Same Model (same + model)

Distribution by Scientific Domains


Selected Abstracts


What matters most to prejudice: Big Five personality, Social Dominance Orientation, or Right-Wing Authoritarianism?

EUROPEAN JOURNAL OF PERSONALITY, Issue 6 2004
Bo Ekehammar
Whereas previous research has studied the relation of either (i) personality with prejudice, (ii) personality with social dominance orientation (SDO) and right-wing authoritarianism (RWA), or (iii) SDO and RWA with prejudice, the present research integrates all approaches within the same model. In our study (N,=,183), various causal models of the relationships among the Big Five, SDO, RWA, and Generalized Prejudice are proposed and tested. Generalized Prejudice scores were obtained from a factor analysis of the scores on various prejudice instruments (racism, sexism, prejudice toward homosexuals, and mentally disabled people), which yielded a one-factor solution. The best-fitting causal model, which was our suggested hypothetical model, showed that Big Five personality had no direct effect on Generalized Prejudice but an indirect effect transmitted through RWA and SDO, where RWA seems to capture personality aspects to a greater extent than SDO. Specifically, Generalized Prejudice was affected indirectly by Extraversion, Openness to Experience, and Conscientiousness through RWA, and by Agreeableness through SDO, whereas Neuroticism had no effect at all. The results are discussed against the background of previous research and the personality and social psychology approaches to the study of prejudice. Copyright © 2004 John Wiley & Sons, Ltd. [source]


Guided waves at subduction zones: dependencies on slab geometry, receiver locations and earthquake sources

GEOPHYSICAL JOURNAL INTERNATIONAL, Issue 2 2006
S. Martin
SUMMARY We investigate the geometry of deep subduction zone waveguides (depth >100 km). The wavefield characteristics for up-dip profiles are described and compared with data recorded at the Chile,Peru subduction zone. Observed distorted P onsets at stations in northern Chile near 21°S can be matched by 2-D finite difference simulations of a thin low-velocity layer (LVL) atop the slab in an IASP91 velocity model. The replacement of the LVL by simple random velocity undulations in the slab in the same model cannot explain the observations. Varying slab geometries are investigated and the distribution of guided wave onsets originating in deep waveguides is predicted relative to the slab surface. Further, double couple source position and orientation is explored and found to be closely limited by the guided wave observations. Sources situated above the layer and at distances more than 2 layer widths below the subducted Moho are not suitable. For the remaining favourable source locations, a strong link between pulse shapes and fault plane dip angle is evident. We conclude that up-dip guided wave observations at subduction zones follow a simple pattern given by slab geometry and modified by source position. The resulting onsets are shaped by layer thickness and velocity contrast and further influenced by the shape of the slab surface. [source]


Plant growth functions and possible spatial and temporal scaling errors in models of herbivory

GRASS & FORAGE SCIENCE, Issue 1 2001
A. J. Parsons
Recent studies have provided detail of the mechanisms by which plants and animals interact, but attempts to apply this knowledge to understand function at the scale of whole fields or grazed ecosystems can be fraught with difficulties. Faced with a plethora of detail, and yet demands to make models more comprehensive, modellers face pressure to revert to simplified accounts for what are assumed to be well-established biological phenomena, for example, for describing plant growth and intake, but this raises the risk that important insights may be lost, or that the analyses may face errors of scaling. The predictions of a previously described spatial model are compared with those of a non-spatial rendition of the same model to identify the differences in predictions and the sources of these differences. In particular, the use of the conventional empirical growth functions and their interaction with temporal and spatial scaling errors are examined. The comparison exposed how substantial errors could be made in predicting yield and stability under grazing. It is proposed that such errors might be avoided by ensuring that the functional responses used capture the insights of more detailed studies, and by recognizing the difficulties of scaling-up from the level of processes to the field scale and beyond. [source]


TOPCAT-NP: a minimum information requirement model for simulation of flow and nutrient transport from agricultural systems

