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Selected AbstractsTowards an integrated GIS-based coastal forecast workflowCONCURRENCY AND COMPUTATION: PRACTICE & EXPERIENCE, Issue 14 2008Gabrielle Allen Abstract The SURA Coastal Ocean Observing and Prediction (SCOOP) program is using geographical information system (GIS) technologies to visualize and integrate distributed data sources from across the United States and Canada. Hydrodynamic models are run at different sites on a developing multi-institutional computational Grid. Some of these predictive simulations of storm surge and wind waves are triggered by tropical and subtropical cyclones in the Atlantic and the Gulf of Mexico. Model predictions and observational data need to be merged and visualized in a geospatial context for a variety of analyses and applications. A data archive at LSU aggregates the model outputs from multiple sources, and a data-driven workflow triggers remotely performed conversion of a subset of model predictions to georeferenced data sets, which are then delivered to a Web Map Service located at Texas A&M University. Other nodes in the distributed system aggregate the observational data. This paper describes the use of GIS within the SCOOP program for the 2005 hurricane season, along with details of the data-driven distributed dataflow and workflow, which results in geospatial products. We also focus on future plans related to the complimentary use of GIS and Grid technologies in the SCOOP program, through which we hope to provide a wider range of tools that can enhance the tools and capabilities of earth science research and hazard planning. Copyright © 2008 John Wiley & Sons, Ltd. [source] Markets, Institutions and Technology: Missing Links in Livelihoods AnalysisDEVELOPMENT POLICY REVIEW, Issue 3 2003Andrew Dorward The benefits of livelihoods thinking and approaches are widely recognised. This article focuses on an important gap in much of the conceptualization and application of ,livelihood approaches', a lack of emphasis on markets and their roles in livelihood development and poverty reduction. The omission is important, as it can lead to failure to identify and act on a wider range of market, institutional and technological opportunities and constraints. An alternative conceptualisation is proposed, with markets as one particular set of institutional mechanisms for co-ordination and exchange in an economy. It is argued that more explicit attention to interactions between institutions, technology and assets in livelihood analysis may be valuable in conceptualising and managing programmes for livelihood development and poverty reduction. [source] The therapeutic relationship in secondary mental health care: a conceptual review of measuresACTA PSYCHIATRICA SCANDINAVICA, Issue 4 2007J. Catty Objective: The study aimed to determine the conceptual basis of measures of the patient,professional relationship used in routine mental health services research by reviewing their face, content and construct validity. Method: A comprehensive literature search identified measures of the relationship used in mental health services research. The conceptual basis of each identified measure was identified by a review of measures' authors assessments of face, content and construct validity plus item analysis of the measures themselves. Results: The search identified 15 measures. The seven developed in psychotherapy were likely to be better validated conceptually; most were based on therapeutic alliance models. Measures developed specifically for mental health services were based on a wider range of models including global assessments of the relationship. Conclusion: Most of the better validated measures originate in psychotherapy, but there is limited evidence for their validity in general mental health services. Four measures are recommended. [source] Pattern-reversal visual evoked potentials in infants: gender differences during early visual maturationDEVELOPMENTAL MEDICINE & CHILD NEUROLOGY, Issue 5 2002CA Malcolm BScN RN RGN This paper investigates gender differences in the peak latency and amplitude of the P1 component of the pattern-reversal visual evoked potential (pattern-reversal VEP) recorded in healthy term infants. Pattern-reversal VEPs in response to a series of high contrast black and white checks (check widths 120,, 60,, 30,, 24,, 12,, 6,) were recorded in 50 infants (20 males, 30 females) at 50 weeks post-conceptional age (PCA) and in 49 infants (22 males, 27 females) at 66 weeks PCA. Peak latency of the major component, P1, was considerably shorter in female compared with male infants. Differences in head circumference do not entirely account for the gender differences in peak latency reported here. A gender difference in P1 amplitude was not detected. These findings stress the importance of considering gender norms as well as age-matched norms when utilizing the pattern-reversal VEP in clinical investigations. Studies including a wider range of ages are clearly necessary in order to establish whether the earlier peak latencies in female infants represents a difference in the onset or rate of visual maturation. [source] Coarse sediment transport in mountain streams in Colorado and Wyoming, USAEARTH SURFACE PROCESSES AND LANDFORMS, Issue 3 2005Sandra E. Ryan Abstract Since the early 1990s, US Forest Service researchers have made thousands of bedload measurements in steep, coarse-grained channels in Colorado and Wyoming, USA. In this paper we use data from 19 of those sites to characterize patterns and rates of coarse sediment transport for a range of channel types and sizes, including step,pool, plane-bed, pool,riffle, and near-braided channels. This effort builds upon previous work where we applied a piecewise regression model to (1) relate flow to rates of bedload transport and (2) define phases of transport in coarse-grained channels. Earlier, the model was tested using bedload data from eight sites on the Fraser Experimental Forest near Fraser, Colorado. The analysis showed good application to those data and to data from four supplementary channels to which the procedure was applied. The earlier results were, however, derived from data collected at sites that, for the most part, have quite similar geology and runoff regimes. In this paper we evaluate