Sample records for obtaining order-of-magnitude increases

  1. Is Order the Defining Feature of Magnitude Representation? An ERP Study on Learning Numerical Magnitude and Spatial Order of Artificial Symbols

    PubMed Central

    Zhao, Hui; Chen, Chuansheng; Zhang, Hongchuan; Zhou, Xinlin; Mei, Leilei; Chen, Chunhui; Chen, Lan; Cao, Zhongyu; Dong, Qi

    2012-01-01

    Using an artificial-number learning paradigm and the ERP technique, the present study investigated neural mechanisms involved in the learning of magnitude and spatial order. 54 college students were divided into 2 groups matched in age, gender, and school major. One group was asked to learn the associations between magnitude (dot patterns) and the meaningless Gibson symbols, and the other group learned the associations between spatial order (horizontal positions on the screen) and the same set of symbols. Results revealed differentiated neural mechanisms underlying the learning processes of symbolic magnitude and spatial order. Compared to magnitude learning, spatial-order learning showed a later and reversed distance effect. Furthermore, an analysis of the order-priming effect showed that order was not inherent to the learning of magnitude. Results of this study showed a dissociation between magnitude and order, which supports the numerosity code hypothesis of mental representations of magnitude. PMID:23185363

  2. Landslide susceptibility near highways is increased by one order of magnitude in the Andes of southern Ecuador, Loja province

    NASA Astrophysics Data System (ADS)

    Brenning, A.; Schwinn, M.; Ruiz-Páez, A. P.; Muenchow, J.

    2014-03-01

    Mountain roads in developing countries are known to increase landslide occurrence due to often inadequate drainage systems and mechanical destabilization of hillslopes by undercutting and overloading. This study empirically investigates landslide initiation frequency along two paved interurban highways in the tropical Andes of southern Ecuador across different climatic regimes. Generalized additive models (GAM) and generalized linear models (GLM) were used to analyze the relationship between mapped landslide initiation points and distance to highway while accounting for topographic, climatic and geological predictors as possible confounders. A spatial block bootstrap was used to obtain non-parametric confidence intervals for the odds ratio of landslide occurrence near the highways (25 m distance) compared to a 200 m distance. The estimated odds ratio was 18-21 with lower 95% confidence bounds > 13 in all analyses. Spatial bootstrap estimation using the GAM supports the higher odds ratio estimate of 21.2 (95% confidence interval: 15.5-25.3). The highway-related effects were observed to fade at about 150 m distance. Road effects appear to be enhanced in geological units characterized by Holocene gravels and Laramide andesite/basalt. Overall, landslide susceptibility was found to be more than one order of magnitude higher in close proximity to paved interurban highways in the Andes of southern Ecuador.

  3. Landslide susceptibility near highways is increased by 1 order of magnitude in the Andes of southern Ecuador, Loja province

    NASA Astrophysics Data System (ADS)

    Brenning, A.; Schwinn, M.; Ruiz-Páez, A. P.; Muenchow, J.

    2015-01-01

    Mountain roads in developing countries are known to increase landslide occurrence due to often inadequate drainage systems and mechanical destabilization of hillslopes by undercutting and overloading. This study empirically investigates landslide initiation frequency along two paved interurban highways in the tropical Andes of southern Ecuador across different climatic regimes. Generalized additive models (GAM) and generalized linear models (GLM) were used to analyze the relationship between mapped landslide initiation points and distance to highway while accounting for topographic, climatic, and geological predictors as possible confounders. A spatial block bootstrap was used to obtain nonparametric confidence intervals for the odds ratio of landslide occurrence near the highways (25 m distance) compared to a 200 m distance. The estimated odds ratio was 18-21, with lower 95% confidence bounds >13 in all analyses. Spatial bootstrap estimation using the GAM supports the higher odds ratio estimate of 21.2 (95% confidence interval: 15.5-25.3). The highway-related effects were observed to fade at about 150 m distance. Road effects appear to be enhanced in geological units characterized by Holocene gravels and Laramide andesite/basalt. Overall, landslide susceptibility was found to be more than 1 order of magnitude higher in close proximity to paved interurban highways in the Andes of southern Ecuador.

  4. Stability of individual loudness functions obtained by magnitude estimation and production

    NASA Technical Reports Server (NTRS)

    Hellman, R. P.

