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Theoretical Models (theoretical + models)
Kinds of Theoretical Models Selected AbstractsBehavioral Facilitation of Medical Treatment for Headache,Part II: Theoretical Models and Behavioral Strategies for Improving AdherenceHEADACHE, Issue 9 2006Jeanetta C. Rains PhD This is the second of 2 articles addressing the problem of noncompliance in medical practice and, more specifically, compliance with headache treatment. The companion paper describes the problem of noncompliance in medical practice and reviews literature addressing compliance in headache care (Behavioral Facilitation of Medical Treatment for Headache,Part I: Review of Headache Treatment Compliance). The present paper first summarizes relevant health behavior theory to help account for the myriad biopsychosocial determinants of adherence, as well as patient's shifting responsiveness or "readiness for change" over time. Appreciation of health behavior models may assist in optimally tailoring interventions to patient needs through instructional, motivational, and behavioral treatment strategies. A wide range of specific cognitive and behavioral compliance-enhancing interventions are described, which may facilitate treatment adherence among headache patients. Strategies address patient education, patient/provider interaction, dosing regimens, psychiatric comorbidities, self-efficacy enhancement, and other behavioral interventions. [source] The Dynamics of Life Stressors and Depressive Symptoms in Early Adolescence: A Test of Six Theoretical ModelsCHILD DEVELOPMENT, Issue 4 2008Margaret Clements Structural equation modeling was used to compare 6 competing theoretically based psychosocial models of the longitudinal association between life stressors and depressive symptoms in a sample of early adolescents (N= 907; 40% Hispanic, 32% Black, and 19% White; mean age at Time 1 = 11.4 years). Only two models fit the data, both of which included paths modeling the effect of depressive symptoms on stressors recall: The mood-congruent cognitive bias model included only depressive symptoms to life stressors paths (DS,S), whereas the fully transactional model included paths representing both the DS,S and stressors to depressive symptoms (S,DS) effects. Social causation models and the stress generation model did not fit the data. Findings demonstrate the importance of accounting for mood-congruent cognitive bias in stressors,depressive symptoms investigations. [source] Incorporation of Recreational Fishing Effort into Design of Marine Protected AreasCONSERVATION BIOLOGY, Issue 5 2006TIM P. LYNCH consulta pública; modelos de reservas marinas; pesca con caña; suposiciones de poza dinámica Abstract:,Theoretical models of marine protected areas (MPAs) that explore benefits to fisheries or biodiversity conservation often assume a dynamic pool of fishing effort. For instance, effort is homogenously distributed over areas from which subsets of reserves are chosen. I tested this and other model assumptions with a case study of the multiple-use Jervis Bay Marine Park. Prior to zoning of the park I conducted 166 surveys of the park's recreational fisheries, plotting the location of 16,009 anglers. I converted these plots into diagrams of fishing effort and analyzed correlates between fishing and habitat and the effect of two reserve designs,the draft and final zoning plans of the park,on the 15 fisheries observed. Fisheries were strongly correlated with particular habitats and had negatively skewed and often bimodal spatial distribution. The second mode of intensely fished habitat could be 6 SD greater than the fishery's mean allocation of effort by area. In the draft-zoning plan, sanctuary zone (no-take) area and potential subduction of fishing effort were similar. In the final plan, which was altered in response to public comment, the area of sanctuary zone increased, and the impact on fishing effort decreased. In only one case was a fishery's most intensely targeted location closed to fishing. Because of the discriminating manner with which fishers target habitats, if simple percentage targets are used for planning, sanctuary location can be adjusted to avoid existing fishing effort. According to modeled outcomes, the implication of this may be diminished reserve effectiveness. To address this, reserve area should be implicitly linked to subducted fishing effort when promoting or modeling MPAs. Resumen:,Los modelos teóricos de áreas marinas protegidas (AMPs) que exploran los beneficios para las pesquerías o la conservación de la biodiversidad a menudo asumen que hay una poza dinámica en el esfuerzo de pesca. Por ejemplo, el esfuerzo es distribuido homogéneamente en áreas en las que se seleccionan subconjuntos de reservas. Probé esta y otras suposiciones del modelo con un estudio de caso del Parque Marino Jarvis Bay. Antes de la zonificación del parque, realicé 166 muestreos de las pesquerías recreativas del parque, dibujando la localización de 16,009 pescadores con caña. Convertí estos dibujos en diagramas de esfuerzo de pesca y analicé las correlaciones entre la pesca, el hábitat y el efecto de dos diseños de reserva,el anteproyecto y los planes finales de zonificación del parque,sobre las 15 pesquerías observadas. Las pesquerías se correlacionaron fuertemente con los hábitats particulares y tenían una distribución espacial sesgada negativamente y a menudo bimodal. El segundo tipo de hábitat pescado intensivamente podría ser 6 DS mayor que la asignación promedio de esfuerzo de pesquería por unidad de área. En el anteproyecto de plan de zonificación, el área santuario (sin pesca) y la subducción potencial del esfuerzo de pesca eran similares. En el plan final, que fue alterado en respuesta a comentarios del público, el área del santuario fue incrementada, y el impacto del esfuerzo de pesca disminuyó. En solo un caso fue cerrado a la pesca la localidad de pesca más intensiva. Debido a la forma discriminada en que