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Terms modified by Attainable Selected AbstractsBenefits of moderate weight loss in patients with type 2 diabetesDIABETES OBESITY & METABOLISM, Issue 3 2010Ken Fujioka Weight loss is a primary goal of therapy in overweight patients with type 2 diabetes. This review examines whether positive patient outcomes are observed even after relatively small amounts of weight loss, that is, weight loss being more easily attainable in practice. Clinical studies demonstrate that therapeutic benefit rises with increasing weight loss, but that losses as low as 0.45,4 kg (1,9 lb) have positive effects on metabolic control, cardiovascular risk factors and mortality rates. Even the intention to lose weight, without significant success, can improve outcomes in patients with diabetes, presumably because of the healthy behaviours associated with the attempt. The current data support a continued focus on weight loss, including moderate weight loss, as a key component of good care for overweight patients with type 2 diabetes. [source] Effects of species' ecology on the accuracy of distribution modelsECOGRAPHY, Issue 1 2007Jana M. McPherson In the face of accelerating biodiversity loss and limited data, species distribution models , which statistically capture and predict species' occurrences based on environmental correlates , are increasingly used to inform conservation strategies. Additionally, distribution models and their fit provide insights on the broad-scale environmental niche of species. To investigate whether the performance of such models varies with species' ecological characteristics, we examined distribution models for 1329 bird species in southern and eastern Africa. The models were constructed at two spatial resolutions with both logistic and autologistic regression. Satellite-derived environmental indices served as predictors, and model accuracy was assessed with three metrics: sensitivity, specificity and the area under the curve (AUC) of receiver operating characteristics plots. We then determined the relationship between each measure of accuracy and ten ecological species characteristics using generalised linear models. Among the ecological traits tested, species' range size, migratory status, affinity for wetlands and endemism proved most influential on the performance of distribution models. The number of habitat types frequented (habitat tolerance), trophic rank, body mass, preferred habitat structure and association with sub-resolution habitats also showed some effect. In contrast, conservation status made no significant impact. These findings did not differ from one spatial resolution to the next. Our analyses thus provide conservation scientists and resource managers with a rule of thumb that helps distinguish, on the basis of ecological traits, between species whose occurrence is reliably or less reliably predicted by distribution models. Reasonably accurate distribution models should, however, be attainable for most species, because the influence ecological traits bore on model performance was only limited. These results suggest that none of the ecological traits tested provides an obvious correlate for environmental niche breadth or intra-specific niche differentiation. [source] Prior encounters modulate subsequent choices in host acceptance behavior by the bark beetle Ips piniENTOMOLOGIA EXPERIMENTALIS ET APPLICATA, Issue 3 2002Kimberly F. Wallin Abstract Laboratory bioassays indicate that the bark beetle Ips pini employs flexible, rather than absolute, responses to phytochemicals in its host acceptance behavior. Each beetle's decision to enter substrate was influenced by the types and concentrations of monoterpenes present. However, previous rejection of a simulated host containing a moderate concentration of monoterpenes increased the likelihood that the same concentration would be accepted upon a second or third encounter. This flexibility more than offsets any loss of vigor due to starvation and age that accompanies a process of trial and error. Starvation decreased beetles' total lipid content, but beetles can recover some energetic losses by a small amount of feeding during each trial. In addition to its adaptive value, a flexible host acceptance strategy may yield population level consequences. That is, bark beetles preferentially enter trees having low concentrations of monoterpenes, but may modify their acceptance thresholds when cues associated with stressed trees are not available. This could partially explain how some tree-killing bark beetles colonize a broader physiological range of trees during outbreaks. The adaptive value of relating individual decisions to population density may arise from two ecological relationships: first, as populations rise, the pool of stressed trees is rapidly depleted; secondly, healthy trees are attainable through pheromone , mediated mass attacks when adequate numbers of beetles are present. Flexible host acceptance behaviors may also reduce the advantage of relying exclusively on pre-landing cues to distinguish between susceptible and non-susceptible trees. [source] Quality of life in lung cancer patients: impact of baseline clinical profile and respiratory statusEUROPEAN JOURNAL OF CANCER CARE, Issue 3 2007A. MOHAN md, assistant professor As cure is attainable in very few cases of lung cancer, the imperative issue is to make quality of life (QOL) as good as possible as part of the palliative care package. The aim of this paper was to evaluate the baseline QOL of lung cancer patients and observe its association with various clinical parameters and overall respiratory status. A total of 101 patients were administered the European Organization for Research and Treatment of Cancer core quality of life (EORTC QLQ-C30, version 3) questionnaire. Clinical profile and