    1981-01-01

    A correlational analysis of individual magnitude estimation and production exponents at the same frequency is performed, as is an analysis of individual exponents produced in different sessions by the same procedure across frequency (250, 1000, and 3000 Hz). Taken as a whole, the results show that individual exponent differences do not decrease by counterbalancing magnitude estimation with magnitude production and that individual exponent differences remain stable over time despite changes in stimulus frequency. Further results show that although individual magnitude estimation and production exponents do not necessarily obey the .6 power law, it is possible to predict the slope of an equal-sensation function averaged for a group of listeners from individual magnitude estimation and production data. On the assumption that individual listeners with sensorineural hearing also produce stable and reliable magnitude functions, it is also shown that the slope of the loudness-recruitment function measured by magnitude estimation and production can be predicted for individuals with bilateral losses of long duration. Results obtained in normal and pathological ears thus suggest that individual listeners can produce loudness judgements that reveal, although indirectly, the input-output characteristic of the auditory system.

  5. Order of magnitude improvement of nano-contact spin torque nano-oscillator performance.

    PubMed

    Banuazizi, Seyed Amir Hossein; Sani, Sohrab R; Eklund, Anders; Naiini, Maziar M; Mohseni, Seyed Majid; Chung, Sunjae; Dürrenfeld, Philipp; Malm, B Gunnar; Åkerman, Johan

    2017-02-02

    Spin torque nano-oscillators (STNO) represent a unique class of nano-scale microwave signal generators and offer a combination of intriguing properties, such as nano sized footprint, ultrafast modulation rates, and highly tunable microwave frequencies from 100 MHz to close to 100 GHz. However, their low output power and relatively high threshold current still limit their applicability and must be improved. In this study, we investigate the influence of the bottom Cu electrode thickness (t Cu ) in nano-contact STNOs based on Co/Cu/NiFe GMR stacks and with nano-contact diameters ranging from 60 to 500 nm. Increasing t Cu from 10 to 70 nm results in a 40% reduction of the threshold current, an order of magnitude higher microwave output power, and close to two orders of magnitude better power conversion efficiency. Numerical simulations of the current distribution suggest that these dramatic improvements originate from a strongly reduced lateral current spread in the magneto-dynamically active region.

  6. Selective interference of grasp and space representations with number magnitude and serial order processing.

    PubMed

    van Dijck, Jean-Philippe; Fias, Wim; Andres, Michael

    2015-10-01

    It has been proposed that the metrics of space, time and other magnitudes relevant for action are coupled through a generalized magnitude system that also contribute to number representation. Several studies capitalized on stimulus-response compatibility effects to show that numbers map onto left-right representations and grasp representations as a function of their magnitude. However, the tasks typically used do not allow disentangling magnitude from serial order processing. Here, we devised a working memory (WM) task where participants had to remember random sequences of numbers and perform a precision/whole-hand grip (Experiment 1) or a uni-manual left/right button press (Experiment 2) in response to numbers presented during the retention interval. This task does allow differentiating the interference of number magnitude and serial order with each set of responses. Experiment 1 showed that precision grips were initiated faster than whole-hand grips in response to small numbers, irrespective of their serial position in WM. In contrast, Experiment 2 revealed an advantage of right over left button presses as serial position increased, without any influence of number magnitude. These findings demonstrate that grasping and left-right movements overlap with distinct dimensions of number processing. These findings are discussed in the light of different theories explaining the interactions between numbers, space and action.

  7. Order of Magnitude Sensitivity Increase in X-ray Fluorescence Computed Tomography (XFCT) Imaging With an Optimized Spectro-Spatial Detector Configuration: Theory and Simulation

