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Reanalysis
Kinds of Reanalysis Terms modified by Reanalysis Selected AbstractsValidation and Clinical Utility of a Simple In-Home Testing Tool for Sleep-Disordered Breathing and Arrhythmias in Heart Failure: Results of the Sleep Events, Arrhythmias, and Respiratory Analysis in Congestive Heart Failure (SEARCH) StudyCONGESTIVE HEART FAILURE, Issue 5 2006William T. Abraham MD Fifty patients with New York Heart Association class III systolic heart failure were enrolled in this prospective multicenter study that compared the diagnostic accuracy of a home-based cardiorespiratory testing system with standard attended polysomnography. Patients underwent at least 2 nights of evaluation and were scored by blinded observers. At diagnostic cutoff points of ,5, ,10, and ,15 events per hour for respiratory disturbance severity, polysomnography demonstrated a sleep-disordered breathing prevalence of 69%, 59%, and 49%, respectively. Compared with polysomnography, the cardiorespiratory testing system demonstrated predictive accuracies of 73%, 73%, and 75%, which improved to 87%, 87%, and 83%, respectively, when analysis of covariance suggested reanalysis omitting one site's data. The system accurately identified both suspected and unsuspected arrhythmias. The device was judged by 80% of patients to be easy or very easy to use, and 74% of patients expressed a preference for the in-home system. Therefore, this system represents a reasonable home testing device in these patients. [source] Climate Variability in Regions of Amphibian DeclinesCONSERVATION BIOLOGY, Issue 4 2001Michael A. Alexander The reanalysis system merges observations from airplanes, land stations, satellites, ships, and weather balloons with output from a weather-forecast model to create global fields of atmospheric variables. Station data consisted of temperature and precipitation measured with thermometers and rain gauges at fixed locations. Temperatures were near normal in Colorado when the amphibian declines occurred in the 1970s, whereas in Central America temperatures were warmer than normal, especially during the dry season. The station data from Puerto Rico and Australia indicated that temperatures were above normal during the period of amphibian declines, but reanalysis did not show such a clear temperature signal. Although declines occurred while the temperature and precipitation anomalies in some of the regions were large and of extended duration, the anomalies were not beyond the range of normal variability. Thus, unusual climate, as measured by regional estimates of temperature and precipitation, is unlikely to be the direct cause of amphibian declines, but it may have indirectly contributed to them. Previous researchers have noted that the declines appear to have propagated from northwest to southeast from Costa Rica to Panama and from southeast to northwest in Queensland, Australia. Wind has the potential to transport pathogens that cause amphibian mortality. The mean direction of the near-surface winds tended to parallel the path of amphibian declines from July,October in Central America and from May,July in Australia. The wind direction was highly variable, however, and the propagation rate of amphibian declines was much slower than the mean wind speed. In addition, the most likely pathogen is a chytrid fungus that does not produce desiccation-resistant spores. Thus, if wind is involved in the propagation of amphibian declines, it is through a complex set of processes. Resumen: Exploramos la relación entre las declinaciones de anfibios y las variaciones climáticas en Colorado, E.U.A., Puerto Rico, Costa Rica/Panamá y Queensland, Australia por medio de dos fuentes de información: resultados "sistema de reanálisis" del Centro Nacional de Predicción Ambiental y datos de estaciones área-promedio. El sistema de reanálisis combina observaciones de aeroplanos, estaciones terrestres, satélites, barcos y globos climatológicos, con resultados de un modelo de predicción climatológica para crear campos globales de variables atmosféricas. Los datos de estaciones fueron de temperatura y precipitación medidos con termómetros y pluviómetros en localidades fijas. Las temperaturas fueron casi normales en Colorado cuando ocurrieron las declinaciones en la década de 1970, mientras que las temperaturas en Centro América fueron mayores a lo normal, especialmente durante la época de sequía. Los datos de estaciones en Puerto Rico y Australia indicaron que la temperatura fue mayor a la normal durante el período de declinación de anfibios, pero un nuevo análisis no mostró una seńal de temperatura tan clara. Aunque las declinaciones ocurrieron mientras las anomalías de temperatura y precipitación fueron grandes y de duración prolongada en algunas de las regiones, las anomalías no rebasaron el rango de variabilidad normal. Por lo tanto, es poco probable que el clima inusual, medido por estimaciones regionales de temperatura y precipitación, sea la causa directa de las declinaciones de anfibios, pero pudo haber contribuido indirectamente a ellas. Investigaciones previas notan que las declinaciones parecen haberse propagado de noroeste a sureste de Costa Rica a Panamá y de sureste a noreste en Queensland, Australia. El viento tiene el potencial de transportar patógenos que causan mortalidad de anfibios. La dirección promedio de los vientos superficiales tendió a ser paralela al camino de las declinaciones de anfibios de julio a octubre en Centro América y de mayo a julio en Australia. Sin embargo, la dirección del viento fue altamente variable y la tasa de propagación de declinaciones de anfibios fue mucho más lenta que la velocidad promedio del viento. Adicionalmente, el patógeno más probable es un hongo quítrido que no produce esporas resistentes a la desecación. Por tanto, si el viento está implicado en la propagación de declinaciones de anfibios, lo es por medio de un complejo conjunto de procesos. [source] Population Variability and Extinction RiskCONSERVATION BIOLOGY, Issue 6 2000John A. Vucetich We resolve this conflict by attributing negative measured relationships to a statistical artifact that arises because PV tends to be underestimated for populations with short persistence. Such populations do not go extinct quickly as a consequence of low intrinsic variability; instead, the measured variability is low because they go extinct so quickly. Consequently, any underlying positive relationship between PV and ER tends to be obscured. We conducted a series of analyses to evaluate this claim. Simulations showed that negative measured relationships are to be expected, despite an underlying positive relationship. Simulations also identified properties of data, minimizing this bias and thereby permitting meaningful analysis. Experimental data on laboratory populations of a bruchid beetle (Callosobruchus maculatus) supported the simulation results. Likewise, with an appropriate statistical approach (Cox regression on untransformed data), reanalysis of a controversial data set on British island bird populations revealed a significant positive association between PV and ER (p = 0.03). Finally, a similar analysis of time series for naturally regulated animal populations revealed a positive association between PV and quasiextinction risk (p < 0.01). Without exception, our simulation results, experimental findings, reanalysis of published data, and analysis