measures of respiratory status, including spirometry, measures of dyspnoea, and 6-min walk test, were recorded. Higher Karnofsky Performance Status (KPS) significantly correlated with better global health status (P < 0.001) and healthy level of functioning (P < 0.001). The cumulative symptom burden was significantly associated with global QOL (P = 0.01) and physical, role and cognitive function scales (P < 0.05). All dyspnoea measures negatively correlated with global QOL and functioning scales. Spirometric indices showed a positive correlation with all functional scales (P < 0.05) except social. In conclusion, lung cancer patients have unsatisfactory QOL, with the global health status and physical functions being most affected. Number of symptoms, KPS, dyspnoea and spirometry significantly affect QOL. [source] A Radical Version of the Bromo- and the Iodocyclization of Bis(homoallylic) Alcohols , The Synthesis of Halogenated Tetrahydrofurans by Stereoselective Alkoxyl Radical Ring ClosuresEUROPEAN JOURNAL OF ORGANIC CHEMISTRY, Issue 20 2003Jens Hartung Abstract A new synthesis of bromo- and iodomethyl-substituted tetrahydrofurans has been devised. The sequence starts with the conversion of aryl-functionalized bis(homoallylic) alcohols 1 into N -alkenoxythiazole-2(3H)-thiones 6 or pyridine-2(1H)-thiones 7. When photolyzed in the presence of appropriate trapping reagents, thiones 6 and 7 efficiently liberated substituted 4-penten-1-oxyl radicals 2, which underwent synthetically useful 5- exo -trig cyclizations. Cyclized radicals 3 were trapped with BrCCl3 or an adequate iodine atom donor (either n -C4F9I or diethyl 2-iodo-2-methyl malonate) to provide halocyclization products 4 or 5. This strategy has been applied for the synthesis of 3-, 4-, or 5-phenyl-substituted 2-(1-bromo-1-methylethyl)tetrahydrofurans 4a,c (75,90%, 36,96% de), which were not attainable as major products from polar, for example NBS-mediated, bromocyclizations. Aryl-substituted 2-iodomethyl tetrahydrofurans 5 (46,80%) were prepared in a similar way starting from N -alkenoxypyridine-2(1H)-thiones 7 and a suitable iodine atom donor. Diastereomerically pure iodides cis - 5 and trans - 5 served as starting materials for a stereochemical analysis of disubstituted tetrahydrofurans by NMR spectroscopy and X-ray diffraction analysis. The results of this investigation clarified that all new alkoxyl radical cyclizations followed in terms of regio- and diastereoselectivity the general guidelines which had been established for this type of ring-closure reaction. (© Wiley-VCH Verlag GmbH & Co. KGaA, 69451 Weinheim, Germany, 2003) [source] Correlation Between Triplet,Triplet Annihilation and Electroluminescence Efficiency in Doped Fluorescent Organic Light-Emitting DevicesADVANCED FUNCTIONAL MATERIALS, Issue 8 2010Yichun Luo Abstract Triplet,triplet annihilation (TTA) is studied in a wide range of fluorescent host:guest emitter systems used in organic light-emitting devices (OLEDs). Strong TTA is observed in host:guest systems in which the dopant has a limited charge-trapping capability. On the other hand, systems in which the dopant can efficiently trap charges show insignificant TTA, an effect that is due, in part, to the efficient quenching of triplet excitons by the trapped charges. Fluorescent host:guest systems with the strongest TTA are found to give the highest OLED electroluminescence efficiency, a phenomenon attributed to the role of TTA in converting triplet excitons into additional singlet excitons, thus appreciably contributing to the light output of OLEDs. The results shed light on and give direct evidence for the phenomena behind the recently reported very high efficiencies attainable in fluorescent host:guest OLEDs with quantum efficiencies exceeding the classical 25% theoretical limit. [source] The relationship between fishing methods, fisheries management and the estimation of maximum sustainable yieldFISH AND FISHERIES, Issue 4 2002Mark N Maunder Abstract The allocation of effort among fishing gears is as important as controlling effort with respect to both sustainable yield and ecosystem management. Differences in age-specific vulnerability to the fishing method can modify the maximum sustainable yield (MSY) that is obtainable from a fish stock. Different gears or methods are more or less selective for the species targeted, and MSY is rarely, if ever, attainable simultaneously for all species. The different fishing methods capture different types of nontarget species. Some methods will often be more profitable than others, and different user groups will prefer different methods. In many fisheries, it is unlikely that fishing can be limited to a single gear or method, so compromises among them will be required. Global MSY is discussed as a possible reference point for fisheries management. The yellowfin tuna fishery in the eastern Pacific Ocean (EPO) shows all the above characteristics and is used to illustrate effort allocation among fishing methods. [source] Genetically Engineered Phage Fibers and Coatings for Antibacterial ApplicationsADVANCED FUNCTIONAL MATERIALS, Issue 2 2010Joan Y. Mao Abstract Multifunctionality can be imparted to protein-based fibers and coatings via either synthetic or biological approaches. Here, potent antimicrobial functionality of genetically engineered, phage-based fibers and fiber coatings, processed at room temperature, is demonstrated. Facile genetic engineering of the M13 virus (bacteriophage) genome leverages the well-known antibacterial properties of silver ions to kill bacteria. Predominant expression of negatively charged glutamic acid (E3) peptides on the pVIII major coat proteins of M13 bacteriophage enables solution-based, electrostatic binding of silver ions and subsequent reduction to metallic silver along the virus length. Antibacterial fibers of