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Selected AbstractsA program for the design of linear time invariant control systems: CDMCADCOMPUTER APPLICATIONS IN ENGINEERING EDUCATION, Issue 3 2004M. Koksal Abstract Coefficient Diagram Method (CDM) is a new method proposed for the analysis and design of linear time-invariant control systems. The control system design by this method results with satisfactory stability, time response and robustness properties compatible with, and in most cases better than, the ones obtained by the other present design methods. In this study, the design procedure described in the literature for CDM is improved so that a systematic and easy tool with understandable sufficient detail is presented. A visual toolbox, which can be used efficiently both for education and research, is obtained based on the procedure presented by using MATLAB. © 2004 Wiley Periodicals, Inc. Comput Appl Eng Educ 12: 165,174, 2004; Published online in Wiley InterScience (www.interscience.wiley.com); DOI 10.1002/cae.20011 [source] Steady-State Analysis of Water Distribution Networks Including Pressure-Reducing ValvesCOMPUTER-AIDED CIVIL AND INFRASTRUCTURE ENGINEERING, Issue 4 2001L. Khezzar Hydraulic networks that contain controlling elements such as pressure-reducing valves (PRVs) are difficult to simulate. Limited literature exists on the explicit modeling of PRVs in a general solution procedure for steady-state analysis of water distribution systems. It is also known that inclusion of PRVs may lead to numerical difficulties. The objective of this article is to develop and present in sufficient detail the modeling of PRVs in combination with the linear theory method for steady-state analysis of water distribution networks. The presentation is explicit enough and leads to a robust algorithm that can be directly implemented in a computer program. The general methodology for simulating water distribution networks that embodies graph theoretic concepts, hydraulic theory, and numerical algorithms is reviewed. [source] Tracking Fragmentation of Natural Communities and Changes in Land Cover: Applications of Landsat Data for Conservation in an Urban Landscape (Chicago Wilderness)CONSERVATION BIOLOGY, Issue 4 2001Yeqiao Wang Within the metropolis survive some of the world's best remaining examples of eastern tallgrass prairie, oak savanna, open oak woodland, and prairie wetland. Chicago Wilderness is more than 81,000 ha of protected areas in the urban and suburban matrix. It also is the name of the coalition of more than 110 organizations committed to the survival of these natural lands. The long-term health of these imperiled communities depends on proper management of the more extensive, restorable lands that surround and connect the patches of high-quality habitat. Information critical to the success of conservation efforts in the region includes (1) a current vegetation map of Chicago Wilderness in sufficient detail to allow quantitative goal setting for the region's biodiversity recovery plan; (2) quantified fragmentation status of the natural communities; and (3) patterns of land-cover change and their effects on the vitality of communities under threat. We used multispectral data from the Landsat thematic mapper (October 1997) and associated ground truthing to produce a current vegetation map. With multitemporal remote-sensing data (acquired in 1972, 1985, and 1997), we derived land-cover maps of the region at roughly equivalent intervals over the past 25 years. Analyses with geographic information system models reveal rapid acceleration of urban and suburban sprawl over the past 12 years. Satellite images provide striking visual comparisons of land use and health. They also provide banks of geographically referenced data that make quantitative tracking of trends possible. The data on habitat degradation and fragmentation are the biological foundation of quantitative goals for regional restoration. Resumen: En Chicago hay una concentración de comunidades naturales globalmente significativas sorprendentemente alta. En la metrópolis sobreviven algunos de los mejores ejemplos mundiales remanentes de praderas de pastos orientales, sabanas de roble, bosques abiertos de roble y humedales de pradera. Chicago Wilderness es más de 81,000 ha de áreas protegidas en la matriz urbana y suburbana. También es el nombre de una coalición de más de 110 organizaciones dedicadas a la supervivencia de esas tierras naturales. La salud a largo plazo de estas comunidades amenazadas depende del manejo adecuado de las tierras, más extensas y restaurables, que rodean y conectan a los fragmentos de hábitat de alta calidad. La información crítica para el éxito de los esfuerzos de conservación en la región incluye: (1) un mapa actualizado de la vegetación de Chicago Wilderness con suficiente detalle para que la definición de metas cuantitativas para el plan de recuperación de la región sea posible; (2) cuantificación de la fragmentación de las comunidades naturales y (3) patrones de cambio de cobertura de suelo y sus efectos sobre la vitalidad de las comunidades amenazadas. Utilizamos datos multiespectrales del mapeador