland catchment in northern England

EARTH SURFACE PROCESSES AND LANDFORMS, Issue 5 2005
Martin Evans
Abstract This paper describes a detailed contemporary sediment budget from a small peat-covered, upland catchment in Upper Teesdale, northern England. The sediment budget was constructed by measuring: (1) sediment transfers on slopes, (2) sediment flux on the floodplain and through the main stream channel and (3) sediment yield at the catchment outlet. Measurements were taken over a four-year monitoring period between July 1997 and October 2001 when interannual variations in runoff were relatively small. Three sites were selected to represent the major erosion subsystems within the catchment: an area of bare peat flats, a pair of peat gullies, and a 300 m channel reach. Collectively the sites allow detailed characterization of the main patterns of sediment flux within the catchment and can be scaled up to provide an estimate of the sediment budget for the catchment as a whole. This constitutes the first attempt to provide a complete description of the functioning of the sediment system in eroding blanket peatlands. Results demonstrate that fluvial suspended sediment flux is controlled to a large degree by channel processes. Gully erosion rates are high but coupling between the slopes and channels is poor and therefore the role of hillslope sediment supply to catchment output is reduced. Consequently contemporary sediment export from the catchment is controlled primarily by in-channel processes. Error analysis of the sediment budgets is used to discuss the limitations of this approach for assessing upland sediment dynamics. A 60 per cent reduction in fluvial suspended sediment yield from Rough Sike over the last 40 years correlates with photographic evidence of significant re-vegetation of gullies over a similar period. This strongly suggests that the reduced sediment yields are a function of increased sediment storage at the slope,channel interface, associated with re-vegetation. Copyright © 2005 John Wiley & Sons, Ltd. [source]


Impacts of aircraft deicer and anti-icer runoff on receiving waters from Dallas/Fort worth International Airport, Texas, USA

ENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 11 2006
Steven R. Corsi
Abstract From October 2002 to April 2004, data were collected from Dallas/Fort Worth (DFW) International Airport (TX, USA) outfalls and receiving waters (Trigg Lake and Big Bear Creek) to document the magnitude and potential effects of aircraft deicer and anti-icer fluid (ADAF) runoff on water quality. Glycol concentrations at outfalls ranged from less than 18 to 23,800 mg/L, whereas concentrations in Big Bear Creek were less because of dilution, dispersion, and degradation, ranging from less than 18 to 230 mg/L. Annual loading results indicate that 10 and 35% of what was applied to aircraft was discharged to Big Bear Creek in 2003 and 2004, respectively. Glycol that entered Trigg Lake was diluted and degraded before reaching the lake outlet. Dissolved oxygen (DO) concentrations at airport outfalls sometimes were low (<2.0 mg/L) but typical of what was measured in an urban reference stream. In comparison, the DO concentration at Trigg Lake monitoring sites was consistently greater than 5.5 mg/L during the monitoring period, probably because of the installation of aerators in the lake by DFW personnel. The DO concentration in Big Bear Creek was very similar at sites upstream and downstream of airport influence (>5.0 mg/L). Results of toxicity tests indicate that effects on Ceriodaphnia dubia, Pimephales promelas, and Selanastrum capricornutum are influenced by type IV ADAF (anti-icer), not just type I ADAF (deicer) as is more commonly assumed. [source]


Temporal and spatial monitoring of mobile nanoparticles in a vineyard soil: evidence of nanoaggregate formation

EUROPEAN JOURNAL OF SOIL SCIENCE, Issue 4 2010
N. Perdrial
Mechanisms of formation, stabilization, liberation, transport and deposition of nanoparticles and their relationship to contaminant transport remain scarcely investigated in natural porous media. This study investigated nanoparticles mobilized in the pore space of a French vineyard soil by observing mobile soil-derived organic matter (SOM) and minerals in pore fluids over an 8-month monitoring period. Samples were collected in situ and investigated by transmission electron microscopy coupled to electron-dispersive spectroscopy. The main types of nanoparticles transported within the soil were clay, bacteria, SOM and nanoaggregates. Nanometric clay particles were enriched in various metals (Fe, Zn, As and Pb) and organically-derived constituents. Analyses of bacteria showed enrichments in Pb. SOM consisted of small carbon-based particles (<200 nm) with slight enrichments in various metals. The fourth dominant particle type consisted of the association of particles forming organo-mineral nanoaggregates. Based on the study of more than 22 500 individual particles, we propose a schematic interpretation of the evolution of the distribution of particles with depth in a soil profile. The increase of nanoaggregates with depth in the soil seemed to be largely controlled by the ionic strength of soil water and soil hydrodynamics. Seasonal variations in temperature also appear to affect nanoaggregation. Based on the architecture of the nanoaggregates, we propose an improvement of pre-existing models of microaggregation by focusing on early aggregation stages suggesting the importance of bacteria and electrostatic interactions. The process of nanoaggregation can enhance the net reactivity of soil with respect to transported suspended matter, including heavy metals, and can initiate the process of C sequestration. [source]


Summer drought: a driver for crown condition and mortality of Norway spruce in Norway