HYDROLOGICAL PROCESSES, Issue 14 2008
P. F. Quinn
Abstract Future catchment planning requires a good understanding of the impacts of land use and management, especially with regard to nutrient pollution. A range of readily usable tools, including models, can play a critical role in underpinning robust decision-making. Modelling tools must articulate our process understanding, make links to a range of catchment characteristics and scales and have the capability to reflect future land-use management changes. Hence, the model application can play an important part in giving confidence to policy makers that positive outcomes will arise from any proposed land-use changes. Here, a minimum information requirement (MIR) modelling approach is presented that creates simple, parsimonious models based on more complex physically based models, which makes the model more appropriate to catchment-scale applications. This paper shows three separate MIR models that represent flow, nitrate losses and phosphorus losses. These models are integrated into a single catchment model (TOPCAT-NP), which has the advantage that certain model components (such as soil type and flow paths) are shared by all three MIR models. The integrated model can simulate a number of land-use activities that relate to typical land-use management practices. The modelling process also gives insight into the seasonal and event nature of nutrient losses exhibited at a range of catchment scales. Three case studies are presented to reflect the range of applicability of the model. The three studies show how different runoff and nutrient loss regimes in different soil/geological and global locations can be simulated using the same model. The first case study models intense agricultural land uses in Denmark (Gjern, 114 km2), the second is an intense agricultural area dominated by high superphosphate applications in Australia (Ellen Brook, 66 km2) and the third is a small research-scale catchment in the UK (Bollington Hall, 2 km2). Copyright © 2007 John Wiley & Sons, Ltd. [source]


Assessment of rainfall-runoff models based upon wavelet analysis

HYDROLOGICAL PROCESSES, Issue 5 2007
Stuart N. Lane
Abstract A basic hypothesis is proposed: given that wavelet-based analysis has been used to interpret runoff time-series, it may be extended to evaluation of rainfall-runoff model results. Conventional objective functions make certain assumptions about the data series to which they are applied (e.g. uncorrelated error, homoscedasticity). The difficulty that objective functions have in distinguishing between different realizations of the same model, or different models of the same system, is that they may have contributed in part to the occurrence of model equifinality. Of particular concern is the fact that the error present in a rainfall-runoff model may be time dependent, requiring some form of time localization in both identification of error and derivation of global objective functions. We explore the use of a complex Gaussian (order 2) wavelet to describe: (1) a measured hydrograph; (2) the same hydrograph with different simulated errors introduced; and (3) model predictions of the same hydrograph based upon a modified form of TOPMODEL. The analysis of results was based upon: (a) differences in wavelet power (the wavelet power error) between the measured hydrograph and both the simulated error and modelled hydrographs; and (b) the wavelet phase. Power difference and wavelet phase were used to develop two objective functions, RMSE(power) and RMS(phase), which were shown to distinguish between simulated errors and model predictions with similar values of the commonly adopted Nash-Sutcliffe efficiency index. These objective functions suffer because they do not retain time, frequency or time-frequency localization. Consideration of wavelet power spectra and time- and frequency-integrated power spectra shows that the impacts of different types of simulated error can be seen through retention of some localization, especially in relation to when and the scale over which error was manifest. Theoretical objections to the use of wavelet analysis for this type of application are noted, especially in relation to the dependence of findings upon the wavelet chosen. However, it is argued that the benefits of localization and the qualitatively low sensitivity of wavelet power and phase to wavelet choice are sufficient to warrant further exploration of wavelet-based approaches to rainfall-runoff model evaluation. Copyright © 2006 John Wiley & Sons, Ltd. [source]


Steady- and unsteady-state lumped parameter modelling of tritium and chlorofluorocarbons transport: hypothetical analyses and application to an alpine karst aquifer

HYDROLOGICAL PROCESSES, Issue 17 2005
N. Nur Ozyurt
Abstract Determination of a groundwater's mean residence time with the aid of environmental tracers is common in hydrogeology. Many of the lumped parameter (LP) applications used for this purpose have been based on steady-state models. However, the results may be misleading if a steady LP model is used to simulate the environmental tracer transport in an unsteady aquifer. To test this hypothesis, the results of steady and unsteady versions of several LP models were evaluated theoretically and in an alpine karst aquifer case by using tritium, oxygen-18 and chlorofluorocarbons (CFCs). The results reveal that the mean residence times obtained may be significantly different between the steady and unsteady versions of the same model. For the karst aquifer investigated, a serially connected exponential and a plug flow model were run under unsteady conditions. It is shown that outflux calibration with an unsteady model provides a firm basis in evaluating the results of models. An outflux-calibrated unsteady model predicted reasonably the observed series of water isotopes. The calibrated model's CFCs output overpredicts the observed concentrations, probably because of the time lag in the unsaturated zone of the alpine karst aquifer. Copyright © 2005 John Wiley & Sons, Ltd. [source]