los pescadores eligen los hábitats, si se utilizan objetivos porcentuales simples para la planificación, la localización del santuario puede ser ajustada para evitar el esfuerzo de pesca existente. De acuerdo con los resultados del modelo, la implicación puede ser la disminución de la efectividad de la reserva. Para abordar esto, el área de la reserva debiera estar implícitamente relacionada con la reducción del esfuerzo de pesca cuando se promueven o modelan AMPs. [source] Compositional effects accompanying near equilibrium vapour growth of solid solution crystals of the types IV-VI and II-VICRYSTAL RESEARCH AND TECHNOLOGY, Issue 7 2010A. Szczerbakow Abstract Near equilibrium evaporation-condensation in a sealed ampoule leads to almost full compositional reproduction of a solid solution if it consists of components having comparable vapour pressures; this can be qualitatively interpreted by domination of entropy increase. Nevertheless, even vestigial separation requires closer characteristics, since it may prove crucial , particularly for properties of semiconducting solid solutions. Maximum component separation allowed by a small temperature difference is described here in terms of thermodynamics and kinetics of solid-vapour and vapour-solid phase transitions. Theoretical models of the determining effects having different character are shortly described, and their applicability areas are determined. Experimental data collected for crystal growth of numerous semiconducting solid solutions of the II-VI and IV-VI type support the conclusion drawn from the models that the near equilibrium crystal growth from the vapour in a closed system ensures the highest degree of compositional uniformity. (© 2010 WILEY-VCH Verlag GmbH & Co. KGaA, Weinheim) [source] Preference and performance of the hyperparasitoid Syrphophagus aphidivorus (Hymenoptera: Encyrtidae): fitness consequences of selecting hosts in live aphids or aphid mummiesECOLOGICAL ENTOMOLOGY, Issue 6 2004R. Buitenhuis Abstract., 1.,Theoretical models predict that ovipositional decisions of parasitoid females should lead to the selection of the most profitable host for parasitoid development. Most parasitoid species have evolved specific adaptations to exploit a single host stage. However, females of the aphid hyperparasitoid Syrphophagous aphidivorus (Mayr) (Hymenoptera: Encyrtidae) display a unique and atypical oviposition behaviour by attacking either primary parasitoid larvae in live aphids, or parasitoid pupae in dead, mummified aphids. 2.,In the laboratory, the correlation between host suitability and host preference of S. aphidivorus on the host Aphidius nigripes Ashmead parasitising the aphid Macrosiphum euphorbiae (Thomas) was investigated. 3.,The relative suitability of the two host stages was determined by measuring hyperparasitoid fitness parameters (survival, development time, fecundity, sex ratio, and adult size of progeny), and calculating the intrinsic rate of population increase (rm). Host preference by S. aphidivorus females and the influence of aphid defence behaviour on host selection was also examined. 4.,Hyperparasitoid offspring performance was highest when developing from hosts in aphid mummies and females consistently preferred this host to hosts in parasitised aphids. Although aphid defensive behaviour may influence host selection, it was not a determining factor. Ecological and evolutionary processes that might have led to dual oviposition behaviour in S. aphidivorus are discussed. [source] Costs of Refuge Use Affect Escape Decisions of Iberian Rock Lizards Lacerta monticolaETHOLOGY, Issue 6 2000José Martín Theoretical models of anti-predator escape behaviour suggest that prey may adjust their escape response such that the optimal flight distance is the point at which the costs of staying exceed the costs of fleeing. Anti-predatory decisions should be made based also on consequences for long-term expected fitness, such as the costs of refuge use. For example, in lizards, the maintenance of an optimal body temperature is essential to maximize physiological processes. However, if unfavourable thermal conditions of refuges can decrease the body temperature of lizards, their escape decision should be influenced by refuge conditions. Analyses of the variation in flight distances and emergence latency from a refuge for the lizard Lacerta monticola under two different predation risk levels, and their relationship with the thermal environment, supported these predictions. When risk increased, lizards had longer emergence latencies, and thus costs of refuge use increased (a greater loss of time and body temperature). In the low-risk situation, lizards that were farther from the refuge had longer flight distances, whereas thermal conditions were less important. When risk increased, lizards had longer flight distances when refuges were farther off, but also when the external heating rate and the refuge cooling rate were lower. The results suggest that, in addition to the risk of predation, expected long-term fitness costs of refuges can also affect escape decisions. [source] NATURAL SELECTION ON A POLYMORPHIC DISEASE-RESISTANCE LOCUS IN IPOMOEA PURPUREAEVOLUTION, Issue 2 2007Joel M. Kniskern Although disease-resistance polymorphisms are common in natural plant populations, the mechanisms responsible for this variation are not well understood. Theoretical models predict that balancing selection can maintain polymorphism within a population if the fitness effects of a resistance allele vary from a net cost to a net benefit, depending upon the extent of pathogen damage. However, there have been a few attempts to determine how commonly this mechanism operates in natural plant,pathogen interactions. Ipomoea purpurea populations are often polymorphic for resistance and susceptibility alleles at a locus that influences resistance to the fungal pathogen, Coleosporium ipomoeae. We measured the fitness effects of resistance over three consecutive