micrometer-scale diameters are constructed from such an E3-modified phage via wet-spinning and glutaraldehyde-crosslinking of the E3-modified viruses. Silverization of the free-standing fibers is confirmed via energy dispersive spectroscopy and inductively coupled plasma atomic emission spectroscopy, showing ,0.61,µg cm,1 of silver on E3,Ag fibers. This degree of silverization is threefold greater than that attainable for the unmodified M13,Ag fibers. Conferred bactericidal functionality is determined via live,dead staining and a modified disk-diffusion (Kirby,Bauer) measure of zone of inhibition (ZoI) against Staphylococcus epidermidis and Escherichia coli bacterial strains. Live,dead staining and ZoI distance measurements indicate increased bactericidal activity in the genetically engineered, silverized phage fibers. Coating of Kevlar fibers with silverized E3 phage exhibits antibacterial effects as well, with relatively smaller ZoIs attributable to the lower degree of silver loading attainable in these coatings. Such antimicrobial functionality is amenable to rapid incorporation within fiber-based textiles to reduce risks of infection, biofilm formation, or odor-based detection, with the potential to exploit the additional electronic and thermal conductivity of fully silverized phage fibers and coatings. [source] Estimating the Maximum Attainable Efficiency in Dye-Sensitized Solar CellsADVANCED FUNCTIONAL MATERIALS, Issue 1 2010Henry J. Snaith Abstract For an ideal solar cell, a maximum solar-to-electrical power conversion efficiency of just over 30% is achievable by harvesting UV to near IR photons up to 1.1,eV. Dye-sensitized solar cells (DSCs) are, however, not ideal. Here, the electrical and optical losses in the dye-sensitized system are reviewed, and the main losses in potential from the conversion of an absorbed photon at the optical bandgap of the sensitizer to the open-circuit voltage generated by the solar cell are specifically highlighted. In the first instance, the maximum power conversion efficiency attainable as a function of optical bandgap of the sensitizer and the "loss-in-potential" from the optical bandgap to the open-circuit voltage is estimated. For the best performing DSCs with current technology, the loss-in-potential is ,0.75,eV, which leads to a maximum power-conversion efficiency of 13.4% with an optical bandgap of 1.48,eV (840,nm absorption onset). Means by which the loss-in-potential could be reduced to 0.4,eV are discussed; a maximum efficiency of 20.25% with an optical bandgap of 1.31,eV (940,nm) is possible if this is achieved. [source] On removing the primary field from fixed-wing time-domain airborne electromagnetic data: some consequences for quantitative modelling, estimating bird position and detecting perfect conductorsGEOPHYSICAL PROSPECTING, Issue 4 2001Richard Smith In the process of removing the primary field from fixed-wing time-domain airborne EM data, the response is decomposed into two parts, which are referred to here as the time-domain ,in-phase' and ,quadrature' components. The time-domain in-phase component is dominated by the primary field, which varies significantly as the transmitter,receiver separation changes. The time-domain quadrature component comes solely from the secondary response associated with currents induced in the ground and this is the component that has traditionally been used in the interpretation of data from fixed-wing towed-bird time-domain EM systems. In the off-time, the quadrature response is very similar to the total secondary response. However, there are large differences in the on-time and even some small differences in the off-time.One consequence of these differences is that when airborne EM data are to be interpreted using a synthetic mathematical model, the synthetic data calculated should also be the quadrature component. A second consequence relates to the time-domain in-phase component which is sometimes used to estimate the receiver-sensor (bird) position. The bird-position estimation process assumes there is no secondary field in the in-phase component. If the ground is resistive, the secondary contained in the in-phase component is small, so the bird-position estimate is accurate to about 30 cm, but in highly conductive areas the secondary contribution can be large and the position estimate can be out by as much as 5 m. A third consequence arises for highly conductive bodies, the response of which is predominantly in-phase. This means that any response from these types of body is lost in the component that has been removed in the primary-field extraction procedure. However, if the bird position is measured very accurately, the actual free-space primary field can be estimated. If this is then subtracted from the estimated primary (actually free-space primary plus secondary in-phase response), then the residual is the secondary in-phase response of the ground. Using this methodology, very conductive ore bodies could be detected. However, a sensitivity analysis shows that detection of a large vertically dipping very conductive body at 150 m depth would require that the bird position be measured to an accuracy of about 1.4 cm and the aircraft attitude to within about 0.01°. Such tolerances are very stringent and not easily attainable with current technology. [source] The International Quotidian Hemodialysis Registry: Rationale and challengesHEMODIALYSIS INTERNATIONAL, Issue 2008Robert M. LINDSAY Abstract Outcomes from conventional thrice-weekly hemodialysis (CHD) are disappointing for a life-saving therapy. The results of the HEMO Study show that the recommended minimum dose (Kt/V) for adequacy is also the optimum attainable with CHD. Interest is therefore turning to alternative therapies exploring the effects of increased frequency and time of hemodialysis (HD) treatment. The