further the application of piecewise regression to data from channels with a wider range of geomorphic conditions. The results corroborate with those from the earlier work in that there is a relatively narrow range of discharges at which a substantial change in the nature of bedload transport occurs. The transition from primarily low rates of sand transport (phase I) to higher rates of sand and coarse gravel transport (phase II) occurs, on average, at about 80 per cent of the bankfull (1·5-year return interval) discharge. A comparison of grain sizes moved during the two phases showed that coarse gravel is rarely trapped in the samplers during phase I transport. Moreover, the movement and capture of the D16 to D25 grain size of the bed surface seems to correspond with the onset of phase II transport, particularly in systems with largely static channel surfaces. However, while there were many similarities in observed patterns of bedload transport at the 19 studied sites, each had its own ,bedload signal' in that the rate and size of materials transported largely reflected the nature of flow and sediment particular to that system. Published in 2005 by John Wiley & Sons, Ltd. [source] A stability criterion inherent in laws governing alluvial channel flowEARTH SURFACE PROCESSES AND LANDFORMS, Issue 9 2002He Qing Huang Abstract The stability criterion of maximum flow efficiency (MFE) has previously been found inherent in typical alluvial channel flow relationships, and this study investigates the general nature of this criterion using a wider range of flow resistance and bedload transport formulae. For straight alluvial channels, in which the effect of sediment sorting is insignificant, our detailed mathematical analysis demonstrates that a flow efficiency factor , occurs generally as the ratio of sediment (bedload) discharge Qs to stream power , (,QS) in the form of . When , is maximized (i.e. Qs is maximized or , is minimized), maximally efficient straight channel geometries derived from most flow resistance and bedload transport formulae are found compatible with observed bankfull hydraulic geometry relations. This study provides support for the use of the criteria of MFE, maximum sediment transporting capacity and minimum stream power for understanding the operation of alluvial rivers, and also addresses limitations to the direct application of its findings. Copyright © 2002 John Wiley & Sons, Ltd. [source] Testing abundance-range size relationships in European carabid beetles (Coleoptera, Carabidae)ECOGRAPHY, Issue 5 2003D. Johan Kotze Four of the eight hypotheses proposed in the literature for explaining the relationship between abundance and range size (the sampling artifact, phylogenetic non-independence, range position and resource breadth hypotheses) were tested by using atlas data for carabid beetles (Coleoptera, Carabidae) from Belgium, Denmark and the Netherlands. A positive relationship between abundance and partial range size was found in all three countries, and the variation in abundance was lower for widespread species. Analysis of the data did not support three of the proposed hypotheses, but did support the resource breadth hypothesis (species having broader environmental tolerances and being able to use a wider range or resources will have higher local densities and be more widely distributed than more specialised species). Examination of species' characteristics revealed that widespread species are generally large bodied, generalists (species with wide niche breadths occurring in a variety of habitat types) and are little influenced by human-altered landscapes, while species with restricted distributions are smaller bodied, specialists (species with small niche breadths occurring in only one or two habitat types), and favour natural habitat. Landscape alteration may be an important factor influencing carabid abundance and range size in these three countries with a long history of human-induced environmental changes. [source] Escape from natural enemies during climate-driven range expansion: a case studyECOLOGICAL ENTOMOLOGY, Issue 3 2008ROSA MENÉNDEZ Abstract 1.,A major, and largely unexplored, uncertainty in projecting the impact of climate change on biodiversity is the consequence of altered interspecific interactions, for example between parasitoids and their hosts. The present study investigated parasitism in the Brown Argus butterfly, Aricia agestis; a species that has expanded northward in Britain during the last 30 years in association with climate warming. 2.,Aricia agestis larvae suffered lower mortality from parasitoids in newly colonised areas compared with long-established populations. This result was consistent over four consecutive generations (2 years) when comparing one population of each type, and also when several populations within the historical and recently colonised range of the species were compared within a single year. Thus, A. agestis appears to be partially escaping from parasitism as it expands northwards. 3.,Reduced parasitism occurred despite the fact that several of the parasitoid species associated with A. agestis were already present in the newly colonised areas, supported predominantly by an alternative host species, the Common Blue butterfly, Polyommatus icarus. 4.,As the species expand their distributions into areas of increased climatic suitability, invasion fronts may escape from natural enemies, enhancing rates of range expansion. The results suggest that the decoupling of interspecific interactions may allow some species to exploit a wider range of environments and to do so more rapidly than previously thought possible. [source] Effects of species diversity on disease riskECOLOGY LETTERS, Issue 4 2006F. Keesing Abstract The transmission of infectious diseases is an inherently ecological process involving interactions among at least two, and often many, species. Not surprisingly, then, the species diversity of ecological communities can potentially affect the prevalence of infectious diseases. Although a number of studies have now identified effects of diversity on disease prevalence, the mechanisms underlying these effects remain unclear in many cases. Starting with simple epidemiological models, we describe a suite of mechanisms through which diversity could increase or decrease