Directional response of a reconstituted fine-grained soil,Part II: performance of different constitutive models

INTERNATIONAL JOURNAL FOR NUMERICAL AND ANALYTICAL METHODS IN GEOMECHANICS, Issue 13 2006
David Ma
Abstract In this paper, the performance of different advanced constitutive models for soils is evaluated with respect to the experimentally observed behaviour of a soft reconstituted clay subject to a wide range of loading directions, see (presented in the companion paper). The models considered include a three-surface kinematic hardening elastoplastic model; the CLoE hypoplastic model; a recently proposed K-hypoplastic model for clays, and an enhanced version of the same model incorporating the concept of intergranular strain. A clear qualitative picture of the relative performance of the different models as a function of the loading direction is obtained by means of the incremental strain response envelopes. The definition of suitable error measures allows to obtain further quantitative information in this respect. For the particular initial conditions and loading programme considered in this study, the kinematic hardening and the enhanced K-hypoplastic models appear to provide the best performance overall. Copyright © 2006 John Wiley & Sons, Ltd. [source]


Estimating survival and movements using both live and dead recoveries: a case study of oystercatchers confronted with habitat change

JOURNAL OF APPLIED ECOLOGY, Issue 1 2009
Olivier Duriez
Summary 1Animals facing partial habitat loss can try to survive in the remaining habitat or emigrate. Effects on survival and movements should be studied simultaneously since survival rates may be underestimated if emigrants are not considered, and since emigrants may experience reduced survival. 2We analysed movements and survival of adult wintering oystercatcher Haematopus ostralegus in response to the 1986,1987 partial closure of the Oosterschelde in the Dutch Delta. This reduced by one-third the tidal area of this major European wintering area for waders. 3We developed a novel variant of a multistate capture,recapture model allowing simultaneous estimation of survival and movement between sites using a mixture of data (live recaptures and dead recoveries). We used a two-step process, first estimating movements between sites followed by site-specific survival rates. 4Most birds were faithful to their ringing site. Winter survival was negatively affected by winter severity and was lowest among birds changing wintering site (i.e. moving outside of the Oosterschelde). 5During mild winters, survival rates were very high, and similar to before the closure in both changed and unchanged sectors of the Oosterschelde. However, the combined effect of habitat loss with severe winters decreased the survival of birds from changed sectors and induced emigration. 6The coastal engineering project coincided with three severe winters and high food stock, making assessment of its effects difficult. However, the habitat loss seems to have had less impact on adult survival and movements than did winter severity. 7 Synthesis and applications. Human-induced habitat change may result in population decline through costly emigration or reduced survival or reproduction of individuals that stay. Long-term monitoring of marked individuals helps to understand how populations respond to environmental change, but site-specific survival and movement rates should be integrated in the same model in order to maximize the information yield. Our modelling approach facilitates this because it allows the inclusion of recoveries from outside the study area. [source]


Regeneration of canine peroneal nerve with the use of a polyglycolic acid,collagen tube filled with laminin-soaked collagen sponge: a comparative study of collagen sponge and collagen fibers as filling materials for nerve conduits

JOURNAL OF BIOMEDICAL MATERIALS RESEARCH, Issue 6 2001
Toshinari Toba
Abstract A novel artificial nerve conduit was developed and its efficiency was evaluated on the basis of promotion of peripheral nerve regeneration across an 80-mm gap in dogs. The nerve conduit was made of a polyglycolic acid,collagen tube filled with laminin-soaked collagen sponge. Conduits filled with either sponge- or fiber-form collagen were implanted into an 80-mm gap of the peroneal nerve (five dogs for each form). Twelve months postoperatively nerve regeneration was superior in the sponge group both morphometrically (percentage of neural tissue: fiber: 39.7 ± 5.2, sponge: 43.0 ± 4.5, n=3) and electrophysiologically (fiber: CMAP 1.06 ± 0.077, SEP 1.32 ± 0.127 sponge: CMAP 1.04 ± 0.106, SEP 1.24 ± 0.197, n=5), although these differences were not statistically significant. The observed regeneration was complementary to successful results reported previously in the same model, in which collagen fibers exclusively were used. The results indicate a possible superiority of collagen sponge over collagen fibers as filling materials. In addition, the mass-producibility, superior scaffolding potential, and capacity for gradual release of soluble factors of the sponge provide make it an attractive alternative to fine fibers, which are both technologically difficult and costly to produce. This newly developed nerve conduit has the potential to enhance peripheral nerve regeneration across longer gaps commonly encountered in clinical settings. © 2001 John Wiley & Sons, Inc. J Biomed Mater Res (Appl Biomater) 58: 622,630, 2001 [source]