temático Landsat (octubre 1997) y verificaciones de campo asociadas para producir el mapa actualizado de vegetación. Con datos de percepción remota multitemporales (obtenidos en 1972, 1985 y 1997), derivamos los mapas de cobertura de suelo en la región en intervalos equivalentes en los últimos 25 años. El análisis de los modelos SIG revela una rápida aceleramiento del crecimiento urbano y suburbano en los últimos 12 años. Las imágenes de satélite proporcionan comparaciones visuales notables del uso y condición del suelo. También proporcionan bancos de datos referenciados geográficamente que hacen posible el rastreo de tendencias cuantitativas. Los datos de degradación y fragmentación del hábitat son la base biológica de metas cuantitativas para la restauración regional. [source] Eating disorders in females with type 1 diabetes: an update of a meta-analysisEUROPEAN EATING DISORDERS REVIEW, Issue 4 2002Søren Nielsen Abstract Objective: Firstly to provide a quantitative summary of existing studies on the occurrence of eating disorders (ED) in females with type 1 diabetes (IDDM), with the focus on retinopathy and insulin misuse for the different eating disorders. Secondly to disseminate knowledge about useful statistical tools. Research Design and Methods: Data were extracted from the relevant case,control and follow-up studies. Odds ratios (OR) and risk differences (RD) were the main effect sizes analysed. Analyses were based on ,exact' methods as many studies are sparse. Data and findings are presented in sufficient detail for re-analysis. Results: An hypothesis of an increase in Anorexia Nervosa (AN) in IDDM is not supported by existing evidence. Bulimia Nervosa is increased (OR,=,2.9 (95%CI: 1.03 to 8.4); pOR,=,0.04) in IDDM. Both ED-NOS and subthreshold ED is increased (OR ,2; pOR,<,0.001) in females with IDDM. Co-existing ED in IDDM increases the overall common OR for retinopathy to 4.8 (95%CI: 3.0 to 7.8); pOR,<,0.00001, and the overall mean RD is 33% (95%CI: 25% to 42%); pRD,<,0.001. Insulin misuse (IM) is increased when ED co-exists with IDDM: OR 12.6 (95%CI: 7.8 to 21.1); pOR,<,0.00001, and mean RD is 40% (95%CI: 29% to 50%); pRD,<,0.001. Conclusions: ED-NOS and subthreshold ED seem to be the quantitatively most important EDs in type 1 diabetic females. Mismanagement of diabetes in the form of IM is frequent in eating disordered IDDM probands. Early occurrence of retinopathy and other complications is an increased risk in concurrent cases, as is premature death. The implications of Binge Eating Disorder (BED) and overweight needs to be elucidated for both type 1 and type 2 diabetes. Copyright © 2002 John Wiley & Sons, Ltd and Eating Disorders Association. [source] Pressure boundary condition for the time-dependent incompressible Navier,Stokes equationsINTERNATIONAL JOURNAL FOR NUMERICAL METHODS IN FLUIDS, Issue 6 2006R. L. Sani Abstract In Gresho and Sani (Int. J. Numer. Methods Fluids 1987; 7:1111,1145; Incompressible Flow and the Finite Element Method, vol. 2. Wiley: New York, 2000) was proposed an important hypothesis regarding the pressure Poisson equation (PPE) for incompressible flow: Stated there but not proven was a so-called equivalence theorem (assertion) that stated/asserted that if the Navier,Stokes momentum equation is solved simultaneously with the PPE whose boundary condition (BC) is the Neumann condition obtained by applying the normal component of the momentum equation on the boundary on which the normal component of velocity is specified as a Dirichlet BC, the solution (u, p) would be exactly the same as if the ,primitive' equations, in which the PPE plus Neumann BC is replaced by the usual divergence-free constraint (, · u = 0), were solved instead. This issue is explored in sufficient detail in this paper so as to actually prove the theorem for at least some situations. Additionally, like the original/primitive equations that require no BC for the pressure, the new results establish the same thing when the PPE approach is employed. Copyright © 2005 John Wiley & Sons, Ltd. [source] Searching for the Intervention in Intervention Research ReportsJOURNAL OF NURSING SCHOLARSHIP, Issue 1 2008Vicki S. Conn Purpose: Precisely described interventions in nursing research reports are essential as a foundation for nursing practice and to facilitate future research. The purpose of this project was to characterize the intervention descriptions in nursing intervention research reports. Design and Methods: Quantitative content analysis was used to analyze intervention descriptions in reports published in English-language general nursing journals during 2005. Normative analysis was used to examine reports for details related to intervention content and delivery. Physical unit analysis was used to compare relative amounts of article space devoted to intervention description vs. other methodological details. Findings: Results were tabulated for 141 research articles published in 27 journals. Analysis indicated incomplete reporting of intervention details in many articles. Dose and dosing frequency were rarely completely defined. Delivery setting and interventionist were frequently not