National Institutes of Health have sponsored 2 randomized prospective trials comparing short hours daily in-center HD and long hours slow nightly home HD with CHD. An International Registry has also been created to capture observational data on patients receiving short hours daily in-center HD, long hours slow nightly home HD, and other alternative therapies. Participation by individual centers, other registries and the major dialysis chains is growing and currently data from nearly 3000 patients have been collected. Pitfalls in data collection have been identified and are being corrected. A matched cohort (patients in other registries) study is planned to obtain information regarding hard outcomes expected from these therapies. The Registry may become the most important source of information required by governments, providers, and the nephrological community in assessing the utility of such therapies. [source] Errors in technological systemsHUMAN FACTORS AND ERGONOMICS IN MANUFACTURING & SERVICE INDUSTRIES, Issue 4 2003R.B. Duffey Massive data and experience exist on the rates and causes of errors and accidents in modern industrial and technological society. We have examined the available human record, and have shown the existence of learning curves, and that there is an attainable and discernible minimum or asymptotic lower bound for error rates. The major common contributor is human error, including in the operation, design, manufacturing, procedures, training, maintenance, management, and safety methodologies adopted for technological systems. To analyze error and accident rates in many diverse industries and activities, we used a combined empirical and theoretical approach. We examine the national and international reported error, incident and fatal accident rates for multiple modern technologies, including shipping losses, industrial injuries, automobile fatalities, aircraft events and fatal crashes, chemical industry accidents, train derailments and accidents, medical errors, nuclear events, and mining accidents. We selected national and worldwide data sets for time spans of up to ,200 years, covering many millions of errors in diverse technologies. We developed and adopted a new approach using the accumulated experience; thus, we show that all the data follow universal learning curves. The vast amounts of data collected and analyzed exhibit trends consistent with the existence of a minimum error rate, and follow failure rate theory. There are potential and key practical impacts for the management of technological systems, the regulatory practices for complex technological processes, the assignment of liability and blame, the assessment of risk, and for the reporting and prediction of errors and accident rates. The results are of fundamental importance to society as we adopt, manage, and use modern technology. © 2003 Wiley Periodicals, Inc. Hum Factors Man 13: 279,291, 2003. [source] Precision Polymers: Monodisperse, Monomer-Sequence-Defined Segments to Target Future Demands of Polymers in MedicineADVANCED MATERIALS, Issue 32-33 2009L. Hartmann Abstract The established technology platforms of solid-phase-supported oligopeptide and oligonucleotide synthesis can be expanded to access fully synthetic macromolecules, preserving both the monodisperse character and the defined monomer sequence. Precision polymers are sequentially assembled from a library of functional building blocks, enabling one to program interaction capabilities or generate functions by sequence-specific positioning of functionalities. Examples are provided, showing that these monodisperse macromolecules can be conjugated to oligonucleotides, oligopeptides, or poly(ethylene glycol)s. The resulting model systems can contribute to the understanding of complex biomedical-related processes. Due to the absence of chemical and molecular-weight distributions in these multifunctional segments, exact correlation of the monomer sequence and (bio)properties is attainable. This is demonstrated by the design of carrier systems that exhibit fine-tuned interactions with plasmid DNA, actively controlling important steps in DNA delivery and transfection, such as polyplex formation, DNA compression, and release of the cargo. [source] SERS-Coded Gold Nanorods as a Multifunctional Platform for Densely Multiplexed Near-Infrared Imaging and Photothermal HeatingADVANCED MATERIALS, Issue 31 2009Geoffrey von Maltzahn Screening nanorods coated with a mixture of SERS active molecules and biocompatible polymer identifies three formulations that may be uniquely distinguished in vivo over a spectral bandwidth of only 6,nm in the near-infrared (a spectral multiplexing density over an order of magnitude greater than attainable with semiconductor quantum dots, organic fluorochromes, and Raleigh scattering nanoparticle imaging approaches), while providing intense photothermal heating for cancer therapy. [source] Experience in calibrating the double-hardening constitutive model MonotINTERNATIONAL JOURNAL FOR NUMERICAL AND ANALYTICAL METHODS IN GEOMECHANICS, Issue 13 2003M. A. Hicks The Monot double-hardening soil model has previously been implemented within a general purpose finite element algorithm, and used in the analysis of numerous practical problems. This paper reviews experience gained in calibrating Monot to laboratory data and demonstrates how the calibration process may be simplified without detriment to the range of behaviours modelled. It describes Monot's principal features, important governing equations and various calibration methods, including strategies for overconsolidated, cemented and cohesive soils. Based on a critical review of over 30 previous Monot calibrations, for sands and other geomaterials, trends in parameter values have been identified, enabling parameters to be categorized according to their