FOREST PATHOLOGY, Issue 2 2004
S. Solberg
Summary Summer drought, i.e. unusually dry and warm weather, has been a significant stress factor for Norway spruce in southeast Norway during the 14 years of forest monitoring. Dry and warm summers were followed by increases in defoliation, discolouration of foliage, cone formation and mortality. The causal mechanisms are discussed. Most likely, the defoliation resulted from increased needle-fall in the autumn after dry summers. During the monitoring period 1988,2001, southeast Norway was repeatedly affected by summer drought, in particular, in the early 1990s. The dataset comprised 455 ,Forest officers' plots' with annual data on crown condition and mortality. Linear mixed models were used for estimation and hypothesis testing, including a variance,covariance structure for the handling of random effects and temporal autocorrelation. Résumé La sécheresse estivale, c'est à dire un temps exceptionnellement sec et chaud, a été un facteur significatif de stress pour l'Epicéa commun dans le sud-est de la Norvège au cours de 14 années de surveillance. Les étés secs et chauds ont été suivis d'une augmentation de la défoliation, des colorations anormales du feuillage, de la formation de cônes et de la mortalité. Les mécanismes causaux sont discutés. La défoliation peut probablement s'expliquer par une chute automnale des aiguilles après les étés secs. Pendant la période de suivi de 1988 à 2001, le sud-est de la Norvège a été affecté de façon répétée par des sécheresses estivales, en particulier au début des années 1990. La base de données comprend 455 ,parcelles d'agents forestiers' avec des données annuelles sur l'état des houppiers et la mortalité. Des modèles linéaires mixtes ont été utilisés pour tester les hypothèses et faire les estimations, en incluant une structure de variance-covariance pour prendre en compte les effets aléatoires et les auto-corrélations temporelles. Zusammenfassung Sommertrockenheit, d.h. ungewöhnlich trockenes und warmes Wetter, war ein wesentlicher Stressfaktor für die Fichte (Picea abies) in Südwestnorwegen während der 14 Jahre, in denen der Waldzustand bisher erfasst wurde. Nach trockenen und warmen Sommern nahmen der Nadelverlust, die Nadelverfärbung, die Zapfenbildung und die Mortalität zu. Die ursächlichen Mechanismen hierfür werden diskutiert. Am wahrscheinlichsten ist der Blattverlust das Ergebnis eines erhöhten Nadelfalles im Herbst nach einem trockenen Sommer. Während der Beobachtungsperiode von 1988 bis 2001 traten in Südwestnorwegen wiederholt trockene Sommer auf, insbesondere zu Beginn der 90er Jahre. Das Datenset umfasste 455 Stichprobeflächen mit jährlichen Angaben zum Kronenzustand und zur Mortalität. Für die statistische Analyse wurden lineare Modelle mit gemischten Effekten verwendet, einschliesslich einer Varianz-Kovarianzstruktur für die zeitreihenbedingten Autokorrelationen. [source]


Sediment Loss from a Waste Rock Dump, ERA Ranger Mine, Northern Australia

GEOGRAPHICAL RESEARCH, Issue 1 2001
Michael J. Saynor
During the 1994/95 wet season, runoff, suspended load and bedload loss from large scale erosion plots under natural rainfall events were measured at three sites with different treatments on the Energy Resources of Australia Ranger waste rock dump (cap, soil, fire). The fire site has well established trees, the soil site smaller shrubs and the cap site minimal vegetation. All three sites are located on the flat areas of the waste rock dump with similar slopes and cap, fire and soil are local names for the sites. The quantity of bedload eroded from the soil and fire sites decreased during the monitoring period, however, the same trend was not observed on the cap site. Bedload loss from the fire and soil sites is significantly log-linear with time and reduces at a decreasing rate until becoming statistically constant toward the later part of the first half of the wet season. For corresponding storms at each site, bedload erosion was highest from the unvegetated and unripped cap site and lowest from the well vegetated fire site. Site specific linear relationships between bedload and total sediment load have been derived and can be used to derive total sediment load in the absence of measured suspended load. [source]


Irreversible Phosphorus Sorption in Septic System Plumes?

GROUND WATER, Issue 1 2008
W. D. Robertson
The mobility of phosphorus (P) in septic system plumes remains a topic of debate because of the considerable reactivity of this constituent. In this study, a septic system plume in Ontario was monitored over a 16-year period with detail that clearly shows the advancing frontal portion of the P plume. This monitoring record provides insight into the extent of secondary P attenuation in the ground water zone beyond that available from previous studies. A P plume 16 m in length developed over the monitoring period with PO4 -P concentrations (3 to 6 mg/L) that approached the concentrations present under the tile bed. Simulations using an analytical model showed that when first-order solute decay was considered to account for the possibility of secondary P attenuation in the ground water zone, field values could only be matched when decay was absent or occurred at an exceedingly slow rate (half-life greater than 30 years). Thus, hypothesized secondary P attenuation mechanisms such as slow recystallization of sorbed P into insoluble metal phosphate minerals, diffusion into microsites, or kinetically slow direct precipitation of P minerals such as hydroxyapatite were inactive in the ground water zone at this site or occurred at rates that were too slow to be observed in the context of the current 16-year study. Desorption tests on sediment samples from below the tile bed indicated a PO4 distribution coefficient (Kd) of 4.8, which implies a P retardation factor of 25, similar to the field apparent value of 37 determined from model calibrations. This example of inactive secondary P attenuation in the ground water zone shows that phosphorus in some ground water plumes can remain mobile and conservative for decades. This has important implications for septic systems located in lakeshore environments when long-term usage scenarios are considered. [source]


Ips typographus (L.) pheromone trapping in south Alps: spring catches determine damage thresholds

JOURNAL OF APPLIED ENTOMOLOGY, Issue 4 2004
M. Faccoli
Abstract:,Ips typographus is one of the major forest pests in the Italian Alps. From 1996, populations of I. typographus in Friuli-Venezia Giulia region (NE Italy) have been permanently monitored in areas of outbreak by using pheromone traps. At the same time, damage caused by the insect was estimated annually. Preliminary analysis of the data (1996,2002) reveals some interesting information: (i) the flight activity of I. typographus is very extended and occurs over a period of about 4 months (May to August); (ii) there is a high correlation between mean captures per trap and annual damage; (iii) there is a high correlation between spring captures (May to mid-June) and total captures (May to August), and between spring captures (May to mid-June) and annual damage. The correlation between spring captures and damage allows the determination of a reliable risk-damage threshold (about 5000 beetles/trap, in spring), reducing at the same time, the monitoring period and the general costs. [source]