disease risk, and illustrate the potential applicability of these mechanisms for both vector-borne and non-vector-borne diseases, and for both specialist and generalist pathogens. We review examples of how these mechanisms may operate in specific disease systems. Because the effects of diversity on multi-host disease systems have been the subject of much recent research and controversy, we describe several recent efforts to delineate under what general conditions host diversity should increase or decrease disease prevalence, and illustrate these with examples. Both models and literature reviews suggest that high host diversity is more likely to decrease than increase disease risk. Reduced disease risk with increasing host diversity is especially likely when pathogen transmission is frequency-dependent, and when pathogen transmission is greater within species than between species, particularly when the most competent hosts are also relatively abundant and widespread. We conclude by identifying focal areas for future research, including (1) describing patterns of change in disease risk with changing diversity; (2) identifying the mechanisms responsible for observed changes in risk; (3) clarifying additional mechanisms in a wider range of epidemiological models; and (4) experimentally manipulating disease systems to assess the impact of proposed mechanisms. [source] Total population density during the first year of life as a major determinant of lifetime body-length trajectory in marble troutECOLOGY OF FRESHWATER FISH, Issue 4 2008S. Vincenzi Abstract,,, The conditions experienced early in life can strongly influence life-history trajectories in a variety of animal species. Here, we use data from four isolated populations of the endangered stream-dwelling salmonid marble trout (Salmo marmoratus Cuvier 1817) living in the Soca and Idrijca river basins (Slovenia) to explore the influence of the total density experienced during and after the first year of life by marble trout year-classes on body length of marble trout through the lifetime. Analyses were performed by pooling together the stream-specific datasets to cover a wider range of densities. Mean body length of marble trout year-classes through the lifetime (from age 1+ to 5+) was negatively related to total density of marble trout during the first year of life. The relationship between density during the first growth period and body length through the lifetime was well described by negative power curves. Total population density after the first year of life was not correlated with body length, thus suggesting that body growth trajectories are heavily determined early in life. Given size-dependent sexual maturity and egg production in marble trout, the relationship between density early in life and lifetime individual growth may have strong implications in terms of population dynamics and regulation of population size. [source] Avoidance tests in site-specific risk assessment,influence of soil properties on the avoidance response of collembola and earthworms,ENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 5 2008Tiago Natal-da-Luz Abstract The ability of organisms to avoid contaminated soils can act as an indicator of toxic potential in a particular soil. Based on the escape response of earthworms and Collembola, avoidance tests with these soil organisms have great potential as early screening tools in site-specific assessment. These tests are becoming more common in soil ecotoxicology, because they are ecologically relevant and have a shorter duration time compared with standardized soil toxicity tests. The avoidance response of soil invertebrates, however, can be influenced by the soil properties (e.g., organic matter content and texture) that affect behavior of the test species in the exposure matrix. Such an influence could mask a possible effect of the contaminant. Therefore, the effects of soil properties on performance of test species in the exposure media should be considered during risk assessment of contaminated soils. Avoidance tests with earthworms (Eisenia andrei) and springtails (Folsomia candida) were performed to identify the influence of both organic matter content and texture on the avoidance response of representative soil organisms. Distinct artificial soils were prepared by modifying quantities of the standard artificial soil components described by the Organization for Economic Co-operation and Development to achieve different organic matter and texture classes. Several combinations of each factor were tested. Results showed that both properties influenced the avoidance response of organisms, which avoided soils with low organic matter content and fine texture. Springtails were less sensitive to changes in these soil constituents compared with earthworms, indicating springtails can be used for site-specific assessments of contaminated soils with a wider range of respective soil properties. [source] Quantitative structure-activity relationship methods: Perspectives on drug discovery and toxicologyENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 8 2003Roger Perkins Abstract Quantitative structure,activity relationships (QSARs) attempt to correlate chemical structure with activity using statistical approaches. The QSAR models are useful for various purposes including the prediction of activities of untested chemicals. Quantitative structure,activity relationships and other related approaches have attracted broad scientific interest, particularly in the pharmaceutical industry for drug discovery and in toxicology and environmental science for risk assessment. An assortment of new QSAR methods have been developed during the past decade, most of them focused on drug discovery. Besides advancing our fundamental knowledge of QSARs, these scientific efforts have stimulated their application in a wider range of disciplines, such as toxicology, where QSARs have not yet gained full appreciation. In this review, we attempt to summarize the status of QSAR with emphasis on illuminating the utility and limitations of QSAR technology. We will first review two-dimensional (2D) QSAR with a discussion of the availability and appropriate selection of molecular descriptors. We will then proceed to describe three-dimensional (3D) QSAR and key issues associated with this