of quasiextinction risk all contradict previous reports of negative or equivocal relationships. Valid analysis of meaningful data provides strong evidence that increased population variability leads to increased extinction risk. Resumen: Los modelos poblacionales generalmente predicen un mayor riesgo de extinción (ER) al aumentar la variabilidad poblacional ( PV ,), a pesar de ello, algunas pruebas empíricas han proporcionado resultados contradictorios. Nosotros hemos resuelto este conflicto mediante la atribución de mediciones de relaciones negativas a un producto estadístico que surge debido a que la PV tiende a ser subestimada para poblaciones de persistencia corta. Estas poblaciones no se extinguen rápidamente como resultado de una variabilidad intrínseca baja; por lo contrario, la variabilidad medida es baja debido a que las poblaciones se extinguen tan rápidamente. Consecuentemente, cualquier relación positiva subyacente entre la PV y el ER tienden a ser opacadas. Llevamos a cabo una serie de análisis para evaluar este argumento. Las simulaciones mostraron que las relaciones negativas medidas son de esperarse, a pesar de una relación positiva subyacente. Las simulaciones también identificaron propiedades de los datos que minimizan este sesgo y por lo tanto permiten un análisis significativo. Los datos experimentales en poblaciones de laboratorio de un coleóptero bruchidae (Callosobruchus maculatus) respaldan los resultados de las simulaciones. De la misma manera, el uso de una técnica estadística adecuada (por ejemplo, la regresión Cox en datos sin transformar), usada en la repetición del análisis de un juego de datos controvertidos de poblaciones de aves de la Isla Británica reveló una asociación positiva significativa entre la PV y el ER (p = 0.03). Finalmente, un análisis similar de series de tiempo para poblaciones de animales reguladas de manera natural revelaron una asociación positiva entre la PV y el riesgo de cuasi-extinción (p < 0.01). Sin excepciones, nuestros resultados de simulaciones, los resultados experimentales, la repetición del análisis de datos publicados, y el análisis de riesgo de cuasi-extinción contradicen informes previos de relaciones negativas o equívocas. Los análisis válidos de datos significativos proveen una evidencia sólida de que los incrementos en la variabilidad poblacional conducen a un incremento en el riego de extinción. [source] Body size changes in ground beetle assemblages , a reanalysis of Braun et al. (2004)'s dataECOLOGICAL ENTOMOLOGY, Issue 5 2006GÁBOR L. LÖVEI Abstract 1.,Data in Braun et al.'s (2004) recent paper on size trends in ground beetles (Carabidae) are re-analysed, after re-classifying the species according to feeding categories. 2.,When ground beetles are classified as predatory species, mixed feeders or herbivores, and evaluated separately, the size trends indicate group-specific differences. Most of these do not support the efficiency-specialisation hypothesis. 3.,Taxonomic groups rarely fit into one ecological category and ecological analyses should explicitly consider this hurdle. [source] Refining the results of a whole-genome screen based on 4666 microsatellite markers for defining predisposition factors for multiple sclerosisELECTROPHORESIS, Issue 14 2004René Gödde Abstract Multiple sclerosis (MS) is a demyelinating disease of the central nervous system with a complex genetic background. In order to identify loci associated with the disease, we had performed a genome screen initially using 6000 microsatellite markers in pooled DNA samples of 198 MS patients and 198 controls. Here, we report on the detailed reanalysis of this set of data. Distinctive features of microsatellites genotyped in pooled DNA causing false-positive association or masking existing association were met by improved evaluation and refined correction factors in the statistical analyses. In order to assess potential errors introduced by DNA pooling and genotyping, we resurveyed the experiment in a subset of microsatellite markers using de novo -composed DNA pools. True MS associations of markers were verified via genotyping all individual DNA samples comprised in the pools. Microsatellites share characteristically superb information content but they do not lend themselves to automation in very large scale formats. Especially after DNA pooling many artifacts of individual marker systems require special attention and treatment. Therefore, in the near future comprehensive whole-genome screens may rather be performed by typing single nucleotide polymorphisms on chip-based platforms. [source] Simple statistical structure in time series for daily air flow characteristicsENVIRONMETRICS, Issue 1 2008Piia Post Abstract The structure function is used for quantifying of non-stationarity in time series for certain daily air flow characteristics (DAFC). The National Center for Environmental Prediction/National Center for Atmospheric Research (NCEP/NCAR) reanalysis 30 year (1968,97) dataset given over 5°,×,10° latitude longitude grid is used to calculate the DAFC series for the Baltic Sea region. The quantification on the basis of the Hurst exponent H enables us to discriminate between the strong synoptic scale non-stationarity and a mild large-scale one. Presented examples show that the change of H is accompanied by a change of the distribution for the series' increments. Long-range increments for various DAFC appear to be approximately normally distributed with approximately constant variance independent of the increment length over a remarkably wide range. The property might be useful in describing a long-range variability of the air flow characteristics. Copyright © 2007 John Wiley & Sons, Ltd. [source] EEG Characteristics Related to Educational Impairments in Children with Benign Childhood Epilepsy with Centrotemporal SpikesEPILEPSIA, Issue 11 2007Joost Nicolai Summary Purpose: Learning and behavioral difficulties often occur in benign childhood epilepsy with centrotemporal spikes (BCECTS). In recent years, several electroencephalogram (EEG) characteristics have been related to the occurrence of learning and behavioral problems. Methods: From 28 children medical, school and psychological reports were present and children were rated according to a 4-point scale for educational and behavioral impairment (Part 1). Thirty 24-h EEG recordings were reanalyzed for spike frequency, the presence of atypical EEG criteria, and the presence of a nondipole spike. EEGs were scored during wakefulness, first hour of sleep and whole night sleep (minus the first hour of sleep) separately (Part 2). Results: The presence of I: an intermittent slow-wave focus during wakefulness, II: a high number of spikes in the first hour of sleep (and during whole night sleep), and III: multiple asynchronous bilateral spike-wave foci in the first hour of sleep correlates significantly with a sum score , 3 which indicates a complicated course with educational or behavioral impairment. It is sufficient to analyze an EEG during wakefulness and a sleep EEG for only the first hour of sleep instead of a whole night recording to demonstrate those EEG criteria. Conclusions: On basis of our reanalysis we can possibly conclude that the aforementioned EEG characteristics correlate with educational impairments, and that analysing an EEG recording during wake and the first hour of sleep is sufficient to look adequately for those EEG criteria in children with