Influence of Attachment Systems on Load Transfer of an Implant-Assisted Maxillary Overdenture

JOURNAL OF PROSTHODONTICS, Issue 4 2004
Mete I. Fanuscu DDS
Purpose: This photoelastic study compared the load transfer characteristics of 2 retention mechanisms in an implant-assisted overdenture prosthesis. Materials and Methods: Four implants were incorporated into a photoelastic model of a moderately resorbed edentulous human maxilla. Two retention mechanisms were studied by changing components on the same model and the palateless overdenture. The retention mechanisms studied were bar splint with anterior clip and distal resilient attachments, and solitary ball/O-ring attachments. Loads, ranging from 1.4 to 14.4 kg, were applied to the palatal incline of central incisors and buccal incline of premolars with and without balancing contacts. Stresses developed around all the implants under each loading condition were photographed in the field of a circular polariscope. Results: With both retention mechanisms, protrusive and laterotrusive loads without balancing contacts caused instability of the overdenture, producing minimal stress around the implants in the supporting structure. High intensity stresses indicating intrusion of the posterior implants were noted when the bar/distal resilient attachment overdenture had balancing contacts for protrusive and laterotrusive loads. The posterior implants of ball/O-ring attachment overdenture exhibited high intensity stresses indicating not only intrusion, but also bending, when the occlusion was balanced. Conclusions: Balanced occlusion was required in both retention mechanisms for stability of the implant-assisted overdenture when clinically acceptable loads were applied. The protrusive and laterotrusive loads were not distributed equitably in either mechanism, since highest stresses occurred at the posterior implants. [source]


Welfare Economics with Intransitive Revealed Preferences: A Theory of the Endowment Effect

JOURNAL OF PUBLIC ECONOMIC THEORY, Issue 2 2006
H. LORNE CARMICHAEL
Economists use the standard rational model to predict behavior after a policy change and to determine the policy's welfare implications. Recent experimental observations are casting doubt on the predictive accuracy of the standard model, but the more realistic behavioral alternatives often provide a poor basis for making normative evaluations. This paper suggests that we can still predict behavior and measure welfare within the same model. We show that optimizing agents with standard preferences will in some cases behave as if they are subject to an endowment effect. Even so, we may still be able to uncover information about their preferences. [source]


Likelihood inference for a class of latent Markov models under linear hypotheses on the transition probabilities

JOURNAL OF THE ROYAL STATISTICAL SOCIETY: SERIES B (STATISTICAL METHODOLOGY), Issue 2 2006
Francesco Bartolucci
Summary., For a class of latent Markov models for discrete variables having a longitudinal structure, we introduce an approach for formulating and testing linear hypotheses on the transition probabilities of the latent process. For the maximum likelihood estimation of a latent Markov model under hypotheses of this type, we outline an EM algorithm that is based on well-known recursions in the hidden Markov literature. We also show that, under certain assumptions, the asymptotic null distribution of the likelihood ratio statistic for testing a linear hypothesis on the transition probabilities of a latent Markov model, against a less stringent linear hypothesis on the transition probabilities of the same model, is of type. As a particular case, we derive the asymptotic distribution of the likelihood ratio statistic between a latent class model and its latent Markov version, which may be used to test the hypothesis of absence of transition between latent states. The approach is illustrated through a series of simulations and two applications, the first of which is based on educational testing data that have been collected within the National Assessment of Educational Progress 1996, and the second on data, concerning the use of marijuana, which have been collected within the National Youth Survey 1976,1980. [source]


Taxonomy of gamma-ray burst optical light curves: identification of a salient class of early afterglows

MONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 2 2008
A. Panaitescu
ABSTRACT The temporal behaviour of the early optical emission from gamma-ray burst afterglows can be divided into four classes: fast-rising with an early peak, slow-rising with a late peak, flat plateaus and rapid decays since first measurement. The fast-rising optical afterglows display correlations among peak flux, peak epoch and post-peak power-law decay index that can be explained with a structured outflow seen off-axis, but the shock origin (reverse or forward) of the optical emission cannot be determined. The afterglows with plateaus and slow rises may be accommodated by the same model, if observer location offsets are larger than for the fast-rising afterglows, or could be due to a long-lived injection of energy and/or ejecta in the blast wave. If better calibrated with more afterglows, the peak flux,peak epoch relation exhibited by the fast- and slow-rising optical light curves could provide a way to use this type of afterglows as standard candles. [source]


Modelling the extreme ultraviolet emission during the low state of Hercules X-1

MONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 2 2003
D. A. Leahy
ABSTRACT Hercules X-1 was observed for extended periods during its low state by the Extreme Ultraviolet Explorer (EUVE). These observations yield low-state light curves in the extreme ultraviolet (EUV) which are compared with a composite model here. The model includes reflection of soft X-rays off the companion HZ Her, including the shadowing of HZ Her by the accretion disc, and emission from the accretion disc surface. Four different geometries for the accretion disc were adopted, all derived from the RXTE All-Sky Monitor (ASM) 35-day light-curve modelling. Three were thin disc models for different system inclinations, i, and the fourth was a disc with a thick inner ring for i= 85°. With the HZ Her reflection model, with no free parameters except normalization, and a simple model for the disc emission, the models fit the data well. The disc emission accounts for about half of the EUV flux, depending on which accretion disc geometry is used. The disc geometry that best fits the EUV light curves is the disc with a thick inner ring, which is the same model that gives the best fit to the RXTE/ASM light curve. [source]


A model for the infrared emission of FSC 10214+4724

MONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY: LETTERS (ELECTRONIC), Issue 1 2006
Andreas Efstathiou
ABSTRACT A model for the infrared emission of the high-redshift ultraluminous infrared galaxy FSC 10214+4724 is presented. The model assumes three components of emission: a dusty torus viewed edge-on, clouds that are associated with the narrow-line region and a highly obscured starburst. It is demonstrated that the presence of clouds in the narrow-line region, with a covering factor of 17 per cent, can explain why the mid-infrared spectrum of FSC 10214+4724 shows a silicate feature in emission despite the fact that its torus is viewed edge-on. It is also shown that the same model, but with the torus viewed face-on, predicts a spectrum with silicate emission features that is characteristic of the spectra of quasars recently observed with Spitzer. [source]


Comparative velocity investigations in cerebral arteries and aneurysms: 3D phase-contrast MR angiography, laser Doppler velocimetry and computational fluid dynamics

NMR IN BIOMEDICINE, Issue 8 2009
Dorothea I. Hollnagel
Abstract In western populations, cerebral aneurysms develop in approximately 4% of humans and they involve the risk of rupture. Blood flow patterns are of interest for understanding the pathogenesis of the lesions and may eventually contribute to deciding on the most efficient treatment procedure for a specific patient. Velocity mapping with phase-contrast magnetic resonance angiography (PC-MRA) is a non-invasive method for performing in vivo measurements on blood velocity. Several hemodynamic properties can either be derived directly from these measurements or a flow field with all its parameters can be simulated on the basis of the measurements. For both approaches, the accuracy of the PC-MRA data and subsequent modeling must be validated. Therefore, a realistic transient flow field in a well-defined patient-specific silicone phantom was investigated. Velocity investigations with PC-MRA in a 3,Tesla MR scanner, laser Doppler velocimetry (LDV) and computational fluid dynamics (CFD) were performed in the same model under equal flow conditions and compared to each other. The results showed that PC-MRA was qualitatively similar to LDV and CFD, but showed notable quantitative differences, while LDV and CFD agreed well. The accuracy of velocity quantification by PC-MRA was best in straight artery regions with the measurement plane being perpendicular to the primary flow direction. The accuracy decreased in regions with disturbed flow and in cases where the measurement plane was not perpendicular to the primary flow. Due to these findings, it is appropriate to use PC-MRA as the inlet and outlet conditions for numerical simulations to calculate velocities and shear stresses in disturbed regions like aneurysms, rather than derive these values directly from the full PC-MRA measured velocity field. Copyright © 2009 John Wiley & Sons, Ltd. [source]