technology, then compare the relative suitability of 2D and 3D QSAR for different applications. Given the recent technological advances in biological research for rapid identification of drug targets, we mention several examples in which QSAR approaches are employed in conjunction with improved knowledge of the structure and function of the target receptor. The review will conclude by discussing statistical validation of QSAR models, a topic that has received sparse attention in recent years despite its critical importance. [source] Drug use patterns and mental health of regular amphetamine users during a reported ,heroin drought'ADDICTION, Issue 7 2004Amanda Baker ABSTRACT Aims The present study extends the findings of a pilot study conducted among regular amphetamine users in Newcastle, NSW, in 1998. It compares key features between current participants in a state capital city (Brisbane) and a regional city (Newcastle) and between the 1998 and current Newcastle sample. Design Cross-sectional survey. Setting Brisbane and Newcastle, Australia. Participants The survey was conducted among 214 regular amphetamine users within the context of a randomized controlled trial of brief interventions for amphetamine use. Measurements Demographic characteristics, past and present alcohol and other drug use and mental health, treatment, amphetamine-related harms and severity of dependence. Findings The main findings were as follows: (i) the rate of mental health problems was high among regular amphetamine users and these problems commonly emerged after commencement of regular amphetamine use; (ii) there were regional differences in drug use with greater accessibility to a wider range of drugs in a state capital city and greater levels of injecting risk-taking behaviour outside the capital city environment; and (iii) there was a significant increase in level of amphetamine use and percentage of alcohol users, a trend for a higher level of amphetamine dependence and a significant reduction in the percentage of people using heroin and benzodiazepines among the 2002 Newcastle cohort compared to the 1998 cohort. Conclusions Further longitudinal research is needed to elucidate transitions from one drug type to another and from recreational to injecting and regular use and the relationship between drug use and mental health in prospective studies among users. Implications Intervention research should evaluate the effectiveness of interventions aimed at: preventing transition to injecting and regular use of amphetamines; toward reducing levels of depression among amphetamine users and interventions among people with severe psychopathology and personality disorders; and toward reducing the prevalence of tobacco dependence among amphetamine users. [source] Caloric restriction for longevity: I. Paradigm, protocols and physiological findings in animal researchEUROPEAN EATING DISORDERS REVIEW, Issue 5 2004Kelly M. Vitousek Abstract The initial article in this series reviews basic findings in the field of caloric restriction for longevity (CRL). To eating disorder specialists, the data are disconcerting. The chronic dieting and subnormal weight we endeavour to prevent and treat in humans appear highly beneficial when imposed on animals. In the laboratory, organisms from nematodes to monkeys thrive when forced to undereat, as long as they receive sufficient micronutrients. The most remarkable results are obtained through the most extreme measures: mice, for example, do best if limited to a third of expected caloric intake, beginning soon after weaning and continuing throughout adulthood. Deprivation can be achieved through an ,anorexic' protocol of steady underconsumption or a ,bulimic' pattern in which periods of fasting alternate with bouts of binge eating. The benefits of such regimens include delayed senescence, postponement and/or attenuation of age-related disease and dramatic increases in average and maximum lifespan. Although some biological functions are impaired (including growth, reproduction and perhaps resistance to certain stressors), the cost/benefit ratio clearly favours CRL when calculated on the basis of physical outcomes in late age. Advocacy of comparable regimens for people, however, is ill-considered. Enthusiasm for CRL can be sustained only by detaching deprivation from the context of daily life, ignoring psychological effects, and dismissing data on human semi-starvation and eating disorders. The experiences of participants in Biosphere 2 and individuals with anorexia nervosa suggest that the price of CRL is unacceptably high when a wider range of outcome variables is examined. Copyright © 2004 John Wiley & Sons, Ltd and Eating Disorders Association. [source] EPR Insensitivity of the Metal-Nitrosyl Spin-Bearing Moiety in Complexes [LnRuII -NO·]kEUROPEAN JOURNAL OF INORGANIC CHEMISTRY, Issue 14 2004Stéphanie Frantz Abstract A survey of 18 paramagnetic species [LnRu(NO)]k, including seven new examples studied by in situ electrolysis, reveals a surprisingly narrow range of EPR parameters despite a wide variety of ligands such as pyridine, polypyridines, imines, amines, nitriles, phosphanes, carbonyl, cyclopentadienides, halides, hydride, hydroxide, thiocyanate or cyanide: g1 = 2.015 ± 0.02, g2 = 1.990 ± 0.015, g3 = 1.892 ± 0.03, gav = 1.968 ± 0.02, ,g = g1 , g3 = 0.122 ± 0.037, A2(14N) = 3.3 ± 0.5 mT. This rather small variability, smaller still if the organometallic compounds are excluded, differs from the wider range of EPR data reported for nitrosyliron species with S = 1/2; apparently, the {RuNO}7 configuration involves a rather invariant and relatively covalent metal,NO interaction. DFT calculations were employed for [(NC)5Ru(NO)]3, to reproduce the EPR data, to evaluate the spin distribution (58% spin density on NO), and to reveal structural changes on reduction such as the Ru,N,O bending and Ru,NO bond lengthening. In addition, the possibility of staggered and eclipsed conformations is discussed. (© Wiley-VCH Verlag GmbH & Co. KGaA, 69451 Weinheim, Germany, 2004) [source] Going Ultra: How We Can Increase the Length Scales Studied in Small-Angle Neutron Scattering,ADVANCED ENGINEERING MATERIALS, Issue 6 2009Melissa A. Sharp Abstract Small-angle neutron scattering (SANS) has over the years proved to be a popular technique to investigate