BCECTS. [source] MATE CHOICE AND HUMAN STATURE: HOMOGAMY AS A UNIFIED FRAMEWORK FOR UNDERSTANDING MATING PREFERENCESEVOLUTION, Issue 8 2010Alexandre Courtiol Assortative mating for human height has long attracted interest in evolutionary biology, and the phenomenon has been demonstrated in numerous human populations. It is often argued that mating preferences generate this pattern, but other processes can also induce trait correlations between mates. Here, we present a methodology tailored to quantify continuous preferences based on choice experiments between pairs of stimuli. In particular, it is possible to explore determinants of interindividual variations in preferences, such as the height of the chooser. We collected data from a sample of 200 individuals from France. Measurements obtained show that the perception of attractiveness depends on both the height of the stimuli and the stature of the individual who judged them. Therefore, this study demonstrates that homogamy is present at the level of preferences for both sexes. We also show that measurements of the function describing this homogamy are concordant with several distinct mating rules proposed in the literature. In addition, the quantitative approach introduced here fulfills metrics that can be used to compare groups of individuals. In particular, our results reveal an important disagreement between sexes regarding height preferences in the context of mutual mate choice. Finally, both women and men prefer individuals who are significantly taller than average. All major findings are confirmed by a reanalysis of previously published data. [source] A REAPPRAISAL OF BATEMAN'S CLASSIC STUDY OF INTRASEXUAL SELECTIONEVOLUTION, Issue 11 2007Brian F. Snyder Bateman's (1948) study showing greater variances in number of mates and reproductive success in male than female Drosophila melanogaster is a foundational paper in sexual selection. Here we show for the first time that his methods had flaws, including the elimination of genetic variance, sampling biases, miscalculations of fitness variances, statistical pseudo-replication, and selective presentation of data. We conclude that Bateman's results are unreliable, his conclusions are questionable, and his observed variances are similar to those expected under random mating. Despite our analysis, we do not intend this article as a criticism of Bateman; he accomplished his work without modern computational tools, and his approach was groundbreaking emphasizing the significance of fitness variance for sexual selection. However, this reanalysis has implications for what counts as evidence for sexual selection and we believe that our concerns should be of interest to contemporary students of sexual selection. We call for repetitions of Bateman's study using modern statistical and molecular methods. [source] COLONY SEX RATIOS IN THE FACULTATIVELY POLYGYNOUS ANT PHEIDOLE PALLIDULA: A REANALYSIS WITH NEW DATAEVOLUTION, Issue 5 2004Ken R. Helms Abstract A recent study by Fournier et al. (2003) provides important new information on sex allocation in the ant Pheidole pallidula, and proposes a new scenario for sex-ratio evolution in P. pallidula and similar species. However, Helms proposed to the authors that two important conclusions of the study were questionable because of potential problems with the analyses. Here we provide new data and a reanalysis that strengthens the conclusion that colony sex ratio is associated with breeding system (i.e., polygyny or monogyny). However, the proposal that colonies shift from monogyny to polygyny when they become larger and more productive is weakened because there is substantial overlap in productivity between monogynous and polygynous colonies. [source] The CRHR1 gene: a marker for suicidality in depressed males exposed to low stressGENES, BRAIN AND BEHAVIOR, Issue 1 2008D. Wasserman The risk of suicide, which causes about 1 million deaths each year, is considered to augment as the levels of stress increases. Dysregulation in the stress response of the hypothalamic-pituitary-adrenocortical (HPA) axis, involving the corticotrophin-releasing hormone (CRH) and its main receptor (CRHR1), is associated with depression, frequent among suicidal males. Here we have analyzed single nucleotide polymorphisms (SNPs) in these genes, in family trios with suicide attempter offspring (n = 542), by using the transmission disequilibrium test both in a two-staged screening/replication sample design and in detailed reanalysis in the entire sample. Stratification based on the levels of lifetime stress showed reproducible association and linkage of an SNP in the CRHR1 gene (rs4792887) to suicide attempters exposed to low levels of stress (P = 0.002), among whom most males were depressed (P = 0.001). The identified allele may represent a part of the genetic susceptibility for suicidality by increasing HPA axis activity upon exposure to low levels of stress. [source] Assessment of SNP streak statistics using gene drop simulation with linkage disequilibriumGENETIC EPIDEMIOLOGY, Issue 2 2010Alun ThomasArticle first published online: 6 JUL 200 Abstract We describe methods and programs for simulating the genotypes of individuals in a pedigree at large numbers of linked loci when the alleles of the founders are under linkage disequilibrium. Both simulation and estimation of linkage disequilibrium models are shown to be feasible on a genome wide scale. The methods are applied to evaluate the statistical significance of streaks of loci at which sets of related individuals share a common allele. The effects of properly allowing for linkage disequilibrium are shown to be important as they explain many of the large observations. This is illustrated by reanalysis of a previously reported linkage of prostate cancer to chromosome 1p23. Genet. Epidemiol. 34: 119,124, 2010. © 2009 Wiley-Liss, Inc. [source] Sensitivity of organic matter decomposition to warming varies with its qualityGLOBAL CHANGE BIOLOGY, Issue 4 2008RICHARD T. CONANT Abstract The relationship between organic matter (OM) lability and temperature sensitivity is disputed, with recent observations suggesting that responses of relatively more resistant OM to increased temperature could be greater than, equivalent to, or less than responses of relatively more labile OM. This lack of clear understanding limits the ability to forecast carbon (C) cycle responses to temperature changes. Here, we derive a novel approach (denoted Q10,q) that accounts for changes in OM quality during decomposition and use it to analyze data from three independent sources. Results from new laboratory soil incubations (labile Q10,q=2.1 ± 0.2; more resistant Q10,q=3.8 ± 0.3) and reanalysis of data from other soil incubations reported in the literature (labile Q10,q=2.3; more resistant Q10,q=3.3) demonstrate that temperature sensitivity of soil OM decomposition increases with decreasing soil OM lability. Analysis of data from a cross-site, field litter bag decomposition study (labile Q10,q=3.3 ± 0.2; resistant Q10,q=4.9 ± 0.2) shows that litter OM follows the same pattern, with greater temperature sensitivity for more resistant litter OM. Furthermore, the initial response of cultivated soils, presumably containing less labile soil OM (Q10,q=2.4 ± 0.3) was greater than that for undisturbed grassland soils (Q10,q=1.7 ± 0.1). Soil C losses estimated using this approach will differ from previous estimates as a function