The Diagnosis of Cardiac Arrhythmias: A Prospective Multi-Center Randomized Study Comparing Mobile Cardiac Outpatient Telemetry Versus Standard Loop Event Monitoring

JOURNAL OF CARDIOVASCULAR ELECTROPHYSIOLOGY, Issue 3 2007
STEVEN A. ROTHMAN M.D.
Introduction: Ambulatory electrocardiographic monitoring systems are frequently used in the outpatient evaluation of symptoms suggestive of a cardiac arrhythmia; however, they have a low yield in the identification of clinically significant but infrequent, brief, and/or intermittently symptomatic arrhythmias. The purpose of this study was to compare the relative value of a mobile cardiac outpatient telemetry system (MCOT) with a patient-activated external looping event monitor (LOOP) for symptoms thought to be due to an arrhythmia. Methods and Results: The study was a 17-center prospective clinical trial with patients randomized to either LOOP or MCOT for up to 30 days. Subjects with symptoms of syncope, presyncope, or severe palpitations who had a nondiagnostic 24-hour Holter monitor were randomized. The primary endpoint was the confirmation or exclusion of a probable arrhythmic cause of their symptoms. A total of 266 patients who completed the monitoring period were analyzed. A diagnosis was made in 88% of MCOT subjects compared with 75% of LOOP subjects (P = 0.008). In a subgroup of patients presenting with syncope or presyncope, a diagnosis was made in 89% of MCOT subjects versus 69% of LOOP subjects (P = 0.008). MCOT was superior in confirming the diagnosis of clinical significant arrhythmias, detecting such events in 55 of 134 patients (41%) compared with 19 of 132 patients (15%) in the LOOP group (P < 0.001). Conclusions: MCOT provided a significantly higher yield than standard cardiac loop recorders in patients with symptoms suggestive of a significant cardiac arrhythmia. [source]


Platelet-rich plasma may prevent titanium-mesh exposure in alveolar ridge augmentation with anorganic bovine bone

JOURNAL OF CLINICAL PERIODONTOLOGY, Issue 10 2010
Jesús Torres
Torres J, Tamimi F, Alkhraisat MH, Manchón Á, Linares R, Prados-Frutos JC, Hernández G, López Cabarcos E. Platelet-rich plasma may prevent titanium-mesh exposure in alveolar ridge augmentation with anorganic bovine bone. J Clin Periodontol 2010; 37: 943,951. doi: 10.1111/j.1600-051X.2010.01615.x. Abstract Objective: Bone augmentation with the titanium-mesh (Ti-mesh) technique is susceptible to a large rate of complications such as morbidity of bone graft donor site, and mesh exposure to the oral cavity. The purpose of this study was to evaluate the effectiveness of anorganic bovine bone (ABB) in alveolar bone augmentation with the Ti-mesh technique. In addition, we investigated the effect of platelet-rich plasma (PRP) in preventing mesh exposure by using it to cover the Ti-mesh. Patients and Methods: Patients included in the clinical trial were randomly allocated by a blinded assistant into two groups. The 30 patients recruited for this study underwent 43 alveolar bone augmentation with the Ti-mesh technique using ABB as graft material in all of them. In 15 patients, the Ti-meshes were covered with PRP (PRP group) whereas in the other 15 the Ti-meshes were not (control group). After 6 months, patients were called for clinical, radiographic, and histological evaluation, and implant placement surgery. A total of 97 implants were placed in the augmented bone and their evolution was followed up for a period of 24 months. Results: Significant differences were found between the two study groups in terms of complications and bone formation. In the control group, 28.5% of the cases suffered from mesh exposure, while in the PRP group, no exposures were registered. Radiographic analysis revealed that bone augmentation was higher in the PRP group than in the control group. Overall, 97.3% of implants placed in the control group and 100% of those placed in the PRP group were successful during the monitoring period. We suggest that the positive effect of PRP on the Ti-mesh technique is due to its capacity to improve soft tissue healing, thereby protecting the mesh and graft material secured beneath the gingival tissues. Conclusions: Alveolar bone augmentation using ABB alone in the Ti-mesh technique is sufficient for implant rehabilitation. Besides, covering the Ti-meshes with PRP was a determining factor in avoiding mesh exposure. Ti-mesh exposure provoked significant bone loss, but in most cases it did not affect the subsequent placement of implants. [source]


The effect of repeated professional supragingival plaque removal on the composition of the supra- and subgingival microbiota