a variety of problems in materials science, since the length scales probed by this technique (1,100,nm) are ideal for many systems. However, there are a number of problems where the length scale of interest is larger. In order to study such systems it is possible to combine SANS with ultra-small-angle neutron scattering (USANS). This allows the study of structures from a few nanometers up to 50,µm. Here it is shown how the combination of SANS and USANS has allowed for a wider range of problems within materials science and polymer science to be solved. [source] How (not) to operationalise subnational political opportunity structures: A critique of Kestilä and Söderlund's study of regional electionsEUROPEAN JOURNAL OF POLITICAL RESEARCH, Issue 3 2009KAI ARZHEIMER Based on an aggregate analysis of the French regional elections of 2004, Kestilä and Söderlund, in their 2007 article, ,Subnational Political Opportunity Structures and the Success of the Radical Right: Evidence from the March 2004 Regional Elections in France', examine the impact of subnational political opportunity structures on the success of the radical right and argue that such an approach can control for a wider range of factors and provide more reliable results than cross-national analyses. The present article disputes this claim on theoretical, conceptual and methodological grounds and demonstrates that their empirical findings are spurious. [source] Political opportunity structures and right-wing extremist party successEUROPEAN JOURNAL OF POLITICAL RESEARCH, Issue 3 2006KAI ARZHEIMER West European right-wing extremist parties have received a great deal of attention over the past two decades due to their electoral success. What has received less coverage, however, is the fact that these parties have not enjoyed a consistent level of electoral support across Western Europe during this period. This article puts forward an explanation of the variation in the right-wing extremist party vote across Western Europe that incorporates a wider range of factors than have been considered previously. It begins by examining the impact of socio-demographic variables on the right-wing extremist party vote. Then, it turns its attention to a whole host of structural factors that may potentially affect the extreme right party vote, including institutional, party-system and conjunctural variables. The article concludes with an assessment of which variables have the most power in explaining the uneven electoral success of right-wing extremist parties across Western Europe. The findings go some way towards challenging the conventional wisdom as to how the advance of the parties of the extreme right may be halted. [source] Evaluation of detergents for the soluble expression of ,-helical and ,-barrel-type integral membrane proteins by a preparative scale individual cell-free expression systemFEBS JOURNAL, Issue 23 2005Christian Klammt Cell-free expression has become a highly promising tool for the fast and efficient production of integral membrane proteins. The proteins can be produced as precipitates that solubilize in mild detergents usually without any prior denaturation sttif. Alternatively, membrane proteins can be synthesized in a soluble form by adding detergents to the cell-free system. However, the effects of a representative variety of detergents on the production, solubility and activity of a wider range of membrane proteins upon cell-free expression are currently unknown. We therefore analyzed the cell-free expression of three structurally very different membrane proteins, namely the bacterial ,-helical multidrug transporter, EmrE, the ,-barrel nucleoside transporter, Tsx, and the porcine vasopressin receptor of the eukaryotic superfamily of G-protein coupled receptors. All three membrane proteins could be produced in amounts of several mg per one ml of reaction mixture. In general, the detergent 1-myristoyl-2-hydroxy- sn -glycero-3-[phospho- rac -(1-glycerol)] was found to be most effective for the resolubilization of membrane protein precipitates, while long chain polyoxyethylene-alkyl-ethers proved to be most suitable for the soluble expression of all three types of membrane proteins. The yield of soluble expressed membrane protein remained relatively stable above a certain threshold concentration of the detergents. We report, for the first time, the high-level cell-free expression of a ,-barrel type membrane protein in a functional form. Structural and functional variations of the analyzed membrane proteins are evident that correspond with the mode of expression and that depend on the supplied detergent. [source] Vertical distribution and behaviour of shrimp Pandalus borealis larval stages in thermally stratified water columns: laboratory experiment and field observationsFISHERIES OCEANOGRAPHY, Issue 5 2006PATRICK OUELLET Abstract By combining field data and laboratory observations of larvae in a simulated thermal gradient, we described the ontogenetic changes in vertical distribution and behaviour of early stages of shrimp Pandalus borealis in thermally stratified water columns. Both in the laboratory and at stations in the north-western Gulf of St Lawrence, the first two larval stages appear to actively select and maintain a position in the upper layer of warmer temperatures, within the thermocline and above the cold (<1°C) intermediate layer. Stage III larvae were distributed deeper in the water column and in colder waters than the previous two stages. Stage IV and V larvae showed the highest degree of swimming activity in the laboratory and a much wider range (from surface to ,200 m) in vertical distribution in the field. The shift to deeper waters and settlement to the bottom habitat appears to happen after the fifth moult, at stage VI. We propose that the pattern of vertical distribution in the field reflects the adjustment of the different developmental stages to the distribution of preferred prey. The description of the ontogenetic change in the vertical distributions and movements of early stages of P. borealis should be valuable information for future attempts to model larval transport and dispersion, and for detecting settlement/recruitment areas using 3D ocean circulation models. The identification of the thermal habitat of the different larval stages and the timing