of the magnitude of the temperature increase and the proportion of whole soil OM comprised of compounds sensitive to temperature over that temperature range. It is likely that increased temperature has already prompted release of significant amounts of C to the atmosphere as CO2. Our results indicate that future losses of litter and soil C may be even greater than previously supposed. [source] Development and Construct Validation of the Pharmacists' Care of Migraineurs ScaleHEADACHE, Issue 1 2009Monica L. Skomo PharmD Objectives., To develop the pharmacists' care of migraineurs scale (PCMS) and to evaluate its psychometric properties. Background., Migraine is often managed suboptimally in primary care. Migraineurs frequently come into contact with community pharmacists, who have the opportunity to make a positive impact on migraineur treatment outcomes. A valid and reliable tool that measures and documents the care provided by pharmacists to migraineurs is critical to the development and evaluation of educational programs and interventions. Methods., Relevant domains of pharmacist care and their respective composite items (behaviors) were identified through an extensive literature search and the use of 2 pharmacist and 2 migraineur focus groups sessions. The resultant 45 PCMS items composed a survey questionnaire mailed to a nationwide random sample of 6000 pharmacists. Data were subjected to an exploratory principal axis factoring procedure to discern the factor structure, and as such describe the latent domains composing the pharmacist caring behaviors constructs. Results., A total of 580 usable responses were returned, with an additional 60 returned as undeliverable, thus yielding a response rate of 9.7%. Exploratory factor analysis using principal axis factoring yielded 9 factors. However, upon examining the scree plot, communalities, and factor loadings, a reanalysis forcing a 7-factor solution yielded a more interpretable and plausible factor structure. The 7-factor solution included the following domains: (1) empathy; (2) prospective drug utilization review for newly diagnosed migraineurs; (3) medication counseling; (4) nonpharmacologic treatment plan; (5) headache sufferer triage; (6) dissemination of public health information; (7) maintenance of knowledge on migraine. Following the application of scale purification procedures, the final instrument is composed of 41 items and demonstrated a Cronbach's alpha reliability of 0.947. Cronbach's alpha reliabilities for the 7 domains ranged from 0.67 to 0.91, indicative of good to excellent internal consistency reliabilities for all the domains. Conclusions., The PCMS demonstrated very good construct validity and reliability. While additional validity testing is warranted, the PCMS should allow for benchmarking in the evaluation of interventions designed to improve pharmacists' care to migraineurs and for identifying correlates to effective community pharmacist migraineur care. [source] An fMRI study of canonical and noncanonical word order in GermanHUMAN BRAIN MAPPING, Issue 10 2007Jörg Bahlmann Abstract Understanding a complex sentence requires the processing of information at different (e.g., phonological, semantic, and syntactic) levels, the intermediate storage of this information and the unification of this information to compute the meaning of the sentence information. The present investigation homed in on two aspects of sentence processing: working memory and reanalysis. Event-related functional MRI was used in 12 healthy native speakers of German, while they read sentences. Half of the sentences had unambiguous initial noun-phrases (masculine nominative, masculine accusative) and thus signaled subject-first (canonical) or object-first (noncanonical) sentences. Noncanonical unambiguous sentences were supposed to entail greater demand on working memory, because of their more complex syntactic structure. The other half of the sentences had case-ambiguous initial noun-phrases (feminine gender). Only the second unambiguous noun-phrase (eighth position in the sentences) revealed, whether a canonical or noncanonical word order was present. Based on previous data it was hypothesized that ambiguous noncanonical sentences required a recomputation of the sentence, as subjects would initially commit to a subject first reading. In the respective contrasts two main areas of brain activation were observed. Unambiguous noncanonical sentences elicited more activation in left inferior frontal cortex relative unambiguous canonical sentences. This was interpreted in conjunction with the greater demands on working memory in the former condition. For noncanonical ambiguous relative to canonical ambiguous sentences, an activation of the left supramarginal gyrus was revealed, which was interpreted as a reflection of the reanalysis-requirements induced by this condition. Hum Brain Mapp, 2007. © 2007 Wiley-Liss, Inc. [source] The Prevalence of Lying in America: Three Studies of Self-Reported LiesHUMAN COMMUNICATION RESEARCH, Issue 1 2010Kim B. Serota This study addresses the frequency and the distribution of reported lying in the adult population. A national survey asked 1,000 U.S. adults to report the number of lies told in a 24-hour period. Sixty percent of subjects report telling no lies at all, and almost half of all lies are told by only 5% of subjects; thus, prevalence varies widely and most reported lies are told by a few prolific liars. The pattern is replicated in a reanalysis of previously published research and with a student sample. Substantial individual differences in lying behavior have implications for the generality of truth,lie base rates in deception detection experiments. Explanations concerning the nature of lying and methods for detecting lies need to account for this variation. L'importance du mensonge aux États-Unis : trois études de mensonges auto-déclarés Kim B. Serota, Timothy R. Levine, Franklin J. Boster Cette étude aborde la fréquence et la distribution des mensonges déclarés par la population adulte. Un sondage national a demandéŕ 1 000 adultes américains de déclarer le nombre de mensonges racontés dans une période de 24 heures. 60 % des sujets ont rapporté ne pas avoir dit de mensonge du tout et prčs de la moitié de ces mensonges sont racontés par 5 % des sujets. L'importance des mensonges varie donc largement et la plupart des mensonges déclarés sont formulés par un petit nombre de menteurs prolifiques. Cette tendance se retrouve également dans une nouvelle analyse de recherches déjŕ publiées et dans l'échantillon étudiant. Des différences individuelles importantes dans les comportements mensongers ont également des conséquences pour la généralité d'un taux de référence vérité,mensonge dans les expériences de détection de la tromperie. Les explications concernant la nature du mensonge et les méthodes de détection de mensonges doivent prendre en compte cette variation. Mots clés : tromperie, mensonge, différences individuelles The Prevalence of Lying in America: Three Studies of Self-Reported Lies Research Question: This study addresses the frequency and the distribution of reported lying in the adult population. Significance: In the deception literature, consensus is that most people lie on a daily basis. Yet this view is founded on very little empirical evidence. This research tests the question of lying prevalence. Method: Survey research techniques and descriptive