JOURNAL OF CLINICAL PERIODONTOLOGY, Issue 9 2000
Laurie Ann Ximénez-Fyvie
Abstract Background, aims: The purpose of the present investigation was to determine the effect of weekly professionally administered supragingival plaque removal on the composition of the supra and subgingival microbiota. Methods: 18 adult subjects with periodontitis who had been treated and were in a maintenance phase of therapy were clinically and microbiologically monitored at baseline, 3, 6 and 12 months. After the baseline visit, the subjects received scaling and root planing followed by professional supragingival plaque removal every week for 3 months. Clinical measures of plaque accumulation, bleeding on probing (BOP), gingival redness, suppuration, pocket depth and attachment level were made at 6 sites per tooth at each visit. Separate supra (N=1804) and subgingival (N=1804) plaque samples were taken from the mesial aspect of all teeth excluding third molars in each subject at each time point and evaluated for their content of 40 bacterial taxa using checkerboard DNA-DNA hybridization. Significance of changes in mean counts, prevalence and proportions of bacterial species over time in both supra and subgingival samples were determined using the Quade test and adjusted for multiple comparisons. Results: Mean % of sites exhibiting plaque, gingival redness and BOP were significantly reduced during the course of the study. Significant decreases in mean counts were observed in both supra and subgingival samples. Mean total DNA probe counts (×105, ±SEM) at baseline, 3, 6 and 12 months were: 133±19, 95±25, 66±6, 41±6 (p<0.001) for supragingival samples and 105±22, 40±10, 19±4, 13±3 (p<0.001) for subgingival samples. Mean counts of 22 of 40 and 34 of 40 species tested were significantly reduced in the supra and subgingival samples respectively over the monitoring period. For example, mean counts of Porphyromonas gingivalis×105 at baseline, 3, 6 and 12 months in the subgingival plaque samples were 2.0±0.4, 0.5±0.2, 0.6±0.3, 0.3±0.1 (p<0.001); Bacteroides forsythus 2.0±0.6, 0.4±0.1, 0.4±0.2, 0.1±0.2 (p<0.001); Treponema denticola 3.4±1.1, 0.8±0.3, 0.4±0.2, 0.3±0.3 (p<0.01). Similar reductions were seen in supragingival plaque samples. While counts were markedly reduced by professional plaque removal, the proportion and prevalence of the 40 test species were marginally affected. Conclusions: Weekly professional supragingival plaque removal profoundly diminished counts of both supra- and subgingival species creating a microbial profile comparable to that observed in periodontal health. This profile was maintained at the final monitoring visit, 9 months after completion of therapy. [source]


Temporal and spatial genetic variation in a metapopulation of the annual Erysimum cheiranthoides on stony river banks

JOURNAL OF ECOLOGY, Issue 1 2009
Olivier Honnay
Summary 1Metapopulation dynamics , the recurrent extinction and colonization in spatially discrete habitats , is expected to strongly affect within and between population genetic diversity. So far, however, accounts of true plant metapopulations are extremely scarce. 2We monitored the colonization and extinction dynamics of an assemblage of populations of the annual Erysimum cheiranthoides on stony river banks during three consecutive years. Each year, winter flooding drives some populations to extinction, while vacant banks may become colonized. We describe the dynamics of these ephemeral populations using amplified fragment length polymorphism (AFLP) markers to quantify changes in the metapopulation genetic structure over time, and assessing the direction and relative amount of migration and colonization events. 3Average extinction and colonization rates were high (0.39 and 0.34, respectively). While population genetic differentiation (FST) tripled from 0.06 in 2005 to 0.17 in 2007, total metapopulation genetic diversity remained fairly constant through the years. Genetic assignment analyses allowed assigning more than 50% of the genotyped individuals to populations extant the year before. Colonizing individuals originated from different source populations (, << 1) and there was considerable evidence of upstream seed dispersal. 4The degree and pattern of spatial genetic structure varied between years and was related to variation in the flooding intensity of the Meuse River through the years. Possibly, activation of the soil seed bank also played a role in structuring the genetic make-up of the populations. 5Because migration and colonization events were qualitatively equal, and colonizing individuals originated from different sources, the increase in FST was in agreement with previous theoretical work. Very high migration and colonization rates, and the short monitoring period, may explain why there was no loss of genetic diversity from the metapopulation through recurrent extinction and colonization events. 6Synthesis. This study gives one of the first accounts of the dynamics of a true plant metapopulation. Temporal monitoring of genetic variation gave evidence of extensive and bidirectional seed dispersal, highly variable and increasing genetic differentiation, and rather constant within population genetic diversity. An important suggestion from this research is to include a dormant seed stage in further theoretical work on (meta) population genetics. [source]


Vegetation dynamics of predator-free land-bridge islands

JOURNAL OF ECOLOGY, Issue 2 2006
JOHN TERBORGH
Summary 1We tested the ,green world' hypothesis of Hairston, Smith and Slobodkin by monitoring vegetation change on recently created predator-free land-bridge islands in a huge hydroelectric impoundment, Lago Guri, in the State of Bolivar, Venezuela. 2Our results affirm the green world hypothesis and expose the operation of a strong top-down trophic cascade that negatively impacted nearly every plant species present, implying that community stability is maintained through the action of predators. 3To test the hypothesis, we monitored vegetation on nine predator-free islands and compared demographic parameters to those observed at control sites supporting complete or nearly complete suites of predators. 4Herbivore abundance was high on ,small' (, 0.5, < 2 ha) islands, moderate on ,medium' islands (> 3, < 15 ha) and low on the ,large' landmasses that served for reference. 5Small sapling densities on small islands were only 37% of controls in 1997 (after 11 years of isolation), and when recensused in 2002, had fallen to 25% of controls. High mortality and, especially, low recruitment contributed to the decline in sapling cohorts. 6Sapling decline occurred earlier on small islands, although recruitment failure had become equally pronounced on medium islands by the end of the monitoring period. 7Several mechanisms could potentially account for suppressed sapling recruitment, but the weight of evidence points to herbivory on seedlings and small saplings by leaf-cutter ants (Atta spp. and Acromyrmex sp.). Exposure to prevailing trade winds (windward vs. leeward slopes of islands) had no detectable effect on the density or diversity of seedlings or saplings. [source]


The history and control of the pine beauty moth, Panolis flammea (D. & S.) (Lepidoptera: Noctuidae), in Scotland from 1976 to 2000