relative importance. It is shown that, for most practical purposes, a maximum of only 5 parameters is needed; for the remaining parameters, standard default values are suggested. Hence, the advanced stress,strain modelling offered by Monot is attainable with a similar number of parameters as would be needed for some simpler, less versatile, models. Copyright © 2003 John Wiley & Sons, Ltd. [source] Cytotoxic action of phorbol esters on human pancreatic cancer cellsINTERNATIONAL JOURNAL OF CANCER, Issue 7 2007Jane A. Bond Abstract We previously showed that phorbol esters are cytotoxic to human thyroid epithelial cells expressing a mutant RAS oncogene. Here we explore the generality of this finding using cells derived from pancreatic cancer, which, like thyroid, shows a high frequency of RAS mutation, but is a much greater cause of cancer mortality. The response to phorbol myristate acetate (PMA) and related agents was assessed on a panel of 9 pancreatic cancer cell lines, using a range of assays for cell growth and death in vitro and in vivo. In most lines, PMA induced non-apoptotic cell death which was, surprisingly, independent of its "classic" target, protein kinase C. With 24 hr exposure, the IC50 in the most sensitive line (Aspc-1) was <1 ng/ml (1.6 nM), with survival undetectable at concentrations ,,16 nM, and after only 1 hr exposure the IC50 was still ,,16 nM. Interestingly, the efficacy of a second phorbol ester, phorbol dibutyrate, was much lower, and the PMA analogue bryostatin-1, which is in clinical trials against other tumour types, was totally inactive. Pre-treatment of Aspc-1 cells with PMA before subcutaneous inoculation into nude mice prevented, or greatly retarded, subsequent xenograft tumour growth. Furthermore, treatment of established tumours with a single peri-tumoral injection of PMA induced extensive cell death and arrested tumour development. Taken together with recent Phase 1 clinical studies, these data suggest that activity against pancreatic cancer will be attainable by systemic administration of PMA, and point to potential novel therapeutic targets for this highly aggressive cancer. © 2007 Wiley-Liss, Inc. [source] System study on natural gas-based polygeneration system of DME and electricityINTERNATIONAL JOURNAL OF ENERGY RESEARCH, Issue 8 2008Chen Bin Abstract An innovative system for the polygeneration of dimethyl ether (DME) and electricity was proposed in this paper. The system uses natural gas as the raw material. Polygeneration is sequential, with one-step and once-through DME synthesis. Syngas is made to react to synthesize DME first, and then the residual syngas is sent to the power generation unit as fuel. The exergy analysis from the view of cascade utilization was executed for individual generation and for polygeneration. The analysis results showed that both chemical energy and thermal energy in polygeneration were effectively utilized, and both chemical exergy destruction and thermal exergy destruction in polygeneration were decreased. The cause of the decrease in exergy destruction was revealed. The analysis showed that hydrogen-rich (natural gas-based) polygeneration was as desirable as carbon-rich (coal-based) polygeneration. The energy saving ratio of polygeneration was about 10.2%, which demonstrated that high efficiency natural gas-based polygeneration is attainable, and the cascade utilizations of both chemical energy and thermal energy are key contributors to the improvement of performance. Copyright © 2007 John Wiley & Sons, Ltd. [source] Safety is more than the antonym of riskJOURNAL OF APPLIED PHILOSOPHY, Issue 4 2006NIKLAS MÖLLER abstract Even though much research has been devoted to studies of safety, the concept of safety is in itself under-theorised, especially concerning its relation to epistemic uncertainty. In this paper we propose a conceptual analysis of safety. The paper explores the distinc-tion between absolute and relative safety, as well as that between objective and subjective safety. Four potential dimensions of safety are discussed, viz. harm, probability, epistemic uncertainty, and control. The first three of these are used in the proposed definition of safety, whereas it is argued that control should not be included in a reasonable definition of safety. It is shown that strictly speaking, an objective safety concept is not attainable. Instead, an intersubjective concept is proposed that brings us as close as possible to an objective concept. [source] Confidence and decision type under matched stimulus conditions: overconfidence in perceptual but not conceptual decisionsJOURNAL OF BEHAVIORAL DECISION MAKING, Issue 3 2008Sara Kvidera Abstract Within the domain of metacognition, there is disagreement whether different processes underlie evaluations of confidence in perceptual versus conceptual decisions. The relationship between confidence and accuracy for perceptual and conceptual decisions was compared using newly created stimuli that could be used to elicit either decision type. Based on theories of Brunswikian and Thurstonian uncertainties, significant underconfidence for perceptual decisions and overconfidence for conceptual decisions were predicted. Three within-subjects experiments did not support this hypothesis. Participants showed significant overconfidence for perceptual decisions and no overconfidence for conceptual decisions. In addition, significant hard-easy effects were consistently found for both decision types. Incorporating our findings with past results reveals that both over- and underconfidence are attainable on perceptual tasks. This conclusion, in addition to the common presence of hard-easy effects and significant across-task correlations in over/underconfidence, suggests that confidence judgments for the two decision types may depend on largely shared processes. Possible