Challenges of introducing quantitative elementary reactions in multiscale models of thin film deposition

PHYSICA STATUS SOLIDI (B) BASIC SOLID STATE PHYSICS, Issue 9 2010
Alessandro Barbato
Abstract The implementation of detailed surface kinetic mechanisms describing the thin film growth dynamics into models of chemical vapor deposition (CVD) reactors has been a challenge for many years. In this article we review the literature concerning the study of the dynamics of the Si(100)2,×,1 surface and introduce a multiscale model that captures the main features of its reactivity. The model combines the results of ab initio calculations with an atomistic description of the Si surface, obtained using a 3D-kinetic Monte Carlo (KMC) model that explicitly accounts for the 2,×,1 surface reconstruction and the formation and diffusion of Si dimers on a hydrogenated surface. At the atomistic scale, we determined pre-exponential factors and activation energies of hydrogen desorption reactions proceeding through the 2H, 3H, and 4H mechanisms. The calculated kinetic constants were embedded in the KMC model and used to simulate literature TPD experimental data. The simulations were used to fit the activation energies of hydrogen desorption reactions, which showed that DFT calculations performed with B3LYP functionals are likely to overestimate hydrogen desorption energies by up to 9,kcal,mol,1, which was confirmed by successive ab initio calculations. Two examples of the solution of the KMC model in conjunction with a reactor scale model are provided, in which the coupling was performed adopting both a hierarchic and a two-way coupling strategy. We found that in the plasma deposition of nanocrystalline silicon performed at low substrate temperatures the growth proceeds through a layer-by-layer mechanism on a surface almost completely covered by hydrogen. The application of the same model to the simulation of the thermal CVD of Si showed that at intermediate growth temperatures, when the hydrogen surface concentration is high, a new hydrogen desorption mechanism, in which Si adatoms play an important role, is active. Length scales encountered in multiscale modeling of thin films deposition. [source]


THE INFORMATIONAL ROLE OF BANK LOAN RATINGS

THE JOURNAL OF FINANCIAL RESEARCH, Issue 4 2006
Ha-Chin Yi
Abstract We analyze the relatively new phenomenon of credit ratings on syndicated loans, asking first whether they convey information to the capital markets. Our event studies show that initial loan ratings and upgrades are not informative, but downgrades are. The market anticipates downgrades to some extent, however. We also examine whether public information reflecting borrower default characteristics explains cross-sectional variation in loan ratings and find that ratings are only partially predictable. Our evidence suggests that loan and bond ratings are not determined by the same model. Finally, we estimate a credit spread model incorporating bank loan ratings and other factors reflecting default risk, information asymmetry, and agency problems. We find that ratings are related to loan rates, given the effect of other influences on yields, suggesting that ratings provide information not reflected in financial information. Ratings may capture idiosyncratic information about recovery rates, as each of the agencies claims, or information about default prospects not available to the market. [source]


A comparative method to evaluate and validate stochastic parametrizations

THE QUARTERLY JOURNAL OF THE ROYAL METEOROLOGICAL SOCIETY, Issue 642 2009
Leon Hermanson
Abstract There is a growing interest in using stochastic parametrizations in numerical weather and climate prediction models. Previously, Palmer (2001) outlined the issues that give rise to the need for a stochastic parametrization and the forms such a parametrization could take. In this article a method is presented that uses a comparison between a standard-resolution version and a high-resolution version of the same model to gain information relevant for a stochastic parametrization in that model. A correction term that could be used in a stochastic parametrization is derived from the thermodynamic equations of both models. The origin of the components of this term is discussed. It is found that the component related to unresolved wave,wave interactions is important and can act to compensate for large parametrized tendencies. The correction term is not proportional to the parametrized tendency. Finally, it is explained how the correction term could be used to give information about the shape of the random distribution to be used in a stochastic parametrization. Copyright © 2009 Royal Meteorological Society [source]