AGRICULTURAL AND FOREST ENTOMOLOGY, Issue 3 2001
B. J. Hicks
Abstract 1,The pine beauty moth, Panolis flammea, has been a serious pest of lodgepole pine plantations in Scotland since 1976. It historically feeds on native Scots pine throughout Europe but population levels of P. flammea on this host have never been high enough to cause tree mortality in the U.K. 2,This paper reviews recent advances in the biology of the pest and documents control programmes from 1976 to 1999. 3,There has been practically uninterrupted population monitoring of P. flammea from 1977 to the present day in Scottish lodgepole pine plantations. Intervention with chemical spraying has often been necessary. 4,The population data suggest that populations of P. flammea may have had a cyclic pattern over the monitoring period, with outbreaks occurring at regular intervals of between 6 and 7 years. 5,The amplitude of population cycles was large during the 1970s and 1980s, but has dampened in recent years. Natural enemies are believed to contribute to this trend. Fungal disease, specifically, appears to have had a greater effect on pest populations in recent years than in the past and is suggested to have contributed significantly to the population dynamics observed since 1990. [source]


The relationship between bed rest and sitting orthostatic intolerance in adults residing in chronic care facilities

JOURNAL OF NURSING AND HEALTHCARE OF CHRONIC ILLNE SS: AN INTERNATIONAL INTERDISCIPLINARY JOURNAL, Issue 3 2010
Mary T Fox MSc
fox mt, sidani s & brooks d (2010) Journal of Nursing and Healthcare of Chronic Illness2, 187,196 The relationship between bed rest and sitting orthostatic intolerance in adults residing in chronic care facilities Aim., To examine the relationship between orthostatic intolerance and bed rest as it was used by/with 65 adults residing in chronic care facilities. Background., The evidence on the relationship between bed rest and orthostatic intolerance has been obtained from aerospace studies conducted in highly controlled laboratory settings, and is regarded as having high internal validity. In the studies, prolonged and continuous bed rest, administered in a horizontal or negative tilt body position, had a major effect on orthostatic intolerance in young adults. However, the applicability of the findings to the conditions of the real world of practice is questionable. Methods., Participants were recruited over the period of April 2005 to August 2006. A naturalistic cohort design was used. The cohorts represented different doses of bed rest that were naturally occurring. Comparisons were made between patients who had no bed rest (comparative dose group, n = 20), two to four days (moderate dose, n = 23) and five to seven days of bed rest (high dose, n = 22) during a one-week monitoring period. Orthostatic intolerance was measured by orthostatic vital signs and a self-report scale. Bed rest dose was measured by the total number of days spent in bed during one week. Results.,Post hoc comparisons, using Bonferroni adjustments, indicated significant differences in adjusted means on self-reported orthostatic intolerance between the comparative and high (CI: ,4·12, ,0·85; p < 0·001), and the moderate and high (CI: 0·35, 3·56, p < 0·01) bed rest dose cohorts. No group differences were found on orthostatic vital signs. Conclusions., A moderate dose of bed rest with intermittent exposure to upright posture may protect against subjective orthostatic intolerance in patients who are unable to tolerate being out of bed every day. Future research may examine the effects of reducing bed rest days on orthostatic intolerance in individuals with high doses of five to seven days of bed rest. [source]


Incidence of post-anaesthetic arrhythmias in dogs

JOURNAL OF SMALL ANIMAL PRACTICE, Issue 3 2005
K. Buhl
Objectives: To assess the use of Holter monitoring for evaluating the incidence of post-anaesthetic cardiac arrhythmias and associated anaesthetic risk for two different anaesthetic protocols. Methods: Patients undergoing orthopaedic surgery were randomly divided into two groups with different anaesthetic regimens (group A, isoflurane n=30; group B, propofol n=30). Two 24-hour Holter recordings were performed for each patient: the first directly following anaesthesia and the second, as a comparison, on the fifth postoperative day. Results: Although all dogs were healthy on pre-anaesthetic cardiac evaluation, 56 dogs showed arrhythmias in the two 24-hour (Holter) electrocardiograms performed. However, the number of arrhythmias recorded was low in most cases (less than 10 supraventricular extrasystoles and less than 100 ventricular extrasystoles). One patient in group A showed 94 supraventricular extrasystoles during the second monitoring period. Three patients in each group developed more than 100 ventricular extrasystoles during both Holter recordings. There were no statistically significant differences between the two anaesthetic regimens or between the two recordings in both groups. Clinical Significance: The two anaesthetic protocols investigated in this study did not induce an increased incidence of severe arrhythmias in healthy dogs in the post-anaesthetic phase. [source]


Prymnesium parvum: The Norwegian Experience,

JOURNAL OF THE AMERICAN WATER RESOURCES ASSOCIATION, Issue 1 2010
Torbjørn M. Johnsen
Johnsen, Torbjørn M., Wenche Eikrem, Christine D. Olseng, Knut E. Tollefsen, and Vilhelm Bjerknes, 2010. Prymnesium parvum: The Norwegian Experience. Journal of the American Water Resources Association (JAWRA) 46(1):6-13. DOI: 10.1111/j.1752-1688.2009.00386.x Abstract:, In Norwegian waters, Prymnesium parvum has been reported from Oslofjorden in the south to Spitzbergen in the north. However, blooms of P. parvum have only been reported from the Sandsfjorden system in Ryfylke, Western Norway where the salinity of the permanent brackish layer (2-5 m) typically is in the range of 4-7 psu during the summer months. The first bloom on record occurred in 1989, and it killed 750 metric tons of caged salmon and trout which was a significant economic loss to the fish farming industry. Toxic blooms occurred as well in subsequent years and the number of fish farms in the area decreased considerably as did the occurrence of P. parvum. In 2005, fish farming was reintroduced to the area and again, in 2007 a toxic bloom of P. parvum killed 135 metric tons of caged fish. The Norwegian Institute for Water Research has, in collaboration with "Erfjord Stamfisk" fish farm, set up a monitoring program that includes light microscopy cell counts of Prymnesium, water quality measurements, and observation of the caged fish. A submergible fish net was mounted over the fish pens and during the toxic outbreak of P. parvum in July-August 2007, which was as previous years confined to the upper brackish water layer, the fish nets were lowered to 10 m depths below the surface and fish feeding was temporarily stopped. Despite substantial weight loss, the fish survived the toxic bloom and the economic loss was minimal. Monitoring of P. parvum bloom dynamics in 2007 revealed that populations were initially dominated by the nonmotile forms which were gradually replaced by the flagellated forms. Toxicity was observed when the flagellated cells dominated populations in the summer. Chrysochromulina, solitary small Chaetoceros species, and small centric diatoms co-existed with P. parvum during the monitoring period (June-October). [source]