    PubMed Central

    Ahmad, Moiz; Bazalova, Magdalena; Xiang, Liangzhong

    2014-01-01

    The purpose of this study was to increase the sensitivity of XFCT imaging by optimizing the data acquisition geometry for reduced scatter X-rays. The placement of detectors and detector energy window were chosen to minimize scatter X-rays. We performed both theoretical calculations and Monte Carlo simulations of this optimized detector configuration on a mouse-sized phantom containing various gold concentrations. The sensitivity limits were determined for three different X-ray spectra: a monoenergetic source, a Gaussian source, and a conventional X-ray tube source. Scatter X-rays were minimized using a backscatter detector orientation (scatter direction > 110° to the primary X-ray beam). The optimized configuration simultaneously reduced the number of detectors and improved the image signal-to-noise ratio. The sensitivity of the optimized configuration was 10 µg/mL (10 pM) at 2 mGy dose with the mono-energetic source, which is an order of magnitude improvement over the unoptimized configuration (102 pM without the optimization). Similar improvements were seen with the Gaussian spectrum source and conventional X-ray tube source. The optimization improvements were predicted in the theoretical model and also demonstrated in simulations. The sensitivity of XFCT imaging can be enhanced by an order of magnitude with the data acquisition optimization, greatly enhancing the potential of this modality for future use in clinical molecular imaging. PMID:24770916

  8. Order of magnitude sensitivity increase in X-ray Fluorescence Computed Tomography (XFCT) imaging with an optimized spectro-spatial detector configuration: theory and simulation.

    PubMed

    Ahmad, Moiz; Bazalova, Magdalena; Xiang, Liangzhong; Xing, Lei

    2014-05-01

    The purpose of this study was to increase the sensitivity of XFCT imaging by optimizing the data acquisition geometry for reduced scatter X-rays. The placement of detectors and detector energy window were chosen to minimize scatter X-rays. We performed both theoretical calculations and Monte Carlo simulations of this optimized detector configuration on a mouse-sized phantom containing various gold concentrations. The sensitivity limits were determined for three different X-ray spectra: a monoenergetic source, a Gaussian source, and a conventional X-ray tube source. Scatter X-rays were minimized using a backscatter detector orientation (scatter direction > 110(°) to the primary X-ray beam). The optimized configuration simultaneously reduced the number of detectors and improved the image signal-to-noise ratio. The sensitivity of the optimized configuration was 10 μg/mL (10 pM) at 2 mGy dose with the mono-energetic source, which is an order of magnitude improvement over the unoptimized configuration (102 pM without the optimization). Similar improvements were seen with the Gaussian spectrum source and conventional X-ray tube source. The optimization improvements were predicted in the theoretical model and also demonstrated in simulations. The sensitivity of XFCT imaging can be enhanced by an order of magnitude with the data acquisition optimization, greatly enhancing the potential of this modality for future use in clinical molecular imaging.

  9. Six orders of magnitude dynamic range in capillary electrophoresis with ultrasensitive laser-induced fluorescence detection

    PubMed Central

    Whitmore, Colin D.; Essaka, David; Dovichi, Norman J.

    2009-01-01

    An ultrasensitive laser-induced fluorescence detector was used with capillary electrophoresis for the study of 5-carboxy-tetramethylrhodamine. The raw signal from the detector provided roughly three orders of magnitude dynamic range. The signal saturated at high analyte concentrations due to the dead time associated with the single-photon counting avalanche photodiode employed in the detector. The signal can be corrected for the detector dead time, providing an additional order of magnitude dynamic range. To further increase dynamic range, two fiber-optic beam-splitters were cascaded to generate a primary signal and two attenuated signals, each monitored by a single-photon counting avalanche photodiode. The combined signals from the three photodiodes are reasonably linear from the concentration detection limit of 3 pM to 10 μM, the maximum concentration investigated, a range of 3,000,000. Mass detection limits were 150 yoctomoles injected onto the capillary. PMID:19836546

  10. Application of the order-of-magnitude analysis to a fourth-order RANS closure for simulating a 2D boundary layer

    NASA Astrophysics Data System (ADS)

    Poroseva, Svetlana V.

    2013-11-01

    Simulations of turbulent boundary-layer flows are usually conducted using a set of the simplified Reynolds-Averaged Navier-Stokes (RANS) equations obtained by order-of-magnitude analysis (OMA) of the original RANS equations. The resultant equations for the mean-velocity components are closed using the Boussinesq approximation for the Reynolds stresses. In this study OMA is applied to the fourth-order RANS (FORANS) set of equations. The FORANS equations are chosen as they can be closed on the level of the 5th-order correlations without using unknown model coefficients, i.e. no turbulent diffusion modeling is required. New models for the 2nd-, 3rd- and 4th-order velocity-pressure gradient correlations are derived for the current FORANS equations. This set of FORANS equations and models are analyzed for the case of two-dimensional mean flow. The equations include familiar transport terms for the mean-velocity components along with algebraic expressions for velocity correlations of different orders specific to the FORANS approach. Flat plate DNS data (Spalart, 1988) are used to verify these expressions and the areas of the OMA applicability within the boundary layer. The material is based upon work supported by NASA under award NNX12AJ61A.