The Influence of Culture on Role Conceptions and Role Behavior in Organisations

APPLIED PSYCHOLOGY, Issue 3 2003
Eugene F. Stone-Romero
La main-d'oeuvre de nombreux pays industrialisés se diversifie de plus en plus. Les organisations de ces pays emploient des salariés relevant de diverses cultures et subcultures. Par suite, les modèles du comportement organisationnel qui supposent que les salariés partagent une culture unique et relativement homogène ne sont plus pertinents. Nous présentons donc une version modifée du modèle originel du rôle (Katz & Kahn, 1966, 1978). Notre modèle des Effets de la Culture sur le Comportement de Rôle (ECORB) reconnaît explicitement l'impact que les aquis culturels diversifiés de ceux qui proposent et de ceux qui assument les rôles ont sur les expectations de rôles, les rôles proposés, les intentions comportementales et le comportement de rôle. L'un des principes de base de ce modèle, c'est que les variable culturelles et subculturelles affectent les scripts professionnels qu'un salarié a la volonté et la capacité de mettre en ,uvre. En outre, comme les salariés de cultures et subcultures différentes agissent souvent en fonction de scripts divergents, maints problèmes peuvent apparaître (par exemple, les tenants du rôle peuvent adopter une conduite incompatible avec les attentes de l'environnement). On analyse les retombées de notre modèle ECORB sur la théorie, la recherche et la pratique. The workforces of many industrialised nations are becoming increasingly more diverse. Organisations in these nations employ workers from a variety of cultures and subcultures. As a result, models of organisational behavior that assume that workers share a single, relatively homogeneous culture are no longer appropriate. In view of this, we offer a modified version of Katz and Kahn's (1966, 1978) seminal model of role-taking. Our model of the Effects of Culture on Role Behavior (ECORB) explicitly recognises the effects that variations in the cultural backgrounds of role senders and role incumbents have on role expectations, sent roles, behavioral intentions, and role behavior. A basic premise of the same model is that cultural and subcultural variables affect the work-related scripts that a worker is willing and able to use. Moreover, because workers from different cultures or subcultures often operate on the basis of different scripts, a number of problems may arise (e.g. role incumbents may behave in ways that are inconsistent with the expectations of role senders). We offer implications of our ECORB model for theory, research, and practice. [source]


A portable bioinformatics course for upper-division undergraduate curriculum in sciences

BIOCHEMISTRY AND MOLECULAR BIOLOGY EDUCATION, Issue 5 2008
Wely B. Floriano
Abstract This article discusses the challenges that bioinformatics education is facing and describes a bioinformatics course that is successfully taught at the California State Polytechnic University, Pomona, to the fourth year undergraduate students in biological sciences, chemistry, and computer science. Information on lecture and computer practice topics, free for academic use software and web links required for the laboratory exercises and student surveys for two instances of the course, is presented. This course emphasizes hands-on experience and focuses on developing practical skills while providing a solid knowledge base for critically applying these skills. It is designed in blocks of 1-hour lecture followed by 2 hours of computer laboratory exercises, both covering the same general topic, for a total of 30 hours of lecture and 60 hours of computer practice. The heavy computational aspect of this course was designed to use a single multiprocessor computer server running Linux, accessible from laptops through Virtual Network Computing sessions. The laptops can be either provided by the institution or owned by the individual students. This configuration avoids the need to install and maintain bioinformatics software on each laptop. Only a single installation is required for most bioinformatics software on the Linux server. The content of this course and its software/hardware configuration are well suited for institutions with no dedicated computer laboratory. This author believes that the same model can be successfully implemented in other institutions, especially those who do not have a strong instructional computer technology support such as community colleges and small universities. [source]


Changes of the total antioxidative status of blood cells in the progression of stomach and large bowel cancers in patients subjected to primary radical treatment

BIOFACTORS, Issue 1-4 2004
Z. Kopañski
Abstract The analysis included 53 patients (32 men and 21 women) aged 43 to 66 years, who were subjected to radical treatment (surgical or combined) because of stomach (22 patients) or large bowel (31 patients) cancer. All the patients were included in the same model of control examinations, which considered evaluation of the erythrocytes TAS and of the Ca19,9, CEA and AFP concentrations in serum. It was confirmed that in all the patients in whom the recurrence and/or the dissemination occurred of the cancer, the average erythrocytes TAS value increased 5.5 times by comparison with the period before progression and 7 times in comparison with the patients without recurrence and/or dissemination of the cancer. Moreover it was shown that statistically significantly higher TAS values were associated with the progression of the large bowel cancer in comparison with the stomach cancer and that the blood cells TAS positively correlated with the changes of the Ca19,9, CEA and AFP concentrations in patients with progression of the cancer after radical treatment. [source]