years at natural and manipulated levels of damage to characterize the type of selection acting on this locus. Costs of resistance varied in magnitude from undetectable to 15.5%, whereas benefits of resistance sometimes equaled, but never exceeded, these costs. In the absence of net benefits of resistance at natural or elevated levels of disease, we conclude that selection within individual populations of I. purpurea probably does not account completely for maintenance of this polymorphism. Rather, the persistence of this polymorphism is probably best explained by a combination of variable selection and meta-population processes. [source] EVOLUTION OF NICHE WIDTH AND ADAPTIVE DIVERSIFICATIONEVOLUTION, Issue 12 2004Martin Ackermann Abstract Theoretical models suggest that resource competition can lead to the adaptive splitting of consumer populations into diverging lineages, that is, to adaptive diversification. In general, diversification is likely if consumers use only a narrow range of resources and thus have a small niche width. Here we use analytical and numerical methods to study the consequences for diversification if the niche width itself evolves. We found that the evolutionary outcome depends on the inherent costs or benefits of widening the niche. If widening the niche did not have costs in terms of overall resource uptake, then the consumer evolved a niche that was wide enough for disruptive selection on the niche position to vanish; adaptive diversification was no longer observed. However, if widening the niche was costly, then the niche widths remained relatively narrow, allowing for adaptive diversification in niche position. Adaptive diversification and speciation resulting from competition for a broadly distributed resource is thus likely if the niche width is fixed and relatively narrow or free to evolve but subject to costs. These results refine the conditions for adaptive diversification due to competition and formulate them in a way that might be more amenable for experimental investigations. [source] ACCUMULATING DOBZHANSKY-MULLER INCOMPATIBILITIES: RECONCILING THEORY AND DATAEVOLUTION, Issue 6 2004John J. Welch Abstract Theoretical models of the accumulation of Dobzhansky-Muller incompatibilities (DMIs) are studied, and in particular, the framework introduced by Orr (1995) and a verbal model introduced by Kondrashov et al. (2002). These models embody very different assumptions about the relationship between the substitution process underlying evolutionary divergence and the formation of incompatibilities. These differences have implications for our ability to make inferences about the divergence from patterns in the relevant data. With this in mind, the models are investigated for their ability to account for three patterns evident in this data: (1) the asymmetrical nature of incompatibilities under reciprocal introgression; (2) the finding that multiple concurrent introgressions may be necessary for an incompatibility to form; and (3) the finding that the probability of obtaining an incompatibility by introgressing a single amino acid remains roughly constant over a wide range of genetic distances. None of the models available in the literature can account for all of the empirical patterns. However, modified versions of the models can do so. Ways of discriminating between the different models are then discussed. [source] Cycles and synchrony: two historical ,experiments' and one experienceJOURNAL OF ANIMAL ECOLOGY, Issue 5 2000Ottar N. Bjørnstad Summary 1.,Theoretical models predict that spatial synchrony should be enhanced in cyclic populations due to nonlinear phase-locking. 2.,This is supported by Rohani et al.,s (1999) comparison of spatial synchrony of epidemics in two childhood diseases prior to and during the vaccination era. Measles is both more synchronous and more cyclic before vaccination. Whooping cough, in contrast, is more synchronous during the vaccination era, during which multiannual fluctuations are also more conspicuous. 3.,Steen et al. (1990) analysed historic records of cyclic rodents, to show that cyclicity was lost during the early part of the 20th century. I reanalyse the data, and find that the loss of cyclicity is associated with loss of regional synchrony. 4.,I use a coupled map lattice model to show that imperfect phase-locking provides an alternative explanation for regionwide synchrony of cyclic populations. [source] Male,male combats in a polymorphic lizard: residency and size, but not color, affect fighting rules and contest outcomeAGGRESSIVE BEHAVIOR, Issue 3 2009Roberto Sacchi Abstract Theoretical models predict that the outcome of dyadic agonistic encounters between males is influenced by resource-holding potential, resource value, and intrinsic aggressiveness of contestants. Moreover, in territorial disputes residents enjoy a further obvious competitive advantage from the residency itself, owing to the intimate familiarity with their territory. Costs of physical combats are, however, dramatically high in many instances. Thus, signals reliably reflecting fighting ability of the opponents could easily evolve in order to reduce these costs. For example, variation in color morph in polymorphic species has been associated with dominance in several case studies. In this study, we staged asymmetric resident-intruder encounters in males of the common wall lizard Podarcis muralis, a species showing three discrete morphs (white, yellow, and red) to investigate the effects of asymmetries in color morph, residency, and size between contestants on the outcome of territorial contests. We collected aggression data by presenting each resident male with three intruders of different color morph, in three consecutive tests conducted in different days, and videotaping their interactions. The results showed that simple rules such as residency and body size differences could determine the outcome of agonistic interactions: residents were more aggressive than intruders, and larger males were competitively superior to smaller males. However, we did not find any effect of color on male aggression or fighting success, suggesting that color polymorphism in this species is not a signal of status or fighting ability in intermale conflicts. Aggr. Behav. 