contributions to confidence and over/underconfidence are explored, focusing on response time factors and participants' knowledge bases. Copyright © 2007 John Wiley & Sons, Ltd. [source] Multi-coloring the Mycielskian of graphsJOURNAL OF GRAPH THEORY, Issue 4 2010Wensong Lin Abstract A k -fold coloring of a graph is a function that assigns to each vertex a set of k colors, so that the color sets assigned to adjacent vertices are disjoint. The kth chromatic number of a graph G, denoted by ,k(G), is the minimum total number of colors used in a k -fold coloring of G. Let µ(G) denote the Mycielskian of G. For any positive integer k, it holds that ,k(G) + 1,,k(µ(G)),,k(G) + k (W. Lin, Disc. Math., 308 (2008), 3565,3573). Although both bounds are attainable, it was proved in (Z. Pan, X. Zhu, Multiple coloring of cone graphs, manuscript, 2006) that if k,2 and ,k(G),3k,2, then the upper bound can be reduced by 1, i.e., ,k(µ(G)),,k(G) + k,1. We conjecture that for any n,3k,1, there is a graph G with ,k(G)=n and ,k(µ(G))=n+ k. This is equivalent to conjecturing that the equality ,k(µ(K(n, k)))=n+k holds for Kneser graphs K(n, k) with n,3k,1. We confirm this conjecture for k=2, 3, or when n is a multiple of k or n,3k2/ln k. Moreover, we determine the values of ,k(µ(C2q+1)) for 1,k,q. © 2009 Wiley Periodicals, Inc. J Graph Theory 63: 311,323, 2010 [source] Examining the technical efficiency of rice producers in BangladeshJOURNAL OF INTERNATIONAL DEVELOPMENT, Issue 1 2007Kelvin Balcombe Abstract Despite record national output in the early years of this decade there is widespread concern that rice yields in Bangladesh are below those attainable, and that given future population growth this may constrain achievement of food security and poverty reduction objectives. A frequent response to this problem is that farmers could close the gap between actual farm yields and potential yields identified in field trials if farmers who are technically inefficient could improve their current farming practices. This paper estimates and explains technical efficiency for a sample of rice farmers in Bangladesh employing Bayesian methods. The results provide insights into the distribution of technical efficiency and identify important influences on rice growing. Copyright © 2006 John Wiley & Sons, Ltd. [source] Accessible proteomics space and its implications for peak capacity for zero-, one- and two-dimensional separations coupled with FT-ICR and TOF mass spectrometryJOURNAL OF MASS SPECTROMETRY (INCORP BIOLOGICAL MASS SPECTROMETRY), Issue 3 2006Jennifer L. Frahm The number and wide dynamic range of components found in biological matrixes present several challenges for global proteomics. In this perspective, we will examine the potential of zero-dimensional (0D), one-dimensional (1D), and two-dimensional (2D) separations coupled with Fourier-transform ion cyclotron resonance (FT-ICR) and time-of-flight (TOF) mass spectrometry (MS) for the analysis of complex mixtures. We describe and further develop previous reports on the space occupied by peptides, to calculate the theoretical peak capacity available to each separations-mass spectrometry method examined. Briefly, the peak capacity attainable by each of the mass analyzers was determined from the mass resolving power (RP) and the m/z space occupied by peptides considered from the mass distribution of tryptic peptides from National Center for Biotechnology Information's (NCBI's) nonredundant database. Our results indicate that reverse-phase-nanoHPLC (RP-nHPLC) separation coupled with FT-ICR MS offers an order of magnitude improvement in peak capacity over RP-nHPLC separation coupled with TOF MS. The addition of an orthogonal separation method, strong cation exchange (SCX), for 2D LC-MS demonstrates an additional 10-fold improvement in peak capacity over 1D LC-MS methods. Peak capacity calculations for 0D LC, two different 1D RP-HPLC methods, and 2D LC (with various numbers of SCX fractions) for both RP-HPLC methods coupled to FT-ICR and TOF MS are examined in detail. Peak capacity production rates, which take into account the total analysis time, are also considered for each of the methods. Furthermore, the significance of the space occupied by peptides is discussed. Copyright © 2006 John Wiley & Sons, Ltd. [source] Dose escalation of radical radiation therapy in non-small-cell lung cancer using positron emission tomography/computed tomography-defined target volumes: Are class solutions obsolete?JOURNAL OF MEDICAL IMAGING AND RADIATION ONCOLOGY, Issue 2 2008S Everitt Summary This study investigated the maximum theoretical radiation dose that could safely be delivered to 20 patients diagnosed with non-small-cell lung cancer. Two three-dimensional conformal radiation therapy (RT) class-solution techniques (A and B) and an individualized three-dimensional conformal RT technique (C) were compared at the standard dose of 60 Gy (part I). Dose escalation was then attempted for each technique successfully at 60 Gy, constrained by predetermined limits for lung and spinal canal (part II). Part I and part II data were reanalysed to include oesophageal dose constraints (part III). In part I, 60 Gy was successfully planned using techniques A, B and C in 19 (95%), 18 (90%) and 20 (100%) patients, respectively. The mean escalated dose attainable for part II using techniques A, B and C were 76.4, 74 and 97.8 Gy, respectively (P < 0.0005). One (5%) patient was successfully planned for 120 Gy using techniques A and B, whereas four (20%) were successfully planned using technique C. Following the inclusion of additional constraints applied to the oesophagus in part III, the amount of escalated dose remained the same for all patients who were successfully planned at 60 Gy apart from two patients when technique C was applied. In conclusion, individualized three-dimensional