indicated, and the professional credentials of nurse interventionists were often unclear. While descriptions of interventions involving substances or devices were typically detailed, the specifics of psychological, educational, behavioral, and systems-level interventions were often lacking. Intervention descriptions averaged 7.27% of total article space, whereas nonintervention methodological descriptions averaged 20.74% of space. Of studies examined, only 38 (27.0%) reported enough detail to potentially replicate the study or translate the intervention into practice. Conclusions: Intervention descriptions in general nursing journals lack sufficient detail to provide the evidence basis for practice. [source] Probing residue-specific interactions in the stabilization of proteins using high-resolution NMR: A study of disulfide bond compensationJOURNAL OF PHARMACEUTICAL SCIENCES, Issue 6 2010Andria L. Skinner Abstract It is well established that the oxidation state of cysteine residues in proteins is critical to overall physical stability. Disulfide bonds most often impart thermodynamic stability, but in some cases, diminish it. Predicting the circumstances that lead to each outcome is difficult because mechanistic information is lacking. Because the techniques typically used to study protein stability do not provide sufficient detail, high-resolution NMR was used in combination with low-resolution analysis to obtain mechanistic information regarding disulfide bond formation in a model protein. Tm (CD) and Tonset (SLS) for the reduced and oxidized wild type and C104S and C49S mutants were measured. The mutant proteins have altered Tms and Tonsets compared to the reduced wild type, indicating that differences in local interactions of the Cys side chains are important for stability. The NMR spectra clearly show distinct differences in the chemical environment surrounding these Cys residues and the overall tertiary structure. The C49S protein, which is less stable and more aggregation prone than reduced wild type, lacks a hydrogen bond between Y53 and H103. Increased flexibility of the Y53-containing loop is correlated with increased dynamics and unraveling of ,2, which likely leads to edge strand initiated aggregation of the central ,-sheet. © 2010 Wiley-Liss, Inc. and the American Pharmacists Association J Pharm Sci 99: 2643,2654, 2010 [source] A PROCESS ANALYSIS OF GLOBAL TRADE MANAGEMENT: AN INDUCTIVE APPROACH,JOURNAL OF SUPPLY CHAIN MANAGEMENT, Issue 2 2010WARREN H. HAUSMAN This paper describes a new, detailed process model for Global Trade Management (GTM) that contains sufficient detail on cross-border trade processes to estimate the benefits of Information Technology-Enabled Global Trade Management (IT-GTM). Our methodology combines a grounded theory approach with data analysis and analytical modeling. GTM describes the processes required to support cross-border transactions between importers, exporters, their trading partners and governments. IT-GTM is the set of information technologies and software solutions that can be used by companies to carry out their global trading processes in a streamlined manner. We collect data on time reductions for individual trade process steps using IT-GTM and use Critical Path Analysis to calculate the resulting improvements in key metrics such as the Manufacture to Invoice Cycle and Days Sales Outstanding for exporters, and the Order to Receipt Cycle for importers. Under reasonably conservative scenarios the gross savings from IT-GTM amount to 1.7 percent and 0.6 percent of annual sales for exporters and importers, respectively. [source] Promoting Strategic Learning by Eighth-Grade Students Struggling in Mathematics: A Report of Three Case StudiesLEARNING DISABILITIES RESEARCH & PRACTICE, Issue 3 2005Deborah L. Butler Participants were three eighth-grade students enrolled in a learning assistance classroom who were of at least average intelligence but who were performing significantly below grade level in mathematics. These case studies document the processes by which these students were supported to self-regulate their learning in mathematics more effectively. We begin by outlining important instructional foci in mathematics education for intermediate or secondary students with learning disabilities, along with what research indicates are effective instructional processes. In that context, we introduce the theoretical principles underlying the instructional model used here,Strategic Content Learning (SCL). Based on analyses of case study data, we describe how SCL instruction was structured to promote strategic learning. Throughout the discussion, intervention processes are described in sufficient detail to be of use to practitioners. [source] Methodological challenges when monitoring the diet of pregnant women in a large study: experiences from the Norwegian Mother and Child Cohort Study (MoBa)MATERNAL & CHILD NUTRITION, Issue 1 2008Helle Margrete Meltzer Abstract The aim of this article is to describe the main methodological challenges in the monitoring of dietary intake in the Norwegian Mother and Child Cohort Study (MoBa), a pregnancy cohort aiming to include 