for settlement at the bottom also provides important information for the development of temperature-dependent growth models up to the first juvenile stages. [source] Strategies for Success: Profiling the Effective Learner of GermanFOREIGN LANGUAGE ANNALS, Issue 3 2001Jennifer Bruen The primary objective of this study is to identify the language-learning strategies associated with the achievement of higher levels of oral proficiency in German for 100 Irish students about to complete their second year at Dublin City University. It also investigates the way in which these strategies are used by those with higher and lower levels of proficiency. The methodology combines quantitative assessment (using questionnaires)with in-depth, qualitative interviews. The article begins by explaining key concepts in the field of language learning strategy research and then reviews a selection of relevant studies. An experiment designed to achieve the above objectives is then described. The results indicate that more-proficient students use more language-learning strategies, in particular more cognitive and metacognitive strategies. Furthermore, ten. strategies correlate with higher levels of oral proficiency at a significant level. These provide a tentative strategic profile of the more effective learner of German. Finally, the qualitative findings suggest that more-proficient students use language-learning strategies in a more structured and purposeful manner and apply them to a wider range of situations and tasks. Finally, implications for future research and for the language classroom are discussed. [source] Invasions and niche width: does niche width of an introduced crayfish differ from a native crayfish?FRESHWATER BIOLOGY, Issue 8 2009KARIN OLSSON Summary 1. Human activities have promoted the spread of species worldwide. Several crayfish species have been introduced into new areas, posing a threat to native crayfish and other biota. Invader success may depend on the ability to utilise a wide variety of habitats and resources. Successful invaders are generally expected to have broader niches and to be more plastic than non-invasive species. 2. Using stable isotope ratios of carbon and nitrogen we compared the niche widths of native noble crayfish and introduced signal crayfish, a successful invader of Swedish streams. The calculation of niche width took account of between-site differences in basal resource isotope signature ranges. We also assessed whether population density, prey biomass or prey diversity affected niche width. 3. At the species level, signal crayfish had twice the niche width of noble crayfish. However, individual populations of noble crayfish and signal crayfish in Swedish streams had similar niche widths. This suggests that signal crayfish has greater plasticity with respect to habitat utilisation and feeding than noble crayfish. Niche width in both species correlated positively with benthic invertebrate biomass and diversity, indicating that animal food sources are important for crayfish. 4. We find that assessing niche width in relation to invader success can be a useful tool trying to predict the impact of invasions on different scales. The findings in this study suggest that invaders and natives will have a similar impact on the stream scale whereas the invader will have a larger impact on the regional scale due to the ability to utilise a wider range of streams. [source] A critical evaluation of genomic control methods for genetic association studiesGENETIC EPIDEMIOLOGY, Issue 4 2009Tony Dadd Abstract Population stratification is an important potential confounder of genetic case-control association studies. For replication studies, limited availability of samples may lead to imbalanced sampling from heterogeneous populations. Genomic control (GC) can be used to correct ,2 test statistics which are presumed to be inflated by a factor ,; this may be estimated by a summary ,2 value (,median or ,mean) from a set of unlinked markers. Many studies applying GC methods have used fewer than 50 unlinked markers and an important question is whether this can adequately correct for population stratification. We assess the behavior of GC methods in imbalanced case-control studies using simulation. SNPs are sampled from two subpopulations with intra-continental levels of FST (,0.005) and sampling schemata ranging from balanced to completely imbalanced between subpopulations. The sampling properties of ,median and ,mean are explored using 6,1,600 unlinked markers to estimate Type 1 error and power empirically. GC corrections based on the ,2 -distribution (GCmedian or GCmean) can be anti-conservative even when more than 100 single nucleotide polymorphisms (SNPs) are genotyped and realistic levels of population stratification exist. The GCF procedure performs well over a wider range of conditions, only becoming anti-conservative at low levels of , and with fewer than 25 SNPs genotyped. A substantial loss of power can arise when population stratification is present, but this is largely independent of the number of SNPs used. A literature survey shows that most studies applying GC have used GCmedian or GCmean, rather than GCF, which is the most appropriate GC correction method. Genet. Epidemiol. 2009. © 2008 Wiley Liss, Inc. [source] Early Cretaceous bivalves of the Neuquén Basin, west-central Argentina: notes on taxonomy, palaeobiogeography and palaeoecologyGEOLOGICAL JOURNAL, Issue 2 2007Dario G. Lazo Abstract This paper provides an updated taxonomic inventory of the bivalve fauna collected in the Pilmatué Member of the Agrio Formation of the Neuquén Basin, west-central Argentina, places the fauna in its palaeobiogeographic setting, and addresses its palaeoecological significance. Thirty-one Late Valanginian to Early Hauterivian bivalve species within 24 genera were identified. A large part (32%) of the identified bivalve species occur over a wide geographical area: from the Pacific coast of South America to Europe, North Africa, Central Asia and East and South Africa; some are also recorded in Japan. A relatively high degree of endemism (26%) is shown, suggesting that some of the bivalve species had barriers to their dispersal; larval strategy and length of larval development were probably important. A significant number (42%) of the bivalve