analysis are used to establish base rates and frequency distributions for reported lying behavior. Data source: A national survey asked 1,000 U.S. adults to report the number of lies told in a 24 hour period. Cross-validation is provided by re-analysis of previously reported diary and experimental data and by replication using a sample of 225 students. Findings: The oft-repeated average (arithmetic mean) of one to two lies per day is replicated but the study finds the distribution is highly skewed. On a typical day, 60% of subjects report telling no lies at all, and almost half or all lies are told by only 5% of subjects; thus, prevalence varies widely and most reported lies are told by a few prolific liars. The pattern is replicated in the re-analysis of previously published research and with the student sample. Implications: The findings of a highly skewed distribution render the average number of lies per day misleading. Substantial individual differences in lying behavior also have implications for the generality of truth-lie base-rates in deception detection experiments. Explanations concerning the nature of lying and methods for detecting lies need to account for this variation. Keywords: deception, lies, lying, communication, individual differences Die Prävalenz von Lügen in Amerika. Drei Studien zu selbstberichteten Lügen Forschungsfrage: Diese Studie untersucht die Häufigkeit und Verteilung von Lügen in der erwachsenen Bevölkerung. Zentralität: In der Literatur zu Täuschung besteht Konsens darüber, dass Menschen täglich Lügen. Allerdings basiert diese Feststellung auf wenigen empirischen Daten. Diese Untersuchung testet die Frage nach der Prävalenz von Lügen. Methode: Umfrage und beschreibende Analyse wurden angewandt, um eine Basisrate und Häufigkeitsdistribution für selbstberichtetes Lügenverhalten zu gewinnen. Datenquelle: In einer nationalen Umfrage wurden 1.000 US-amerikanische Erwachsene zur Zahl der Lügen befragt, die sie in 24 Stunden erzählten. Validiert wurden diese Aussagen durch eine erneute Analyse von bereits dokumentierten Tagebuchdaten und Experimentaldaten und durch die Replikation mit einer Stichprobe von 225 Studierenden. Ergebnisse: Der oft wiederholte Durchschnitt (arithmetische Mittel) von ein bis zwei Lügen pro Tag wurde in der Studie repliziert, allerdings zeigte sich auch, dass diese Verteilung schief ist. 60% der Befragten gaben an, an einem typischen Tag keine Lügen zu erzählen, fast die Hälfte aller Lügen wird von nur 5% der Befragten erzählt; die Prävalenz variiert stark und die meisten der berichteten Lügen werden durch wenige produktive Lügner erzählt. Dieses Muster wurde bei einer erneuten Analyse von vorher publizierten Daten und in der Studentenstichprobe repliziert. Implikationen: Die Ergebnisse dieser stark schiefen Verteilung zeigen, dass die durchschnittliche Zahl von Lügen pro Tag irreführend ist. Substantielle individuelle Unterschiede im Lügenverhalten haben Implikationen für die Verallgemeinerbarkeit von Wahrheit-Lüge-Basisraten in Täuschungserfassungs-Experimenten. Erklärungen zur Natur von Lügen und Methoden zur Erfassung von Lügen müssen diese Variation bedenken. Schlüsselworte: Täuschung, Lüge, Lügen, Kommunikation, individuelle Unterschiede La Prevalencia de la Mentira en América: Tres Estudios de Auto-reportes de Mentiras Kim B. Serota, Timothy R. Levine, Franklin J. Boster Michigan State University The authors thank Deborah Kashy Resumen Este estudio trata sobre la frecuencia y la distribución de los reportes de las mentiras de la población adulta. Una encuesta nacional preguntó a 1,000 adultos Estadounidenses que reporten el número de mentiras contadas en un período de 24-horas. 60% de los sujetos reportaron que no dicen mentiras para nada, y casi la mitad son contadas por solo un 5% de los sujetos; así, la prevalencia varía enormemente y muchos reportaron que las mentiras son contadas por pocos mentirosos prolíficos. La pauta es replicada en el re-análisis de investigación previamente publicada y con una muestra de estudiantes. Las diferencias individuales sustanciales en el comportamiento mentiroso tienen implicaciones también para la generalidad del índice basado en la verdad-mentira en los experimentos de detección de decepción. Las explicaciones concernientes a la naturaleza de la mentira y los métodos de detección de mentiras necesitan responder a esta variación. Palabras Claves: decepción, mentiras, mentir, comunicación, diferencias individuales [source] An alternative approach to conceptualizing interviews in HRD researchHUMAN RESOURCE DEVELOPMENT QUARTERLY, Issue 2 2007Jia Wang Qualitative researchers in human resource development (HRD) frequently use in-depth interviews as a research method. Yet reports from qualitative studies in HRD commonly pay little or no analytical attention to the co-construction of interview data. That is, reports of qualitative research projects often treat interviews as a transparent method of data collection, with the contents of answers to interview questions as data that mirror people's views and experiences of a "world out there." In this article, we demonstrate how an ethnomethodological approach to the reanalysis of interview data drawn from a qualitative study in HRD treats the research interview as a socially situated setting in which narrative data are co-constructed by speakers. From this perspective, it is possible to see how speakers produce unstable category descriptions and morally laden portrayals in order to support their claims. We argue that this type of analysis is useful for three reasons: (1) it provides a way to investigate instances in which interview accounts may prove analytically problematic; (2) it makes evident how interview data are produced by illuminating the conversational resources used by both researcher and participant to co-construct descriptions; and (3) it provides a new analytical approach for HRD researchers, who have until now relied primarily on thematic representations of findings derived from inductive analyses of interview data. By using this approach to analyze or reanalyze interview data, researchers may gain further insight into the research topic and the interaction that produced the interview data in a particular socially situated setting. This approach reveals the practical reasoning, identities, and moral assumptions demonstrated in talk by speakers. Such analysis, we argue, assists in HRD theory building in that it contributes to complex interpretations of data that respond to new and different questions, including methodological questions. [source] Hydrologic response of the Greenland ice sheet: the role of oceanographic warmingHYDROLOGICAL PROCESSES, Issue 1 2009E. Hanna Abstract The response of the Greenland ice sheet to ongoing climate change remains an area of great uncertainty, with most previous studies having concentrated on the contribution of the atmosphere to the ice mass-balance signature. Here we systematically assess for the first time the influence of oceanographic changes on the ice sheet. The first part of this assessment involves a statistical analysis and interpretation of the relative changes and variations in sea-surface temperatures (SSTs) and air temperatures around Greenland for the period 1870,2007. This analysis is based on HadISST1 and Reynolds OI.v2 SST analyses, in situ SST and deeper ocean temperature series, surface-air-temperature records for key points located around