CHANGES IN LAND USE/MANAGEMENT AND WATER QUALITY IN THE LONG CREEK WATERSHED,

JOURNAL OF THE AMERICAN WATER RESOURCES ASSOCIATION, Issue 6 2002
Daniel E. Line
ABSTRACT: Surface water in the Long Creek watershed, located in western Piedmont region of North Carolina, was monitored from 1993 to 2001. The 8,190 ha watershed has undergone considerable land use and management changes during this period. Land use surveys have documented a 60 percent decrease in cropland area and a more than 200 percent increase in areas being developed into new homes. In addition, more than 200 conservation practices have been applied to the cropland and other agricultural land that remains in production. The water quality of Long Creek was monitored by collecting grab samples at four sites along Long Creek and continuously monitoring discharge at one site. The monitoring has documented a 70 percent reduction in median total phosphorus (TP) concentrations, with little reductions in nitrate and total Kjel-dahl nitrogen, or suspended sediment levels. Fecal coliform (FC) and streptococci (FS) levels declined significantly downstream as compared to upstream during the last four years of monitoring. This decrease was attributed to the implementation of waste management practices and livestock exclusion fencing on three dairy operations in the watershed. Annual rainfall and discharge increased steadily until peaking in the third year of the monitoring period and varied while generally decreasing during the last four years of the project. An array of observation, pollutant concentration, and hydrologic data provide considerable evidence to suggest that the implementation of BMPs in the watershed have significantly reduced phosphorus and bacteria levels in Long Creek. [source]


Evaluation of hematological, chemistry and blood gas values in dogs receiving hemoglobin glutamer-200

JOURNAL OF VETERINARY EMERGENCY AND CRITICAL CARE, Issue 1 2007
DACVECC, DACVIM, Marie E. Kerl DVM
Abstract Objective: To evaluate the degree of interference that administration of hemoglobin glutamer-200 (Hb-200) caused for complete blood counts (CBC), biochemical profiles, cooximetry, and point of care (POC) testing in healthy dogs. Design: Prospective, longitudinal experimental study. Setting: Veterinary medical teaching hospital. Animals: Six purpose-bred research hounds. Interventions: Dogs were administered FDA-approved hemoglobin-based oxygen carrier (Hb-200) intravenously at 7.5 mL/kg over 2 hours. Arterial and venous blood samples were obtained before administration (Time 0) and at 3, 8, 14, 26, 50, 74, 98, 122, and 146 hours following administration. Measurements and main results: No adverse health effects were observed in any of the dogs. Characteristic mucous membrane, serum, and plasma color changes occurred following administration of Hb-200. Laboratory values that were significantly lower than baseline included packed cell volume, red blood cell count, hemoglobin, hematocrit, creatinine, cholesterol, alanine aminotransferase, and alkaline phosphatase. Laboratory values that were significantly greater than baseline included mean corpuscular hemoglobin concentration, arterial pH, arterial total carbon dioxide, arterial bicarbonate, amylase, albumin, total protein, globulin, calcium, phosphorous, total bilirubin, carboxyhemoglobin, and methemoglobin. All values returned to baseline by the completion of the 146-hour monitoring period. Conclusions: In normal dogs, administration of Hb-200 resulted in statistically significant changes in multiple laboratory parameters; however, these changes are not likely to be clinically significant in the care of critically ill dogs. [source]


Seasonal pattern of depth selection in smallmouth bass

JOURNAL OF ZOOLOGY, Issue 2 2009
C. D. Suski
Abstract The current study used a stationary acoustic telemetry array to monitor the depth selection of adult smallmouth bass Micropterus dolomieu in a large, oligotrophic lake in Ontario, Canada. At an annual scale, smallmouth bass demonstrated regular, seasonal changes in inhabited depths: fish occupied shallow water during the summer (2,5 m depth) and descended to deeper water (12,15 m depth) during winter under ice. Smallmouth bass remained above the thermocline in the summer, seasonal depth patterns did not vary across fish size and movements to and from seasonal depths were closely linked to the development and degradation of the thermocline. At finer time scales, smallmouth bass exhibited diel vertical migrations in summer, with fish moving to <2 m at night, and then descending to 3,5 m during the day. This pattern remained constant during the summer period examined, and varied with size such that larger fish remained deeper than smaller fish. During winter, depth did not vary across the 3-month monitoring period (c. 14 m), but small (<2 m) changes in depth were observed periodically, suggesting limited movements were occurring. Results are further discussed in the context of climate change and reproductive success for this species. [source]


Environmental temperature stress on drugs in prehospital emergency medical service