Rethinking Late Weichselian ice-sheet dynamics in coastal NW Svalbard

BOREAS, Issue 1 2005
JON Y. LANDVIK
New marine geological evidence provides a better understanding of ice-sheet dynamics along the western margin of the last Svalbard/Barents Sea Ice Sheet. A suite of glacial sediments in the Kongsfjordrenna cross-shelf trough can be traced southwards to the shelf west of Prins Karls Forland. A prominent moraine system on the shelf shows minimum Late Weichselian ice extent, indicating that glacial ice also covered the coastal lowlands of northwest Svalbard. Our results suggest that the cross-shelf trough was filled by a fast-flowing ice stream, with sharp boundaries to dynamically less active ice on the adjacent shelves and strandflats. The latter glacial mode favoured the preservation of older geological records adjacent to the main pathway of the Kongsfjorden glacial system. We suggest that the same model may apply to the Late Weichselian glacier drainage along other fjords of northwest Svalbard, as well as the western margin of the Barents Ice Sheet. Such differences in glacier regime may explain the apparent contradictions between the marine and land geological record, and may also serve as a model for glaciation dynamics in other fjord regions. [source]


Nitric oxide and cGMP protect the retina from ischemia and mediate somatostatin's neuroprotective effects

ACTA OPHTHALMOLOGICA, Issue 2009
K THERMOS
Purpose The neuropeptide somatostatin has been shown to modulate retinal circuitry by activating its receptors (sst1-sst5) found in retinal neurons and to influence the levels of other neuroactive substances such as nitric oxide (NO) and cGMP. In addition, it displays neuroprotective properties against retinal chemical ischemia and excitotoxicity. In another paradigm, somatostatin was shown to protect cortical cultures against NMDA induced neuronal death via a cGMP mechanism. These findings led us to investigate whether NO and/or cGMP could protect the retina from ischemia, and possibly underlie somatostatin's neuroprotective actions. Methods A model of chemical ischemia was employed in rat retina in order to examine the neuroprotective effects of arginine, the substrate of nitric oxide synthase (NOS), and a number of NO donors. Subsequently, blockade of NOS and guanylyl cyclase in the presence of somatostatin receptor (sst2) agonists was attempted to investigate the role of NO/cGMP in somatostatin's protection of the retina in the chemical ischemia model and in a model of AMPA induced excitotoxicity. Results The NO donors SIN-1 and NONOate and 8-Br-cGMP protected the retina in a concentration-dependent manner, as shown by ChAT immunoreactivity and TUNEL staining. L-cysteine (the peroxynitrite scavenger) partially reduced the SIN-1 protective effect. NOS and guanyl cyclase inhibitors reversed the protective effect of sst2 agonists in the chemical ischemia and excitotoxicity model. Conclusion NO/peroxynitrite and cGMP appear to be important mediators in the protection of the retina from chemical ischemia. The NO/sGC/cGMP pathway is involved in the neuroprotective effects of the sst2 ligands in the same model and against AMPA excitotoxic insults. [source]


The Structure of Metallomicelles

CHEMISTRY - A EUROPEAN JOURNAL, Issue 8 2004
P. C. Griffiths Dr.
Abstract The morphology of micelles formed by two novel metallosurfactants has been studied by small-angle neutron scattering (SANS) and small-angle-X-ray scattering (SAXS). The two surfactants both contain a dodecyl chain as the hydrophobic moiety, but differ in the structure of the head group. The surfactants are CuII complexes of monopendant alcohol derivatives of a) the face-capping macrocycle 1,4,7-triazacyclanonane (tacn), and b) an analogue based upon the tetraazamacrocycle 1,4,7,10-tetraazacyclododecane. Here, neutron scattering has been used to study the overall size and shape of the surfactant micelles, in conjunction with X-ray scattering to locate the metal ions. For the 1,4,7,10-tetraazacyclododecane-based surfactant, oblate micelles are observed, which are smaller to the prolate micelles formed by the 1,4,7-triazacyclononane analogue. The X-ray scattering analysis shows that the metal ions are distributed throughout the polar head-group region, rather than at a well-defined radius; this is in good agreement with the SANS-derived dimensions of the micelle. Indeed, the same model for micelle morphology can be used to fit both the SANS and SAXS data. [source]