the Greenland coast, and examination of atmospheric pressure and geopotential height from NCEP/NCAR reanalysis. Second, we carried out a novel sensitivity experiment in which SSTs were perturbed as input to a regional climate model, and document the resulting effects on simulated Greenland climate and surface mass balance. We conclude that sea-surface/ocean temperature forcing is not sufficient to strongly influence precipitation/snow accumulation and melt/runoff of the ice sheet. Additional evidence from meteorological reanalysis suggests that high Greenland melt anomalies of summer 2007 are likely to have been primarily forced by anomalous advection of warm air masses over the ice sheet and to have therefore had a more remote atmospheric origin. However, there is a striking correspondence between ocean warming and dramatic accelerations and retreats of key Greenland outlet glaciers in both southeast and southwest Greenland during the late 1990s and early 2000s. Copyright © 2008 John Wiley & Sons, Ltd. [source] Performance analysis of different meteorological data and resolutions using MaScOD hydrological modelHYDROLOGICAL PROCESSES, Issue 16 2004Roshan Shrestha Abstract Distributed meteorological data collected from different sources are rarely identical within the same domain of space and time. Discrepancies of these data in magnitude, pattern, and resolution play an important role in hydrological simulation. Using four different sets of distributed meteorological data (from the HUBEX-Intense Observation Period and GAME experimental products at different resolutions), hydrological simulations are conducted through a distributed hydrological model called MaScOD (macro-scale OHyMoS assisted distributed) hydrological model. The model's performance is measured using 12 different indexes. Based on these indexes, a relative normalized score is calculated to evaluate the overall performance of the result from each data set. Three sub-basins of the Huaihe River basin in China, taking the cases at Bengbu (132 350 km2), Wangjiaba (29 844 km2) and Suiping (2093 km2), are used for numerical experiments. This study shows the competence of coarse-resolution meteorological data, the GAME reanalysis 1·25° data, to apply in hydrological simulations of large catchments. However, that data failed to simulate the hydrograph in smaller catchments. The results are significantly improved by including spatial variability at finer resolution in that data. Copyright © 2004 John Wiley & Sons, Ltd. [source] Simulating pan-Arctic runoff with a macro-scale terrestrial water balance modelHYDROLOGICAL PROCESSES, Issue 13 2003Michael A. Rawlins Abstract A terrestrial hydrological model, developed to simulate the high-latitude water cycle, is described, along with comparisons with observed data across the pan-Arctic drainage basin. Gridded fields of plant rooting depth, soil characteristics (texture, organic content), vegetation, and daily time series of precipitation and air temperature provide the primary inputs used to derive simulated runoff at a grid resolution of 25 km across the pan-Arctic. The pan-Arctic water balance model (P/WBM) includes a simple scheme for simulating daily changes in soil frozen and liquid water amounts, with the thaw,freeze model (TFM) driven by air temperature, modelled soil moisture content, and physiographic data. Climate time series (precipitation and air temperature) are from the National Centers for Environmental Prediction (NCEP) reanalysis project for the period 1980,2001. P/WBM-generated maximum summer active-layer thickness estimates differ from a set of observed data by an average of 12 cm at 27 sites in Alaska, with many of the differences within the variability (1,) seen in field samples. Simulated long-term annual runoffs are in the range 100 to 400 mm year,1. The highest runoffs are found across northeastern Canada, southern Alaska, and Norway, and lower estimates are noted along the highest latitudes of the terrestrial Arctic in North America and Asia. Good agreement exists between simulated and observed long-term seasonal (winter, spring, summer,fall) runoff to the ten Arctic sea basins (r = 0·84). Model water budgets are most sensitive to changes in precipitation and air temperature, whereas less affect is noted when other model parameters are altered. Increasing daily precipitation by 25% amplifies annual runoff by 50 to 80% for the largest Arctic drainage basins. Ignoring soil ice by eliminating the TFM sub-model leads to runoffs that are 7 to 27% lower than the control run. The results of these model sensitivity experiments, along with other uncertainties in both observed validation data and model inputs, emphasize the need to develop improved spatial data sets of key geophysical quantities (particularly climate time series) to estimate terrestrial Arctic hydrological budgets better. Copyright © 2003 John Wiley & Sons, Ltd. [source] Static reanalysis of structures with added degrees of freedomINTERNATIONAL JOURNAL FOR NUMERICAL METHODS IN BIOMEDICAL ENGINEERING, Issue 4 2006Baisheng Wu Abstract This paper deals with static reanalysis of a structure with added degrees of freedom where the nodes of the original structure form a subset of the nodes of the modified structure. A preconditioned conjugate-gradient approach is developed. The preconditioner is constructed, and the implementation of the approach involves only decomposition of the stiffness matrix corresponding to the newly added degrees of freedom. In particular, the approach can adaptively monitor the accuracy of approximate solutions. The approach is applicable to the reanalysis of the structural layout modifications for the case of addition of some nodes, deletion and addition of elements and further changes in the geometry as well as to the local mesh refinements. Numerical examples show that the condition number of the selected preconditioned matrix is largely reduced. Therefore, the fast convergence and accurate results can be achieved by the approach. Copyright © 2005 John Wiley & Sons, Ltd. [source] Iterative modal perturbation and reanalysis of eigenvalue problemINTERNATIONAL JOURNAL FOR NUMERICAL METHODS IN BIOMEDICAL ENGINEERING, Issue 4 2003X. L. Liu Abstract This paper presents an examination of the methods for the iterative modal perturbation and the application of these methods to the reanalysis of the eigenvalue problem. The iteration is based on the first-order modal perturbation. In two examples, it is shown that the iterative analysis has the advantage of accuracy over the addition of higher-order perturbations and it is an appropriate approach for the reanalysis of the eigenvalue problem in terms of accuracy and computational efficiency. Copyright © 2003 John Wiley & Sons, Ltd. [source] A preconditioned conjugate gradient approach to structural reanalysis for general layout modificationsINTERNATIONAL JOURNAL FOR NUMERICAL METHODS IN ENGINEERING, Issue 5 2007Zhengguang Li Abstract This paper presents a preconditioned conjugate gradient approach to structural static reanalysis for general layout modifications. It is suitable for all types of layout modifications, including the general case in which some original members and nodes are deleted and other new members and nodes are added concurrently. The approach is based on the preconditioned conjugate gradient technique. The preconditioner is constructed, and an efficient implementation for applying