35:274,283, 2009. © 2009 Wiley-Liss, Inc. [source] Inference of parasite local adaptation using two different fitness componentsJOURNAL OF EVOLUTIONARY BIOLOGY, Issue 3 2007D. REFARDT Abstract Estimating parasite fitness is central to studies aiming to understand parasite evolution. Theoretical models generally use the basic reproductive rate R0 to express fitness, yet it is very difficult to quantify R0 empirically and experimental studies often use fitness components such as infection intensity or infectivity as substitutes. These surrogate measures may be biased in several ways. We assessed local adaptation of the microsporidium Ordospora colligata to its host, the crustacean Daphnia magna using two different parasite fitness components: infection persistence over several host generations in experimental populations and infection intensity in individual hosts. We argue that infection persistence is a close estimator of R0, whereas infection intensity measures only a component of it. Both measures show a pattern that is consistent with parasite local adaptation and they correlate positively. However, several inconsistencies between them suggest that infection intensity may at times provide an inadequate estimate of parasite fitness. [source] Relatedness affects competitive performance of a parasitic plant (Cuscuta europaea) in multiple infectionsJOURNAL OF EVOLUTIONARY BIOLOGY, Issue 4 2004S. Puustinen Abstract Theoretical models predict that parasite relatedness affects the outcome of competition between parasites, and the evolution of parasite virulence. We examined whether parasite relatedness affects competition between parasitic plants (Cuscuta europaea) that share common host plants (Urtica dioica). We infected hosts with two parasitic plants that were either half-siblings or nonrelated. Relative size asymmetry between the competing parasites was significantly higher in the nonrelated infections compared to infections with siblings. This higher asymmetry was caused by the fact that the performance of some parasite genotypes decreased and that of others increased when grown in multiple infections with nonrelated parasites. This result agrees with the predictions of theories on the evolution of parasite virulence: to enhance parasite transmission, selection may favour reduced competition with genetically related parasites in hosts infected by several genotypes. However, in contrast to the most common predictions, nonrelated infections were not more virulent than the sibling infections. [source] Theoretical Model for Conceptualizing Cross-Cultural Applications and Intervention Strategies for Parents of Children With DisabilitiesJOURNAL OF POLICY AND PRACTICE IN INTELLECTUAL DISABILITIES, Issue 4 2006Lorraine Wilgosh Abstract, Theoretical models should provide a framework to facilitate parents' developing effective life management strategies. This paper provides a brief overview of the research on parent effective life management and cross-cultural issues for families with a child who has disabilities. The authors note that the ability of image-making, meaning-making, and choice-making to facilitate outcome is clearly substantiated by research in the stress and coping literature. Using the parent transformational process model, the authors examined responses from 18 multicultural families to demonstrate how this model may go beyond description of relevant cross-cultural family variables in making sense of research findings and conceptualizing meaningful, and appropriate intervention strategies for families of children with disabilities. The authors conclude that rather than a linear process, it is quite likely that the critical questions that parents deal with at the diagnosis of their child reappear at other child and family markers, requiring a reworking of images and meanings and provision of a new range of choices. Professionals should be aware that parental adjustments to disability are not always linear, and thus use this awareness to not judge parents and to serve as catalysts for continued positive life management and transformation throughout the family life cycle. [source] Raman spectroscopy of optical phonon confinement in nanostructured materialsJOURNAL OF RAMAN SPECTROSCOPY, Issue 6 2007Akhilesh K. Arora Abstract If the medium surrounding a nano-grain does not support the vibrational wavenumbers of a material, the optical and acoustic phonons get confined within the grain of the nanostructured material. This leads to interesting changes in the vibrational spectrum of the nanostructured material as compared to that of the bulk. Absence of periodicity beyond the particle dimension relaxes the zone-centre optical phonon selection rule, causing the Raman spectrum to have contributions also from phonons away from the Brillouin-zone centre. Theoretical models and calculations suggest that the confinement results in asymmetric broadening and shift of the optical phonon Raman line, the magnitude of which depends on the widths of the corresponding phonon dispersion curves. This has been confirmed for zinc oxide nanoparticles. Microscopic lattice dynamical calculations of the phonon amplitude and Raman spectra using the bond-polarizability model suggest a power-law dependence of the peak-shift on the particle size. This article reviews recent results on the Raman spectroscopic investigations of optical phonon confinement in several nanocrystalline semiconductor and ceramic/dielectric materials, including those in selenium, cadmium sulphide, zinc oxide, thorium oxide, and nano-diamond. Resonance Raman scattering from confined optical phonons is also discussed. Copyright © 2007 John Wiley & Sons, Ltd. [source] Variability