ACTA ANAESTHESIOLOGICA SCANDINAVICA, Issue 4 2003
M. Helm
Background: Drugs used in prehospital emergency medical service (EMS) in principle are subject to the same storage restrictions as hospital-based medications. The prehospital emergency environment however, often exceeds these storage recommendations. Main stress factors are sunlight, vibration and extreme temperature, which may lead to alteration in chemical and physical stability of stored pharmaceuticals, as well as microbiological contamination and concentration enhancement of pharmacological inserts. Methods: The purpose of this study was to determine the environmental temperature stress upon drugs used in the prehospital EMS under real mission conditions within different types of rescue vehicles (rescue helicopter [HEMS], ambulance [AMB] and emergency physician transport vehicle [EPTV]) during a ,summer' and ,winter' monitoring period (2 months duration each/location: southern Germany). Results: Recorded temperatures varied from ,13.2°C to +50.6°C. The recommended maximum storage temperature (+25°C) was exceeded in all rescue vehicles (33,45% of total exposure time), whereas the recommended minimum storage temperature (0°C) only fell short in the EPTV (19% of total exposure time). The daily maximum temperature variations ranged from 19.0°C (winter) to 32.9°C (summer). Conclusions: These results show that even in a moderate climatic zone, drugs used in prehospital EMS are significantly influenced by temperature stress; furthermore, these results recommend the usage of temperature-controlled drug boxes. [source]


Survival in a long-lived territorial migrant: effects of life-history traits and ecological conditions in wintering and breeding areas

OIKOS, Issue 4 2009
Juan M. Grande
Despite its key role in population dynamics and evolutionary ecology, little is known about factors shaping survival in long-lived territorial species. Here, we assessed several hypotheses that might explain variability in survival in a migratory Spanish population of a long-lived territorial species, the Egyptian vulture Neophron percnopterus, using a 16-year monitoring period and live-encounter histories of 835 individually marked birds. Cormack-Jolly-Seber capture,recapture models showed no evidence for effects of sex or nestling body condition on survival. However, the normalized difference vegetation index (NDVI; an indicator of primary productivity) of natal territories had positive effects on juvenile survival, indicating that environmental conditions experienced early in life can determine survival prospects. Survival increased with age (0.73±0.02 in the first 2 years to 0.78±0.03 in years 3 and 4) to later decrease when birds were five years old (0.60±0.05), the age at which they acquire the adult plumage, abandon the communal lifestyle of juveniles, and may look for a breeding territory. At older ages, survival was higher for non-breeding (0.75±0.02) and breeding adults (0.83±0.02). Among the latter, birds that recruited into better territories had higher survival prospects. Age-specific variation in survival in this species may be related to behavioural changes linked to dispersal and recruitment into the breeding population, while survival prospects of adult birds strongly depend on breeding territory selection. These results suggest a tradeoff between recruiting soon, and thus reducing mortality costs of a long and extensive dispersal period, and trying to recruit into a good quality territory. Finally, annual survival rates for birds of all age classes were positively related with the NDVI in their African wintering grounds. Although this relationship was probably mediated by food availability, further research is needed to properly identify the limiting factors that are affecting trans-Saharan migrants, especially in light of global climate change. [source]


Settlement and Survival of the Oyster Crassostrea virginica on Created Oyster Reef Habitats in Chesapeake Bay

RESTORATION ECOLOGY, Issue 2 2007
Janet A. Nestlerode
Abstract Efforts to restore the Eastern oyster (Crassostrea virginica) reef habitats in Chesapeake Bay typically begin with the placement of hard substrata to form three-dimensional mounds on the seabed to serve as a base for oyster recruitment and growth. A shortage of oyster shell for creating large-scale reefs has led to widespread use of other materials such as Surf clamshell (Spisula solidissima), as a substitute for oyster shell. Oyster recruitment, survival, and growth were monitored on intertidal reefs constructed from oyster and Surf clamshell near Fisherman's Island, Virginia, U.S.A. and on a subtidal Surf clamshell reef in York River, Virginia, U.S.A. At the intertidal reefs, oyster larvae settlement occurred at similar levels on both substrate types throughout the monitoring period but higher levels of post-settlement mortality occurred on clamshell reefs. The oyster shell reef supported greater oyster growth and survival and offered the highest degree of structural complexity. On the subtidal clamshell reef, the quality of the substrate varied with reef elevation. Large shell fragments and intact valves were scattered around the reef base, whereas small, tightly packed shell fragments paved the crest and flank of the reef mound. Oysters were more abundant and larger at the base of this reef and less abundant and smaller on the reef crest. The availability of interstitial space and appropriate settlement surfaces is hypothesized to account for the observed differences in oyster abundance across the reef systems. Patterns observed emphasize the importance of appropriate substrate selection for restoration activities to enhance natural recovery where an underlying habitat structure is destroyed. [source]


Response of a gorgonian (Paramuricea clavata) population to mortality events: recovery or loss?

AQUATIC CONSERVATION: MARINE AND FRESHWATER ECOSYSTEMS, Issue 6 2008
R. Cupido
Abstract 1.During late summer 1999 and 2003 two mass mortality events affected the population of the slow growing, long-lived Mediterranean gorgonian Paramuricea clavata living in the Gulf of La Spezia (Italy). 2.The population was monitored for three years after the mortality events. Availability of pre-event data (1998) allowed comparison of population density and population size structure of the healthy population with those recorded in the three years following the mortality events. 3.In 1998, before the two mass mortality events, mean colony density was 33.3,±,3.7 colonies m,2 and had fallen to 6.7,±,1.9 colonies m,2 in 2004. 4.In the post-event period the population size structure changed and the modal class of colonies shifted from 16,21 cm to 6,15 cm height. 5.In 2004 mortality affected 75,±,6.4% of colonies. A significant, positive correlation between the extent of damage and colony size was found throughout the monitoring period. 6.In the three years following the two mortality events, a small increase in density of recruits and of older undamaged colonies was recorded suggesting that the population was slowly recovering. 7.The bathymetric distribution of P. clavata straddles the summer thermocline making this population particularly sensitive to temperature increases. The lack of deeper colonies (less exposed to warming) and the geographical isolation of this population is likely to prevent any substantial external larval supply. 8.An increased frequency of mass mortality events associated with ever increasingly high temperature events represent a considerable threat to the persistence of a P. clavata population in the Gulf of La Spezia. Copyright © 2007 John Wiley & Sons, Ltd. [source]