the preconditioner is presented, which requires the factorization of the stiffness matrix corresponding to the newly added degrees of freedom only. In particular, the approach can adaptively monitor the accuracy of approximate solutions. Numerical examples show that the condition number of the preconditioned matrix is remarkably reduced. Therefore, the fast convergence and accurate results can be achieved by the approach. Copyright © 2006 John Wiley & Sons, Ltd. [source] Use of the tangent derivative boundary integral equations for the efficient computation of stresses and error indicatorsINTERNATIONAL JOURNAL FOR NUMERICAL METHODS IN ENGINEERING, Issue 4 2002K. H. Muci-Küchler Abstract In this work, a new global reanalysis technique for the efficient computation of stresses and error indicators in two-dimensional elastostatic problems is presented. In the context of the boundary element method, the global reanalysis technique can be viewed as a post-processing activity that is carried out once an analysis using Lagrangian elements has been performed. To do the reanalysis, the functional representation for the displacements is changed from Lagrangian to Hermite, introducing the nodal values of the tangential derivatives of those quantities as additional degrees of freedom. Next, assuming that the nodal values of the displacements and the tractions remain practically unchanged from the ones obtained in the analysis using Lagrangian elements, the tangent derivative boundary integral equations are collocated at each functional node in order to determine the additional degrees of freedom that were introduced. Under this scheme, a second system of equations is generated and, once it is solved, the nodal values of the tangential derivatives of the displacements are obtained. This approach gives more accurate results for the stresses at the nodes since it avoids the need to differentiate the shape functions in order to obtain the normal strain in the tangential direction. When compared with the use of Hermite elements, the global reanalysis technique has the attraction that the user does not have to give as input data the additional information required by this type of elements. Another important feature of the proposed approach is that an efficient error indicator for the values of the stresses can also be obtained comparing the values for the stresses obtained through the use of Lagrangian elements and the global reanalysis technique. Copyright © 2001 John Wiley & Sons, Ltd. [source] Incidence and outcome of acquisition of human papillomavirus infection in women with normal cytology,A population-based cohort study from TaiwanINTERNATIONAL JOURNAL OF CANCER, Issue 1 2010Angel Chao Abstract Little is known about acquisition of human papillomavirus (HPV) and its outcome among older women with negative HPV testing and normal cytology. A longitudinal 3-yr follow-up of nested-cohort subjects (n = 8825) from a population-based cervical cancer screening study whose Pap and HPV tests were negative at baseline were conducted. Every active HPV-negative (n = 413) participant had 12-mo follow-ups of Pap smear and HPV testing. Colposcopy was performed if either HPV-positive or cytology was abnormal. The cytology and histology information of the remaining subjects (passive HPV-negative, n = 8412) was obtained from national registry database. Median age of participants was 45 yr (range, 30,73 yr). The incidence of new acquisition was 4.2/100 woman-years. The 3-yr cumulative total HPV acquisition rate was 11.1% (95% confidence interval [CI]: 8.1,14.1). Increased number of sexual partners (,2 vs. 1) of the participant was associated with risk of acquisition (odds ratio [OR]: 5.0, 95% CI: 2.0,12.6) by multivariate analysis. Three cases of , cervical intraepithelial neoplasia (CIN) 2 were identified in 3-yr follow-up in active HPV-negative subjects. HPV genotypes in the dysplastic tissue were actually present at baseline samples after reanalysis. From the passive HPV-negative group, only 1 case progressed to CIN2 probably after HPV acquisition. Negative Pap and HPV tests assured a very low risk of developing , CIN2 within 3 yr despite incident HPV infection. [source] Comparison of risk factors for invasive squamous cell carcinoma and adenocarcinoma of the cervix: Collaborative reanalysis of individual data on 8,097 women with squamous cell carcinoma and 1,374 women with adenocarcinoma from 12 epidemiological studiesINTERNATIONAL JOURNAL OF CANCER, Issue 4 2007Article first published online: 27 NOV 200 Abstract Squamous cell carcinomas account for about 80% of cancers of the uterine cervix, and the majority of the remainder are adenocarcinomas. There is limited evidence on the extent to which these histological types share a common etiology. The International Collaboration of Epidemiological Studies of Cervical Cancer has brought together and combined individual data on 8,097 women with invasive squamous cell carcinoma, 1,374 women with invasive adenocarcinoma and 26,445 women without cervical cancer (controls) from 12 epidemiological studies. Compared to controls, the relative risk of each histological type of invasive cervical cancer was increased with increasing number of sexual partners, younger age at first intercourse, increasing parity, younger age at first full-term pregnancy and increasing duration of oral contraceptive use. Current smoking was associated with a significantly increased risk of squamous cell carcinoma (RR = 1.50, 95% CI: 1.35,1.66) but not of adenocarcinoma (RR = 0.86 (0.70,1.05)), and the difference between the two histological types was statistically significant (case-case comparison p < 0.001). A history of screening (assessed as having had at least one previous nondiagnostic cervical smear) was associated with a reduced risk of both histological types, but the reduction was significantly greater for squamous cell carcinoma than for adenocarcinoma (RR = 0.46 (0.42,0.50) and 0.68 (0.56,0.82), respectively; case,case comparison, p = 0.002). A positive test for cervical high-risk HPV-DNA was a strong risk factor for each histological type, with 74% of squamous cell carcinomas and 78% of adenocarcinomas testing positive for HPV types 16 or 18. Squamous cell and adenocarcinoma of the cervix share most risk factors, with the exception of smoking. © 2006 Wiley-Liss, Inc. [source] Carcinoma of the cervix and tobacco smoking: Collaborative reanalysis of individual data on 13,541 women with carcinoma of the cervix and 23,017 women without carcinoma of the cervix from 23 epidemiological studies,INTERNATIONAL JOURNAL OF CANCER, Issue 6 2006Article first published online: 4 OCT 200 Abstract Tobacco smoking has been classified as a cause of cervical cancer, but the effect of different patterns of smoking on risk is unclear. The International Collaboration of Epidemiological Studies of Cervical Cancer has brought together and combined individual data on 13,541 women with and 23,017 women without cervical carcinoma, from 23 epidemiological studies. Relative risks (RRs) and 95% confidence intervals (CIs) of carcinoma of the cervix in relation to tobacco smoking were calculated with stratification by study, age, sexual partners, age at first intercourse, oral contraceptive use and parity. Current smokers had a significantly increased risk of squamous cell carcinoma of the cervix compared to never smokers (RR = 1.60 (95% CI: 1.48,1.73), p<0.001). There