in red supergiant stars: pulsations, long secondary periods and convection noiseMONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 4 2006L. L. Kiss ABSTRACT We study the brightness variations of galactic red supergiant stars using long-term visual light curves collected by the American Association of Variable Star Observers over the last century. The full sample contains 48 red semiregular or irregular variable stars, with a mean time-span of observations of 61 yr. We determine periods and period variability from analyses of power density spectra and time,frequency distributions. We find two significant periods in 18 stars. Most of these periods fall into two distinct groups, ranging from a few hundred to a few thousand days. Theoretical models imply fundamental, first and possibly second overtone mode pulsations for the shorter periods. Periods greater than 1000 d form a parallel period,luminosity relation that is similar to the long secondary periods of the asymptotic giant branch stars. A number of individual power spectra shows a single mode resolved into multiple peaks under a Lorentzian envelope, which we interpret as evidence for stochastic oscillations, presumably caused by the interplay of convection and pulsations. We find a strong 1/f noise component in the power spectra that is remarkably similar in almost all stars of the sample. This behaviour fits the picture of irregular photometric variability caused by large convection cells, analogous to the granulation background seen in the Sun. [source] Are Ecosystem Composition, Structure, and Functional Status Related to Restoration Success?RESTORATION ECOLOGY, Issue 2 2006A Test from Semiarid Mediterranean Steppes Abstract Theoretical models emphasize the importance of considering the composition, structure, and functioning of an ecosystem when restoring it. However, there is a lack of empirical studies evaluating how these ecosystem attributes are linked, if any, to the success of restoration actions. We conducted experimental plantings of the native late-successional shrub Pistacia lentiscus in 10 semiarid steppes located in southeast Spain and related seedling survival rates to measures of ecosystem structure and composition and to surrogates of ecosystem functioning. Seedling survival widely differed among the studied steppes and 17 months after planting ranged from 0 to 89%. Mortality occurred mostly during the first summer in the field, coinciding with a strong drought lasting 3 months. Survival was lower in the steppes located at the highest altitudes and with the highest values of total plant cover, species richness, shrub cover, and functionality. Seedling survival was mainly controlled by abiotic conditions and showed a negative relationship with some of the surrogates of ecosystem functioning evaluated. Our results suggest, but cannot confirm, that the functional status of the ecosystem may not limit the early stages of establishment of P. lentiscus in semiarid steppes and that abiotic conditions play an overriding role in this process. If true, its introduction in these areas would not necessarily need a previous phase of recovery of ecosystem functions like nutrient cycling and infiltration. [source] Annotation: The therapeutic alliance , a significant but neglected variable in child mental health treatment studiesTHE JOURNAL OF CHILD PSYCHOLOGY AND PSYCHIATRY AND ALLIED DISCIPLINES, Issue 5 2006Jonathan Green Background:, There has been relatively little research into therapeutic alliance in child and adolescent mental health and virtually no incorporation of alliance measures as a variable in treatment trials in Child and Adolescent Mental Health Services (CAMHS). Method:, A selective literature review on studies in therapeutic alliance in adulthood and childhood along with a theoretical formulation of possible mechanisms of alliance. Results:, Therapeutic alliance is reliably measurable both by observation and questionnaire methods at all points in the treatment cycle. In both adult and child studies it shows a consistent, albeit modest, association with treatment outcome. In specific adult studies it has shown a high predictive validity in relation to outcome compared to other variables. In child studies alliance is particularly salient in externalising disorder and predicts outcome of inpatient treatment. Child alliance and parental alliance are independent factors. Theoretical models of alliance outlined in this paper suggest testable hypotheses regarding predictors for positive and negative alliance. Conclusions:, Therapeutic alliance in CAMHS is measurable and worth measuring. It is likely to be an important variable for treatment outcome studies and should be included in future trial designs. [source] Non-Linear Dynamics of Inflation in High Inflation EconomiesTHE MANCHESTER SCHOOL, Issue 2000J. D. Byers Attempts by governments to finance a substantial proportion of expenditure by seigniorage can lead to multiple inflationary equilibria. Theoretical models suggest that, in these circumstances, inflation follows a non-linear process with up to three steady states and that the stability characteristics of these depend on the process by which expectations are formed. In this paper we show that the exponential smooth transition autoregression (ESTAR) model is capable of exhibiting the required characteristics and so provides a suitable vehicle for analysing inflation in high inflation economies. We estimate ESTAR models for three well-known inflationary episodes,the German hyperinflation of the early 1920s and post-Second World War inflations in Argentina and Brazil. Our results imply that, during the periods in question, each of these economies possessed a stable low-level equilibrium rate of inflation but that the variances of inflation shocks were large enough to drive each economy into a high inflation state. For Brazil, this high inflation state is stable around a particular value but in the cases of