taxa are left in open nomenclature as they are probably new species. Bivalve guilds are described to interpret palaeoecology, in particular the ecospace utilization. Guilds are based on tiering, life habit, and feeding category. Eight guilds are recognized: free-lying epifaunal, cemented epifaunal, epibyssate, boring, endobyssate, shallow burrowing, deep burrowing and deep burrowing with symbiotic bacteria. The fauna is composed only of suspension-feeders indicating that food resources were dominantly in suspension, in agreement with the predominantly shallow-water aspect of the study deposits. The ecospace utilization in the shoreface is broader than in the offshore shelf, suggesting more favourable living conditions and/or a wider range of different habitat types represented. Copyright © 2007 John Wiley & Sons, Ltd. [source] Increasing representation of localized dung beetles across a chronosequence of regenerating vegetation and natural dune forest in South AfricaGLOBAL ECOLOGY, Issue 3 2002Adrian L. V. Davis Abstract Aim Species assemblages with high proportions of localized taxa occur in regional islands with a history of strong eco-climatic separation from adjacent systems. Current disturbance in such islands of relictualism or endemism disrupts the distinctive local character in favour of regionally distributed taxa with a wider range of tolerances. However, rehabilitation of the system should restore the localized biota. Thus, we used biogeographical composition to assess progress towards restoration of the dung beetle fauna associated with such an island of endemism following dredge-mining. Location The study was conducted in natural coastal dune forest and a 23-year chronosequence of regenerating dune vegetation in the Maputaland centre of endemism, KwaZulu-Natal, South Africa. Methods Dung beetles were trapped in eight stands of regenerating vegetation of different ages (< 1 year to ~21 years) and in four stands of natural dune forest with differing ecological characteristics defined by measurements of vegetative physiognomy and microclimate. Species groups defined from multivariate analysis of biogeographical distribution patterns and vegetation associations were used to demonstrate quantitative compositional changes in the dung beetle assemblages across the chronosequence to natural forest. Results Three biogeographical groups were defined. One group comprised species widespread in southern Africa or both southern and east Africa. The other two groups were endemic, one to the east coast and the other to Maputaland. There was a general trend from dominance by regionally distributed dung beetle taxa to dominance by locally distributed taxa across the chronosequence of regenerating vegetation from grassland, to open Acacia karroo thicket, to dense A. karroo- dominated woodland. However, this trend was linked closely to the relative physiognomic and microclimatic similarity between the regenerating vegetation and natural forest. Thus, proportions of locally distributed taxa were lower in older chronosequence woodland (~18,~21 years) with its low canopy cover and open understorey than in dense early chronosequence woodland (~9,~12 years), which is physiognomically and microclimatically closer to species-diverse natural forest with its dense canopy and understorey. Overall, the present dung beetle community comprises five species groups. Single widespread (21 spp.) and endemic groups (14 spp.) showed similar patterns of association with early chronosequence grassland and open thicket stands. A single widespread (3 spp.) and two endemic shade-associated groups (3 and 11 spp.) showed differing patterns of association centred, respectively, in late chronosequence woodland, natural forest, or all shaded stands. Main conclusions At 23 years, vegetative regeneration is still at an early stage, but abundant activity of most, although not all species recorded in natural forest, is recovered with the closure of the woodland canopy at ~9 years. Compositional differences with respect to natural forest vary closely with vegetative physiognomy and its effect on the microclimate. Therefore, full compositional recovery is dependent on the re-establishment of natural forest physiognomy and microclimate. [source] Drawdown and Stream Depletion Produced by Pumping in the Vicinity of a Partially Penetrating StreamGROUND WATER, Issue 5 2001James J. Butler Jr. Commonly used analytical approaches for estimation of pumping-induced drawdown and stream depletion are based on a series of idealistic assumptions about the stream-aquifer system. A new solution has been developed for estimation of drawdown and stream depletion under conditions that are more representative of those in natural systems (finite width stream of shallow penetration adjoining an aquifer of limited lateral extent). This solution shows that the conventional assumption of a fully penetrating stream will lead to a significant overestimation of stream depletion (> 100%) in many practical applications. The degree of overestimation will depend on the value of the stream leakance parameter and the distance from the pumping well to the stream. Although leakance will increase with stream width, a very wide stream will not necessarily be well represented by a model of a fully penetrating stream. The impact of lateral boundaries depends upon the distance from the pumping well to the stream and the stream leakance parameter. In most cases, aquifer width must be on the order of hundreds of stream widths before the assumption of a laterally infinite aquifer is appropriate for stream-depletion calculations. An important assumption underlying this solution is that stream-channel penetration is negligible relative to aquifer thickness. However, an approximate extension to the case of nonnegligible penetration provides reasonable results for the range of relative penetrations found in most natural systems (up to 85%). Since this solution allows consideration of a much wider range of conditions than existing analytical approaches, it could prove to be a valuable new tool for water management design and water rights adjudication purposes. [source] Oral cavity cancer in developed and in developing countries: Population-based incidenceHEAD & NECK: JOURNAL FOR THE SCIENCES & SPECIALTIES OF THE HEAD AND