100 000 participants. The overall challenge was to record dietary patterns in sufficient detail to support future testing of a broad range of hypotheses, while at the same time limiting the burden on the participants. The main questions to be answered were: which dietary method to choose, when in pregnancy to ask, which time period should the questions cover, which diet questions to include, how to perform a validation study, and how to handle uncertainties in the reporting. Our decisions were as follows: using a semi-quantitative food frequency questionnaire (FFQ) (in use from 1 March 2002), letting the participants answer in mid-pregnancy, and asking the mother what she has eaten since she became pregnant. The questions make it possible to estimate intake of food supplements, antioxidants and environmental contaminants in the future. Misreporting is handled by consistency checks. Reports with a calculated daily energy intake of <4.5 and >20 MJ day,1 are excluded, about 1% in each end of the scale. A validation study confirmed that the included intakes are realistic. The outcome of our methodological choices indicates that our FFQ strikes a reasonable balance between conflicting methodological and scientific interests, and that our approach therefore may be of use to others planning to monitor diet in pregnancy cohorts. [source] Non-invasive tracking of avian development in vivo by MRINMR IN BIOMEDICINE, Issue 4 2009Bianca Hogers Abstract Conventional microscopic techniques, to study embryonic development, require large numbers of embryos and are invasive, making follow-up impossible. We explored the use of in vivo MRI to study embryonic development, in general, and cardiovascular development in particular, over time. Wild-type quail embryos (n,=,11) were imaged at embryonic days 3, 5, 7, 9, and 11, covering the main time course of embryonic heart development. On each imaging day cardiac morphology was evaluated and embryonic length was measured. MRI-embryos as well as control embryos (n,=,11) were sacrificed at day 11 and scored for external malformations, while embryonic wet weight and stage were determined. In addition, venous clipped embryos (n,=,4), known to develop cardiovascular malformations, were scanned at regular intervals and sacrificed at day 9 for histological analysis ex vivo. We were able to follow heart development of individual quail embryos inside their shell non-invasively over time, with sufficient detail to study cardiac morphology in vivo. We did not find any adverse effect of the repeated MRI examinations on morphology, length, or weight. Prenatally diagnosed malformations, like ventricular septal defects and aortic arch interruptions were confirmed by histology. In conclusion, micro-MRI can be used to evaluate in vivo early embryonic development and to diagnose cardiovascular malformations prenatally. Copyright © 2008 John Wiley & Sons, Ltd. [source] An Application of Activity TheoryPERFORMANCE IMPROVEMENT QUARTERLY, Issue 2 2006James A. Marken Activity Theory has often been used in workplace settings to gain new theoretical understandings about work and the humans who engage in work, but rarely has there been sufficient detail in the literature to allow HPT practitioners to do their own activity analysis. The detail presented in this case is sufficient for HPT practitioners to begin to use Activity Theory as an analytical framework. The case described here tells in detail of an activity analysis done with the global sales and marketing training department of a U.S.-based Fortune 500 multinational corporation. With a facilitator coaching them in its use, the team was able to use Activity Theory both as a debriefing tool and proactively to plan a training intervention in Japan. As a result of the team's work, potential cultural conflicts were avoided, improvements for later training interventions were identified, and knowledge and experience were mutually shared. [source] Overview of model-building strategies in population PK/PD analyses: 2002,2004 literature surveyBRITISH JOURNAL OF CLINICAL PHARMACOLOGY, Issue 5 2007C. Dartois What is already known about this subject ,,The reviews already published on population pharmacokinetic/pharmacodynamic (PK/PD) analyses have focused on theory and have presented some clinical applications, evaluated validation practices in limited circumstances, defined the interest and sometimes the complexity of this approach in drug development or proposed a list of relevant articles. ,,None of them has exhaustively evaluated published analyses and more precisely the model-building steps. ,,In view of the statistical complexity of population PK/PD methodology, more attention is required to how models are built and how they are reported in the literature. What this study adds ,,With a strict methodology and by establishing a standardized tool, this survey provides an exhaustive, objective and up-to-date review of model-building practices. ,,It reveals deficiencies in information reporting in most articles and the genuine need for guidance in publishing. ,,An initial, minimal list of items is suggested, which can be used by authors and reviewers