Argentina and Germany the high inflation state is characterized by inflation cycles. [source] Perceptions of vaccine safety in a global contextACTA PAEDIATRICA, Issue 2 2010T Callréus Abstract Given the serious consequences of low vaccine coverage, concerns and misconceptions need to be taken seriously and responded to appropriately to sustain accomplishments of immunization programmes. For parental decisions related to childhood vaccinations, it seems reasonable to assume that the cultural context of the immunization programme is of importance. This article is a short review of some recent studies of parental decision-making on vaccination in developed countries Kazaktstan, Uzbekistan and Northern Nigeria. Furthermore, an attempt is made to relate the findings in these studies to theoretical models of parental decision-making. Conclusion:, For the implementation of immunization programmes, it is important to develop an in-depth understanding of mechanisms underlying decisions to accept or reject the vaccination of a child. Theoretical models may aid in the understanding of these mechanisms. [source] How correct is the EOS of weakly nonideal hydrogen plasmas?CONTRIBUTIONS TO PLASMA PHYSICS, Issue 5-6 2003A.N. Starostin Abstract Helioseismology opens new possibility to check EOS of weakly nonideal hydrogen plasmas with high precision, using reconstructed local sound velocities within 10-4 accuracy. A comparison of different theoretical models with experiment permits to verify the existing methods of calculation bound states and continuum contribution to the second virial coefficient within the framework of physical nature. The regular way of the deduction expression for EOS is presented and generalization of the EOS for broad atomic states and two temperature non-equilibrium case is proposed. (© 2003 WILEY-VCH Verlag GmbH & Co. KGaA, Weinheim) [source] What is problem solving?CRIMINAL BEHAVIOUR AND MENTAL HEALTH, Issue 4 2001A review of theory, applications, research Introduction Structured training or therapy programmes designed to develop cognitive problem-solving skills are now widely used in criminal justice and mental health settings. Method This paper describes the conceptual origins and theoretical models on which such programmes are based, and provides a historical overview of their development. Theoretical formulations of problem-solving deficits have also been used to inform the design of intervention programmes, and a number of studies and evaluations of such interventions are reviewed, with particular reference to criminal and other antisocial behaviour. Discussion In recent years there has been steadily growing supportive evidence for the benefits of this approach. However, there are also several aspects of its application that require further investigation, and some of the remaining questions are identified. Copyright © 2001 Whurr Publishers Ltd. [source] The factors influencing the abrasion efficiency of saltating grains on a clay-crusted playaEARTH SURFACE PROCESSES AND LANDFORMS, Issue 5 2001Christopher A. Houser Abstract The entrainment and subsequent transport of PM10 (particulate matter <10,µm) has become an important and challenging focus of research for both scientific and practical applications. Arid and semi-arid environments are important sources for the atmospheric loading of PM10, although the emission of this material is often limited by surface crusts. It has been suggested that the primary mechanisms through which PM10 is released from a crusted surface are abrasion by saltating grains or disturbance by agricultural and recreational activities. To examine the importance of saltation abrasion in the emission of PM10, a series of field wind tunnel tests were conducted on a clay-crusted surface near Desert Wells, Arizona. In a previous part of this study it was found that the emission rate varies linearly with the saltation transport rate, although there can be considerable variation in this relationship. This paper more closely examines the source of the variability in the abrasion efficiency, the amount of PM10 emitted by a given quantity of saltating grains. The abrasion efficiency was found to vary with the susceptibility of the surface to abrasion, the ability of the sand to abrade that surface and the availability of material with a caliper size <10,µm within the crust. Specifically, the results of the study show that the abrasion efficiency is related to the crust strength, the amount of surface disturbance and the velocity of the saltating grains. It is concluded that the spatial and temporal variability of these controls on the abrasion efficiency imposes severe contextual limitations on experimentally derived models, and can make theoretical models too complex and impractical to be of use. Copyright© 2001 John Wiley & Sons, Ltd. [source] Empirical estimate of fundamental frequencies and damping for Italian buildingsEARTHQUAKE ENGINEERING AND STRUCTURAL DYNAMICS, Issue 8 2009Maria Rosaria Gallipoli Abstract The aim of this work is to estimate the fundamental translational frequencies and relative damping of a large number of existing buildings, performing ambient vibration measurements. The first part of the work is devoted to the comparison of the results obtained with microtremor measurements with those obtained from earthquake recordings using four different techniques: horizontal-to-vertical spectral ratio, standard spectral ratio, non-parametric damping analysis (NonPaDAn) and half bandwidth method. We recorded local earthquakes on a five floors reinforced concrete building with a pair of accelerometers located on the ground and on top floor, and then collected microtremors at the same location of the accelerometers. The agreement between the results obtained with microtremors and earthquakes has encouraged extending ambient noise measurements to a large number of buildings. We analysed the data with the above-mentioned methods to obtain the two main translational