was increased risk for past smokers also, though to a lesser extent (RR = 1.12 (1.01,1.25)), and there was no clear trend with time since stopping smoking (p -trend = 0.6). There was no association between smoking and adenocarcinoma of the cervix (RR = 0.89 (0.74,1.06) and 0.89 (0.72,1.10) for current and past smokers respectively), and the differences between the RRs for smoking and squamous cell and adenocarcinoma were statistically significant (current smoking p<0.001 and past smoking p = 0.01). In current smokers, the RR of squamous cell carcinoma increased with increasing number of cigarettes smoked per day and also with younger age at starting smoking (p<0.001 for each trend), but not with duration of smoking (p -trend = 0.3). Eight of the studies had tested women for cervical HPV-DNA, and in analyses restricted to women who tested positive, there was a significantly increased risk in current compared to never smokers for squamous cell carcinoma (RR = 1.95 (1.43,2.65)), but not for adenocarcinoma (RR = 1.06 (0.14,7.96)). In summary, smokers are at an increased risk of squamous cell but not of adenocarcinoma of the cervix. The risk of squamous cell carcinoma increases in current smokers with the number of cigarettes smoked per day and with younger age at starting smoking. © 2005 Wiley-Liss, Inc. [source] Simulation of the intraseasonal and the interannual variability of rainfall over West Africa with RegCM3 during the monsoon periodINTERNATIONAL JOURNAL OF CLIMATOLOGY, Issue 12 2010M. B. Sylla Abstract Intraseasonal and interannual variability of rainfall is simulated using the International Centre for Theoretical Physics (ICTP) Regional Climate Model (RegCM3) over West Africa. The intraseasonal variability of rainfall showing three distinct phases and the monsoon jump is well reproduced in the simulation. In addition, the regional model shows that while the monsoon rainbelt moves to the Sahel, the African Easterly Jet (AEJ) undergoes a northward migration and a weakening from June to August, when the core is at its northernmost location. This coexists with the appearance and the strengthening of the Tropical Easterly Jet (TEJ), the development and increased activity of the African Easterly Waves (AEWs), and the intensification and northward shift of the ascent between the AEJ and the TEJ core levels and axis. Similarly, the simulated interannual variability of rainfall over West Africa, the Guinea region, and the Sahel, as well as the variability of atmospheric features during contrasting wet and dry years, is also well captured. In fact, in the simulation during dry years the AEWs activity is decreased while the AEJ is strengthened and migrates southward, the TEJ becomes weaker, and the ascent between the levels of the AEJ and the TEJ decreases. The simulated rainfall variability and the behavior of the related features during the rainy season and during contrasting wet and dry years are in line with previous studies that used observations and reanalysis. We conclude that this model performance is of sufficient quality for application to the study of climate processes and mechanisms over West Africa. Copyright © 2009 Royal Meteorological Society [source] Seasonal and inter-annual variability of the moisture sources for Alpine precipitation during 1995,2002INTERNATIONAL JOURNAL OF CLIMATOLOGY, Issue 7 2010Harald Sodemann Abstract This study presents a first quantitative climatology of the moisture sources for precipitation in the European Alps, covering a 7-year period from January 1995 to August 2002. Using a Lagrangian moisture source diagnostic and data from the ERA-40: European Centre for Medium-Range Weather Forecasts (ECMWF) reanalysis, the contribution of the following moisture sources to annual mean precipitation has been diagnosed: North Atlantic ocean 39.6%, Mediterranean 23.3%, North Sea and Baltic Sea 16.6%, and European land surface 20.8%. However, strong seasonal variability of the influence of various moisture sources is evident. Most notably, moisture transport to the Alps changes from an oceanic mode characterised by dominantly North Atlantic moisture sources during winter to a continental mode during summer with a marked contribution from Central European land areas. The method identifies inter-annual variability with respect to the location of the moisture sources in the North Atlantic, and the importance of precipitation recycling during summer. Despite the smoothed Alpine orography in the ERA-40 model, the Alps act as an effective barrier for meridional moisture transport, leading to distinct mean moisture source locations at their northern and southern slopes. The Northern Alps are predominantly influenced by the North Atlantic ocean and Central European land sources with a clear seasonality and limited monthly variability. In contrast, the Southern Alps receive a large fraction of precipitation from the Mediterranean with considerable month-to-month variability. Possible implications of these differences for precipitation extremes and stable isotopes in precipitation are discussed. Copyright © 2009 Royal Meteorological Society [source] The surface radiation budget over North America: gridded data assessment and evaluation of regional climate modelsINTERNATIONAL JOURNAL OF CLIMATOLOGY, Issue 15 2009Marko Markovic Abstract While surface station observations of downwelling radiation offer accuracy at high temporal resolution, they do not easily allow an evaluation of model surface radiation budgets (SRB) over a wide geographical area. We evaluate three gridded SRB data sets against detailed observations from six surface radiation sites from the US surface radiation (SURFRAD) network. We subsequently use the most accurate surrogate observational data set for evaluation of model-simulated SRB. The data sets assessed are: ERA40,reanalysis of European Centre for Medium-Range Weather Forecasts (ECMWF), North American Regional Reanalysis (NARR),regional reanalysis of National Centres for Environmental Prediction (NCEP) and the surface radiative budget (SRB) from the International Satellite Cloud Climatology Project (ISCCP). Due to varying constraints with respect to temporal coverage of each data set, the evaluation period used in this study is 1996,2001, inclusive. The ERA40 downwelling longwave radiation (DLR) appears the most accurate surrogate observation, while both ERA40 and ISCCP show accurate results when the incoming shortwave radiation (ISR) is considered across the annual cycle. Winter DLR is less accurate in ISCCP with a positive bias and lack of very low (<200 Wm,2) flux values. The NARR SRB shows a large positive bias in the ISR throughout the annual cycle, linked to a significant underestimate of cloud cover. The ERA40 data are subsequently used to evaluate the simulated SRB in three regional climate models across North America. With respect to solar radiation, cloud cover biases are seen to be crucial, while for longwave fluxes both cloud fraction and in-cloud water content are important to simulate correctly. Inclusion of trace gases beyond H2O, CO2 and O3 appears necessary for an accurate calculation of clear-sky longwave radiation. Error compensation frequently occurs between the various components contributing to a model total-sky SRB. This is important to consider when trying to identify the underlying causes of errors in the simulated total SRB. Copyright © 2009 Royal Meteorological Society [source] |