in pharmacology journals. ,,The value of published peer-reviewed papers could be greatly improved if authors were to address the suggested list of items systematically. Aims A descriptive survey of published population pharmacokinetic and/or pharmacodynamic (PK/PD) analyses from 2002 to 2004 was conducted and an evaluation made of how model building was performed and reported. Methods We selected 324 articles in Pubmed using defined keywords. A data abstraction form (DAF) was then built comprising two parts: general characteristics including article identification, context of the analysis, description of clinical studies from which the data arose, and model building, including description of the processes of modelling. The papers were examined by two readers, who extracted the relevant information and transmitted it directly to a MySQL database, from which descriptive statistical analysis was performed. Results Most published papers concerned patients with severe pathology and therapeutic classes suffering from narrow therapeutic index and/or high PK/PD variability. Most of the time, modelling was performed for descriptive purposes, with rich rather than sparse data and using NONMEM software. PK and PD models were rarely complex (one or two compartments for PK; Emax for PD models). Covariate testing was frequently performed and essentially based on the likelihood ratio test. Based on a minimal list of items that should systematically be found in a population PK,PD analysis, it was found that only 39% and 8.5% of the PK and PD analyses, respectively, published from 2002 to 2004 provided sufficient detail to support the model-building methodology. Conclusions This survey allowed an efficient description of recent published population analyses, but also revealed deficiencies in reporting information on model building. [source] Using small molecules to study big questions in cellular microbiologyCELLULAR MICROBIOLOGY, Issue 8 2002Gary E. Ward Summary High-throughput screening of small molecules is used extensively in pharmaceutical settings for the purpose of drug discovery. In the case of antimicrobials, this involves the identification of small molecules that are significantly more toxic to the microbe than to the host. Only a small percentage of the small molecules identified in these screens have been studied in sufficient detail to explain the molecular basis of their antimicrobial effect. Rarer still are small molecule screens undertaken with the explicit goal of learning more about the biology of a particular microbe or the mechanism of its interaction with its host. Recent technological advances in small molecule synthesis and high-throughput screening have made such mechanism-directed small molecule approaches a powerful and accessible experimental option. In this article, we provide an overview of the methods and technical requirements and we dis-cuss the potential of small molecule approaches to address important and often otherwise experimentally intractable problems in cellular microbiology. [source] Guidelines for submitting adverse event reports for publication,,PHARMACOEPIDEMIOLOGY AND DRUG SAFETY, Issue 5 2007FISPE (Chair), William N. Kelly Pharm D Publication of case reports describing suspected adverse effects of drugs and medical products that include herbal and complementary medicines, vaccines, and other biologicals and devices is important for postmarketing surveillance. Publication lends credence to important signals raised in these adverse event reports. Unfortunately, deficiencies in vital information in published cases can often limit the value of such reports by failing to provide sufficient details for either (i) a differential diagnosis or provisional assessment of cause-effect association, or (ii) a reasonable pharmacological or biological explanation. Properly described, a published report of one or more adverse events can provide a useful signal of possible risks associated with the use of a drug or medical product which might warrant further exploration. A review conducted by the Task Force authors found that many major journals have minimal requirements for publishing adverse event reports, and some have none at all. Based on a literature review and our collective experience in reviewing adverse event case reports in regulatory, academic, and industry settings, we have identified information that we propose should always be considered for inclusion in a report submitted for publication. These guidelines have been endorsed by the International Society for Pharmacoepidemiology (ISPE) and the International Society of Pharmacovigilance (ISoP) and are freely available on the societies' web sites. Their widespread distribution is encouraged. ISPE and ISoP urge biomedical journals to adopt these guidelines and apply them to case reports submitted for publication. They also encourage schools of medicine, pharmacy, and nursing to incorporate them into the relevant curricula that address the detection, evaluation, and reporting of suspected drug or other medical product adverse events. Copyright © 2007 Kelly et al. Reproduced with permission by John Wiley & Sons, Ltd. [source] |