frequencies in orthogonal directions and their relative damping for 80 buildings in the urban areas of Potenza and Senigallia (Italy). The frequencies determined with different techniques are in good agreement. We do not have the same satisfactory results for the estimates of damping: the NonPaDAn provides estimates that are less dispersed and grouped around values that appear to be more realistic. Finally, we have compared the measured frequencies with other experimental results and theoretical models. Our results confirm, as reported by previous authors, that the theoretical period,height relationships overestimate the experimental data. Copyright © 2008 John Wiley & Sons, Ltd. [source] Dynamic performance of twin curved cable-stayed bridgesEARTHQUAKE ENGINEERING AND STRUCTURAL DYNAMICS, Issue 1 2004C. Gentile Abstract The dynamic behaviour of two curved cable-stayed bridges, recently constructed in northern Italy, has been investigated by full-scale testing and theoretical models. Two different excitation techniques were employed in the dynamic tests: traffic-induced ambient vibrations and free vibrations. Since the modal behaviour identified from the two types of test are very well correlated and a greater number of normal modes was detected during ambient vibration tests, the validity of the ambient vibration survey is assessed in view of future monitoring. For both bridges, 11 vibration modes were identified in the frequency range of 0ndash;10Hz, being a one-to-one correspondence between the observed modes of the two bridges. Successively, the information obtained from the field tests was used to validate and improve 3D finite elements so that the dynamic performance of the two systems were assessed and compared based on both the experimental results and the updated theoretical models. Copyright © 2003 John Wiley & Sons, Ltd. [source] Density-dependent dispersal in birds and mammalsECOGRAPHY, Issue 3 2005Erik Matthysen Density-dependent dispersal can be caused by various mechanisms, from competition inducing individuals to emigrate (positive density-dependence) to social crowding effects impeding free movement (negative density-dependence). Various spatial population models have incorporated positively density-dependent dispersal algorithms, and recent theoretical models have explored the conditions for density-dependent dispersal (DD) to evolve. However, while the existence of DD is well documented in some taxa such as insects, there is no clear picture on its generality in vertebrates. Here I review the available empirical data on DD in birds and mammals, focusing mainly on variation in dispersal between years and on experimental density manipulations. Surprisingly few studies have explicitly focused on DD, and interpretation of the available data is often hampered by differences in approach, small sample sizes and/or statistical shortcomings. Positive DD was reported in 50 and 33% of the selected mammal and bird studies, respectively, while two studies on mammals (out of eight) reported negative DD. Among bird studies, DD was more often reported for emigration rates or long-distance recoveries than for average distances within finite study areas. Experimental studies manipulating densities (mainly on mammals) have consistently generated positive DD, typically showing reduced emigration in response to partial population removal. Studies that examined dispersal in relation to seasonal changes in density (small mammals only) have more often reported negative DD. Studies that compared dispersal between sites differing in density, also show a mixture of positive and negative DD. This suggests that dispersal changes in a more complex way with seasonal and spatial density variation than with annual densities, and/or that these results are confounded by other factors differing between seasons and sites, such as habitat quality. I conclude that both correlational and experimental studies support the existence of positive, rather than negative, density-dependent dispersal in birds and mammals. [source] Patterns and causes of species richness: a general simulation model for macroecologyECOLOGY LETTERS, Issue 9 2009Nicholas J. Gotelli Abstract Understanding the causes of spatial variation in species richness is a major research focus of biogeography and macroecology. Gridded environmental data and species richness maps have been used in increasingly sophisticated curve-fitting analyses, but these methods have not brought us much closer to a mechanistic understanding of the patterns. During the past two decades, macroecologists have successfully addressed technical problems posed by spatial autocorrelation, intercorrelation of predictor variables and non-linearity. However, curve-fitting approaches are problematic because most theoretical models in macroecology do not make quantitative predictions, and they do not incorporate interactions among multiple forces. As an alternative, we propose a mechanistic modelling approach. We describe computer simulation models of the stochastic origin, spread, and extinction of species' geographical ranges in an environmentally heterogeneous, gridded domain and describe progress to date regarding their implementation. The output from such a general simulation model (GSM) would, at a minimum, consist of the simulated distribution of species ranges on a map, yielding the predicted number of species in each grid cell of the domain. In contrast to curve-fitting analysis, simulation modelling explicitly incorporates the processes believed to be affecting the geographical ranges of species and generates a number of quantitative predictions that can be compared to empirical patterns. We describe three of the ,control knobs' for a GSM that specify simple rules for dispersal, evolutionary origins and environmental gradients. Binary combinations of different knob settings correspond to eight distinct simulation models, five of which are already represented in the literature of