NECK, Issue 3 2010Marianna de Camargo Cancela DDS Abstract Background. The incidence of oral cavity cancer (OCC) is not well documented because it is rarely described in accord with the anatomic definition but is usually grouped with oropharyngeal subsites. We studied the incidence of OCC in developed and in developing countries. Methods. The age-standardized and age-specific incidence rates of OCC were calculated for the period 1998-2002, using the topographic definition used by the Union Internationale Contre le Cancer (UICC), based on data from CI5-IX. Results. The highest rates are observed in Pakistan, Brazil, India, and France and were consistent with country-specific risk factors and their prevalence. Conclusions. In developing countries, people are exposed to a wider range of risk factors, starting at younger ages, and primary prevention measures and policies are needed. Awareness of professionals must be improved to identify people at risk and target them for prevention and to minimize the consequences of OCC. © 2009 Wiley Periodicals, Inc. Head Neck, 2010 [source] Generalizability in Communication ResearchHUMAN COMMUNICATION RESEARCH, Issue 4 2002Michael A. Shapiro In communication research, attempts to enhance external validity usually focus on techniques to enhance the surface representativeness attained in a particular study. Such surface representativeness is a useful tool. However, a larger ability to generalize emerges from a constantly evolving scientific discourse across multiple studies about how social meanings and social behaviors impact outcomes. The resulting conceptual knowledge enables us to generalize about communication across a much wider range of persons, settings, times, and messages than does surface similarity. The findings of a study should be examined in light of its contribution to theory. The surface representativeness of a study is usually not a good indicator of contribution to theory. The discipline of communication, particularly journal editors and reviewers, bears a heavy responsibility to think about generalizability in the complex ways the topic requires. [source] Seasonal variation in the energy and water exchanges above and below a larch forest in eastern SiberiaHYDROLOGICAL PROCESSES, Issue 8 2001Takeshi Ohta Abstract The water and energy exchanges in forests form one of the most important hydro-meteorological systems. There have been far fewer investigations of the water and heat exchange in high latitude forests than of those in warm, humid regions. There have been few observations of this system in Siberia for an entire growing season, including the snowmelt and leaf-fall seasons. In this study, the characteristics of the energy and water budgets in an eastern Siberian larch forest were investigated from the snowmelt season to the leaf-fall season. The latent heat flux was strongly affected by the transpiration activity of the larch trees and increased quickly as the larch stand began to foliate. The sensible heat dropped at that time, although the net all-wave radiation increased. Consequently, the seasonal variation in the Bowen ratio was clearly ,U'-shaped, and the minimum value (1·0) occurred in June and July. The Bowen ratio was very high (10,25) in early spring, just before leaf opening. The canopy resistance for a big leaf model far exceeded the aerodynamic resistance and fluctuated over a much wider range. The canopy resistance was strongly restricted by the saturation deficit, and its minimum value was 100 s m,1 (10 mm s,1 in conductance). This minimum canopy resistance is higher than values obtained for forests in warm, humid regions, but is similar to those measured in other boreal conifer forests. It has been suggested that the senescence of leaves also affects the canopy resistance, which was higher in the leaf-fall season than in the foliated season. The mean evapotranspiration rate from 21 April 1998 to 7 September 1998 was 1·16 mm day,1, and the maximum rate, 2·9 mm day,1, occurred at the beginning of July. For the growing season from 1 June to 31 August, this rate was 1·5 mm day,1. The total evapotranspiration from the forest (151 mm) exceeded the amount of precipitation (106 mm) and was equal to 73% of the total water input (211 mm), including the snow water equivalent. The understory evapotranspiration reached 35% of the total evapotranspiration, and the interception evaporation was 15% of the gross precipitation. The understory evapotranspiration was high and the interception evaporation was low because the canopy was sparse and the leaf area index was low. Copyright © 2001 John Wiley & Sons, Ltd. [source] Avian productivity in urban landscapes: a review and meta-analysisIBIS, Issue 1 2009D. E. CHAMBERLAIN There is an urgent need to thoroughly review and comprehend the effects of urbanization on wildlife in order to understand both the ecological implications of increasing urbanization and how to mitigate its threat to biodiversity globally. We examined patterns in comparative productivity of urban and non-urban passerine birds, using published estimates from paired comparisons, and by reviewing and developing explanations in terms of resources, competitors, predators and other specifically urban environmental factors. The most consistent patterns were for earlier lay dates, lower clutch size, lower nestling weight and lower productivity per nesting attempt in urban landscapes; these were supported by a formal meta-analysis. Nest failure rates did not show consistent patterns across the species considered. We suggest that food availability is a key driver of differences in passerine demography between landscapes. In urban habitats, human-provided food may improve adult condition over winter, leading to earlier lay dates and, in some species, to higher survival and higher breeding densities, but paucity of natural food may lead to lower productivity per nesting attempt. We demonstrate that additional comparative research is needed on a wider range of species, on the effects of natural and human-provided food availability, and on the differences in survival and dispersal between urban and non-urban populations. Importantly, better-targeted research and monitoring is needed in areas that are at greatest threat from urbanization, especially in the developing world. [source] |