conformal RT facilitated greater dose conformation and higher escalation of dose in most patients. With modern planning tools, simple class solutions are obsolete for conventional dose radical RT in non-small-cell lung cancer. Highly individualized conformal planning is essential for dose escalation. [source] High-pressure granulites: formation, recovery of peak conditions and implications for tectonicsJOURNAL OF METAMORPHIC GEOLOGY, Issue 1 2003P. J. O'Brien Abstract High-pressure granulites are characterised by the key associations garnet-clinopyroxene-plagioclase-quartz (in basic rocks) and kyanite-K-feldspar (metapelites and felsic rocks) and are typically orthopyroxene-free in both basic and felsic bulk compositions. In regional metamorphic areas, two essential varieties exist: a high- to ultrahigh-temperature group and a group representing overprinted eclogites. The high- to ultrahigh-temperature type formerly contained high-temperature ternary feldspar (now mesoperthite) coexisting with kyanite, is associated with garnet peridotites, and formed at conditions above 900 °C and 1.5 GPa. Clinopyroxene in subordinate basic rocks is Al-rich and textural evidence points to a high-pressure,high-temperature melting history. The second variety contains symplectite-like or poikilitic clinopyroxene-plagioclase intergrowths indicating former plagioclase-free, i.e. eclogite facies assemblages. This type of rock formed at conditions straddling the high-pressure amphibolite/high-pressure granulite field at around 700,850 °C, 1.0,1.4 GPa. Importantly, in the majority of high-pressure granulites, orthopyroxene is secondary and is a product of reactions at pressures lower than the peak recorded pressure. In contrast to low- and medium-pressure granulites, which form at conditions attainable in the mid to lower levels of normal continental crust, high-pressure granulites (of nonxenolith origin) mostly represent rocks formed as a result of short-lived tectonic events that led to crustal thickening or subduction of the crust into the mantle. Short times at high-temperature conditions are reflected in the preservation of prograde zoning in garnet and pyroxene. High-pressure granulites of both regional types, although rare, are known from both old and young metamorphic terranes (e.g. c. 45 Ma, Namche Barwa, E Himalaya; 400,340 Ma, European Variscides; 1.8 Ga Hengshan, China; 1.9 Ga, Snowbird, Saskatchewan and 2.5 Ga Jianping, China). This spread of ages supports proposals suggesting that thermal and tectonic processes in the lithosphere have not changed significantly since at least the end of the Archean. [source] Study of the conformational profile of the norbornane analogues of phenylalanineJOURNAL OF PEPTIDE SCIENCE, Issue 6 2002Arnau Cordomķ Abstract The conformational profile of the eight stereoisomeric 2-amino-3-phenylnorbornane-2-carboxylic acids (2-amino-3-phenylbicyclo[2.2.1]heptane-2-carboxylic acids) has been assessed by computational methods. These molecules constitute a series of four enantiomeric pairs that can be considered as rigid analogues of either L - or D -phenylalanine. The conformational space of their N -acetyl methylamide derivatives has been explored within the molecular mechanics framework, using the parm94 set of parameters of the AMBER force field. Local minimum energy conformations have been further investigated at the ab initio level by means of the Hartree-Fock and second order Moller-Plesset perturbation energy calculations using a 6,31G(d) basis set. The results of the present work suggest that the bulky norbornane structure induces two kinds of conformational constraints on the residues. On one hand, those of a steric nature directly imposed by the bicycle on the peptide backbone and, on the other hand, those that limit the orientations attainable by the phenyl ring which, in turn, reduces further the flexibility of the peptide backbone. A comparative analysis of the conformational profile of the phenylnorbornane amino acids with that of the norbornane amino acids devoid of the ,-phenyl substituent suggests that the norbornane system hampers the residue to adopt extended conformations in favour of C7-like structures. However, the bicycle itself does not impart a clear preference for any of the two possible C7 minima. It is the aromatic side chain, which is forced to adopt an almost eclipsed orientation, that breaks this symmetry introducing a marked preference for a single region of the (,, ,) conformational space in each of the phenylalanine norbornane analogues investigated. Copyright © 2002 European Peptide Society and John Wiley & Sons, Ltd. [source] Cultivation of flax in spoil-bank clay: Mycorrhizal inoculation vs. high organic amendmentsJOURNAL OF PLANT NUTRITION AND SOIL SCIENCE, Issue 6 2008David Püschel Abstract A greenhouse experiment was focused on the application of arbuscular mycorrhizal fungi (AMF) in effective crop production during reclamation of coal-mine spoil banks. The aim of the study was to find out whether mycorrhizal inoculation improves growth of flax (Linum usitatissimum L.) and whether it can compensate for high doses of expensive organic amendment. Flax was planted in original spoil-bank gray Miocene clay amended with organic matter used for spoil-bank reclamation (mixture of composted urban waste and lignocellulose papermill waste). This amendment was applied in four descending doses equivalent to the application of 500, 200, 100, and 0 t ha,1. The plants received either a mixed inoculum of three AMF species (Glomus mosseae, G. claroideum, and G. intraradices) or were left uninoculated. Growth of flax was significantly increased by mycorrhizal inoculation in pure clay (by 60%) as well as in clay with all amendment doses (by 119% on average). Also, the addition of organic matter increased plant growth