macroecology. The output from such a GSM will include the predicted species richness per grid cell, the range size frequency distribution, the simulated phylogeny and simulated geographical ranges of the component species, all of which can be compared to empirical patterns. Challenges to the development of the GSM include the measurement of goodness of fit (GOF) between observed data and model predictions, as well as the estimation, optimization and interpretation of the model parameters. The simulation approach offers new insights into the origin and maintenance of species richness patterns, and may provide a common framework for investigating the effects of contemporary climate, evolutionary history and geometric constraints on global biodiversity gradients. With further development, the GSM has the potential to provide a conceptual bridge between macroecology and historical biogeography. [source] Resolving the biodiversity paradoxECOLOGY LETTERS, Issue 8 2007James S. Clark Abstract The paradox of biodiversity involves three elements, (i) mathematical models predict that species must differ in specific ways in order to coexist as stable ecological communities, (ii) such differences are difficult to identify, yet (iii) there is widespread evidence of stability in natural communities. Debate has centred on two views. The first explanation involves tradeoffs along a small number of axes, including ,colonization-competition', resource competition (light, water, nitrogen for plants, including the ,successional niche'), and life history (e.g. high-light growth vs. low-light survival and few large vs. many small seeds). The second view is neutrality, which assumes that species differences do not contribute to dynamics. Clark et al. (2004) presented a third explanation, that coexistence is inherently high dimensional, but still depends on species differences. We demonstrate that neither traditional low-dimensional tradeoffs nor neutrality can resolve the biodiversity paradox, in part by showing that they do not properly interpret stochasticity in statistical and in theoretical models. Unless sample sizes are small, traditional data modelling assures that species will appear different in a few dimensions, but those differences will rarely predict coexistence when parameter estimates are plugged into theoretical models. Contrary to standard interpretations, neutral models do not imply functional equivalence, but rather subsume species differences in stochastic terms. New hierarchical modelling techniques for inference reveal high-dimensional differences among species that can be quantified with random individual and temporal effects (RITES), i.e. process-level variation that results from many causes. We show that this variation is large, and that it stands in for species differences along unobserved dimensions that do contribute to diversity. High dimensional coexistence contrasts with the classical notions of tradeoffs along a few axes, which are often not found in data, and with ,neutral models', which mask, rather than eliminate, tradeoffs in stochastic terms. This mechanism can explain coexistence of species that would not occur with simple, low-dimensional tradeoff scenarios. [source] Darwin's cross-promotion hypothesis and the evolution of stylar polymorphismECOLOGY LETTERS, Issue 12 2004Adeline C. Cesaro Abstract There is growing appreciation that the ecological factors which impact on rates of pollen transfer can contribute significantly to reproductive trait evolution in plants. In heterostylous species, several studies support Darwin's claim that the reciprocal positions of stigmas and anthers enhance inter-morph mating in comparison to intra-morph mating and thus the maintenance of the polymorphism. In this study, we evaluate the relative importance of intra-morph and inter-morph pollen transfers in Narcissus assoanus, a species with dimorphic variation in style length but non-reciprocity of anther positions. This stigma-height dimorphism represents a transitional stage in theoretical models of the evolution of distyly. Seed set variation on recipient plants with donor plants of a single morph in experimental arrays in a natural population illustrate that inter-morph cross-pollination is more efficient that intra-morph cross-pollination as a result of high rates of pollen transfer from long-styled to short-styled plants. The observed rates of pollen transfer satisfy the theoretical conditions for the establishment of a stigma-height dimorphism in an ancestral monomorphic long-styled population in pollen-limited situations. These results provide experimental evidence for the Darwinian hypothesis that enhanced inter-morph cross-pollination facilitates not only the maintenance of heterostyly but also the establishment of transitional forms implicated in the evolution of this polymorphism. [source] Cyclical electrical field flow fractionationELECTROPHORESIS, Issue 9 2005Bruce K. Gale Abstract Cyclical electrical field flow fractionation (Cy/ElFFF) is demonstrated in a standard electrical field flow fractionation (ElFFF) channel for the first time. Motivation for the use of alternating current (AC) fields in a traditionally direct current (DC) technique are discussed. The function of the system over a wide range of operating conditions is explored and challenges associated with various operating conditions reported. Retention of polystyrene nanoparticle standards is accomplished and the effect of varying parameters of the applied field, such as voltage and frequency, are explored. The first separations using this technique are demonstrated. The experimental results are compared to analytical models previously reported in the literature. The general trend of the experimental results is similar to those predicted in theoretical models and possible reasons for discrepancies are elucidated. Suggestions are made for improving the separation and analysis method, and possible applications explored. [source] |