Survivorship and tube growth of reef-building Serpula vermicularis (Polychaeta: Serpulidae) in two Scottish sea lochs

AQUATIC CONSERVATION: MARINE AND FRESHWATER ECOSYSTEMS, Issue 2 2008
David J. Hughes
Abstract 1.In the UK, reef formation by the tubicolous polychaete Serpula vermicularis L. has been recorded in only two sea lochs in Argyll, west Scotland. Serpula vermicularis aggregations are now confined to Loch Creran, those in Loch Sween having died out for unknown reasons. 2.Survivorship and tube extension rates were measured in situ in order to compare habitat quality of the two sea lochs and to determine the feasibility of artificial restoration of Loch Sween reefs using stock translocated from Loch Creran. After labelling and measurement, clusters of inhabited tubes collected from Loch Creran were re-planted at two sites in Loch Sween and two in Loch Creran in July 2004, and monitored at intervals before recovery and remeasurement in July 2005. 3.In Loch Sween the tube clusters gradually disappeared over the monitoring period. Only remnants were left by May 2005 and no growth data were obtained. In Loch Creran 76% of the labelled tubes were relocated. Confirmed mortality over the year was 5.3% and mean tube extension rate was 33 mmy,1. 4.There was no significant difference in tube growth between the two Loch Creran sites and inter-individual differences accounted for most of the variability in the data. Individual tube extension declined significantly with worm body mass but mean extension showed no relationship to total worm biomass in each cluster. Annual tube extension rate in Loch Creran was low in comparison with literature data from other serpulids, suggesting that tube growth is strongly seasonal. 5.The 10-month persistence of some living worms in Loch Sween suggests that there is no physiological barrier to survival of stock translocated from Loch Creran but in situ video monitoring would be necessary to determine the cause of tube disappearance. Copyright © 2007 John Wiley & Sons, Ltd. [source]


The Effect of Sleep Apnea on QT Interval, QT Dispersion, and Arrhythmias

CLINICAL CARDIOLOGY, Issue 6 2010
Kitti Barta MD
Background QT interval (QT) and QT dispersion (QTd) are electrocardiograph (ECG) parameters for the evaluation of myocardial repolarization. The inhomogeneity of ventricular repolarization is associated with ventricular arrhythmias. An increased QT, QTd, and increased incidence of nocturnal cardiac rhythm disturbances have been described in patients with obstructive sleep apnea (OSA), while other investigators did not find a relationship between ventricular arrhythmias and OSA. Hypothesis The aim of this study was to examine the occurrence of ventricular arrhythmias and to measure QT parameters in patients with untreated OSA using an ambulatory Holter-ECG. Methods A total of 25 patients with untreated OSA were studied. After routine biochemical investigation and 2-dimensional, M-mode echocardiography, a 24-hour Holter-ECG was recorded to detect cardiac arrhythmias and QT parameters. QT parameters were measured by the QT Guard system. Results Only the QT interval increased significantly during the nighttime period (nocturnal QT interval: 423.1 ± 34.6 ms, daytime QT interval: 381.6 ± 33.8 ms, 24-hour QT interval: 394.7 ± 31.1 ms). However, during the nighttime QT interval (422.8 ± 14.9 ms), QTd (31.2 ± 11.0 ms) and QT dispersion (30.5 ± 10.2 ms) did not show any change compared to 24-hour (QTc interval: 423.7 ± 14.2 ms, QTd: 28.8 ± 9.4 ms, QTcd: 30.5 ± 9.43 ms) and daytime levels (QTc interval: 423.9 ± 14.3 ms, QTd: 27.3 ± 10.7 ms, QTcd: 29.9 ± 11.1 ms). None of the patients had ventricular arrhythmias. Conclusions QTd and QTcd did not increase during the nighttime period. Our study did not show an increased risk of ventricular arrhythmias in this population during the monitoring period. Copyright © 2010 Wiley Periodicals, Inc. [source]


Designing Accurate Control Charts Based on the Geometric and Negative Binomial Distributions

QUALITY AND RELIABILITY ENGINEERING INTERNATIONAL, Issue 8 2005
Neil C. Schwertman
Abstract Attribute control charts are used effectively to monitor for process change. Their accuracy can be improved by judiciously selecting the sample size. The required sample sizes to achieve accuracy can be quite restrictive, especially when the nominal proportions of non-conforming units are quite small. The usual attribute control chart has a set sample size and the number of non-conforming units in the sample is plotted. If, instead of setting a specific sample size the number of non-conforming units is set, an alternative monitoring process is possible. Specifically, the cumulative count of conforming (CCC- r) control chart is a plot of the number of units that must be tested to find the rth non-conforming unit. These charts, based on the geometric and negative binomial distributions, are often suggested for monitoring very high quality processes. However, they can also be used very efficiently to monitor processes of lesser quality. This procedure has the potential to find process deterioration more quickly and efficiently. Xie et al. (Journal of Quality and Reliability Management 1999; 16(2):148,157) provided tables of control limits for CCC- r charts for but focused mainly on high-quality processes and the tables do not include any assessments of the risk of a false alarm or the reliability of detecting process change. In this paper, these tables are expanded for processes of lesser quality and include such assessments using the number of expected monitoring periods (average run lengths (ARLs)) to detect process change. Also included is an assessment of the risk of a false alarm, that is, a false indication of process deterioration. Such assessments were not included by Xie et al. but are essential for the quality engineer to make sound decisions. Furthermore, a hybrid of the control charts based on the binomial, geometric and negative binomial distributions is proposed to monitor for process change. Copyright © 2005 John Wiley & Sons, Ltd. [source]