but, interestingly, the biomass production was comparable regardless the dose of amendment. Our results suggest that similar yields are attainable with only one fifth of the usual fertilization dose, which can significantly decrease costs related to the reclamation of spoil banks. If mycorrhizal inoculation is applied together with the optimized fertilization, growth of flax planted in spoil-bank clay can be further improved. [source] Arborescent polymers and other dendrigraft polymers: A journey into structural diversityJOURNAL OF POLYMER SCIENCE (IN TWO SECTIONS), Issue 17 2007Mario Gauthier Abstract Arborescent polymers are characterized by a dendritic, multilevel branched architecture derived from successive grafting reactions. In spite of their much larger size, these materials display properties analogous to dendrimers and hyperbranched polymers, the two other dendritic polymer families. The distinguishing features of arborescent polymers are their assembly from polymeric building blocks of uniform size and their very high molecular weights attained in few synthetic steps. This article offers an overview of the historical aspects of the development of dendrigraft polymers, starting from our initial efforts on the synthesis of arborescent polystyrenes. Major subsequent developments in the synthetic techniques from our and other research groups allowing the synthesis of dendrigraft copolymers, tailoring of the structural characteristics of the molecules, and further simplifications to their synthesis are also reviewed, with emphasis over the broad range of architectures attainable in these systems. © 2007 Wiley Periodicals, Inc. J Polym Sci Part A: Polym Chem 44: 3803,3810, 2007 [source] Detectability enhancement of spectrophotometric detectors by the use of multidimensional gas chromatographyJOURNAL OF SEPARATION SCIENCE, JSS, Issue 18 2002Juan Carlos Medina Abstract Multidimensional gas chromatography (2D GC) is demonstrated as a way to improve limits of detectability of spectrophotometric detectors. UV and IR detectors are generally less sensitive than mass spectrometers or other GC detectors. This has placed some limitations on the useful capabilities provided by spectrophotometric detectors, such as the ability to provide structure-related information for a particular analyte. In this paper, we report results from interfacing a 2D GC instrument to a UV detector. Symmetry factor and the ratio of retention time divided by peak width did not show deterioration of the quality of chromatography when a megabore column was used with this detector. Furthermore, an increase in the limits of detectability over that attainable in a single-column system was realized by using the 2D GC system. However, the low flow (1 mL/min) imposed by the use of a microbore column (250 ,m ID) caused significant tailing when the UV detector was used. [source] Contemporaneous aggregation of GARCH processesJOURNAL OF TIME SERIES ANALYSIS, Issue 4 2007Paolo Zaffaroni Abstract., In this article, the effect of contemporaneous aggregation of heterogeneous generalized autoregressive conditionally heteroskedastic (GARCH) processes, as the cross-sectional size diverges to infinity is studied. We analyse both cases of cross-sectionally dependent and independent individual processes. The limit aggregate does not belong to the class of GARCH processes. Dynamic conditional heteroskedasticity is only preserved when the individual processes are sufficiently cross-correlated, although long memory for the limit aggregate volatility is not attainable. We also explore more general forms of cross-sectional dependence and various types of aggregation schemes. [source] Is sustainable development based on agriculture attainable in Kenya?LAND DEGRADATION AND DEVELOPMENT, Issue 5 2001A multidisciplinary case study of Murang'a district Abstract Kenya's development seems trapped in a vicious circle caused by soil erosion, declining soil fertility, land fragmentation, fluctuating agricultural production, widespread poverty, corruption, ethnic tension, rapid population, urban growth and a declining economy. The development challenge is to reverse the negative effects of these processes and promote sustainable development. This paper, based on multidisciplinary work discusses whether sustainable development based on agriculture is attainable in Murang'a district in Kenya's Central Highlands. Firstly, it investigates some biophysical aspects of sustainable agriculture such as land use across time, soil nutrient status and yield, cultivated crops and soil productivity by analysing aerial photographs and soil samples and conducting interviews. It suggests that the area has gone through major biophysical changes. Second, it relates the farmers' attitude to promotion of sustainable development as carried out by the National Soil and Water Conservation Programme. It suggests that farmers carry ideas of corruption, often following ethnic lines that hampers efficient implementation of the extension advise. Finally, it identifies links behind rural-urban migration by estimating households' probability of generating incomes outside the farm, typically in urban areas. Opportunistic farming, manifested by temporary reduction of farming on own land to satisfy immediate income needs, is very common among farmers. More needs to be done to promote agro-based, small-scale rural industries, improve agricultural management practices, facilitate appropriate credits, enhance marketing opportunities, ensure timely crop payments, and increase participation in decision making. It is important to realize that for farmers to embrace policies which promote agriculturely-based sustainable development the policies ought to biophysically possible, socio-politically acceptable and economically feasible. Copyright © 2001 John Wiley & Sons, Ltd. [source] |