  11. [Nurses' professional prestige: estimate of magnitudes and expanded categories].

    PubMed

    Sousa, F A; da Silva, J A

    2001-01-01

    The prestige of professionals such as social workers, biologists, dentists, nurses, engineers, pharmacists, physicists, physical therapists, speech-language pathologists, physicians, psychologists, chemists and sociologists was scaled by the psychophysical methods of estimation of magnitudes and expanded categories. Results showed that: 1) when we increase the limited amplitude of categories, this method has the same characteristics as those of the estimation of magnitudes. 2) the relationship between the estimations of magnitudes and estimations of expanded categories is a power function with an exponent that is not significantly different from 1.0. These data enabled the following conclusions: 1--The nursing profession is in the seventh or eighth position regarding the prestige of the 13 professions whereas physicians are in the first position in the scale obtained by the used methods; 2--the orders resulting from the methods produce positions of prestige that highly agree for the different professions.

  12. Demonstrating an Order-of-Magnitude Sampling Enhancement in Molecular Dynamics Simulations of Complex Protein Systems.

    PubMed

    Pan, Albert C; Weinreich, Thomas M; Piana, Stefano; Shaw, David E

    2016-03-08

    Molecular dynamics (MD) simulations can describe protein motions in atomic detail, but transitions between protein conformational states sometimes take place on time scales that are infeasible or very expensive to reach by direct simulation. Enhanced sampling methods, the aim of which is to increase the sampling efficiency of MD simulations, have thus been extensively employed. The effectiveness of such methods when applied to complex biological systems like proteins, however, has been difficult to establish because even enhanced sampling simulations of such systems do not typically reach time scales at which convergence is extensive enough to reliably quantify sampling efficiency. Here, we obtain sufficiently converged simulations of three proteins to evaluate the performance of simulated tempering, a member of a widely used class of enhanced sampling methods that use elevated temperature to accelerate sampling. Simulated tempering simulations with individual lengths of up to 100 μs were compared to (previously published) conventional MD simulations with individual lengths of up to 1 ms. With two proteins, BPTI and ubiquitin, we evaluated the efficiency of sampling of conformational states near the native state, and for the third, the villin headpiece, we examined the rate of folding and unfolding. Our comparisons demonstrate that simulated tempering can consistently achieve a substantial sampling speedup of an order of magnitude or more relative to conventional MD.

  13. Obtaining tight bounds on higher-order interferences with a 5-path interferometer

    NASA Astrophysics Data System (ADS)

    Kauten, Thomas; Keil, Robert; Kaufmann, Thomas; Pressl, Benedikt; Brukner, Časlav; Weihs, Gregor

    2017-03-01

    Within the established theoretical framework of quantum mechanics, interference always occurs between pairs of paths through an interferometer. Higher order interferences with multiple constituents are excluded by Born’s rule and can only exist in generalized probabilistic theories. Thus, high-precision experiments searching for such higher order interferences are a powerful method to distinguish between quantum mechanics and more general theories. Here, we perform such a test in an optical multi-path interferometer, which avoids crucial systematic errors, has access to the entire phase space and is more stable than previous experiments. Our results are in accordance with quantum mechanics and rule out the existence of higher order interference terms in optical interferometry to an extent that is more than four orders of magnitude smaller than the expected pairwise interference, refining previous bounds by two orders of magnitude.

  14. The coincidence counting technique for orders of magnitude background reduction in data obtained with the magnetic recoil spectrometer at OMEGA and the NIF.

    PubMed

    Casey, D T; Frenje, J A; Séguin, F H; Li, C K; Rosenberg, M J; Rinderknecht, H; Manuel, M J-E; Gatu Johnson, M; Schaeffer, J C; Frankel, R; Sinenian, N; Childs, R A; Petrasso, R D; Glebov, V Yu; Sangster, T C; Burke, M; Roberts, S

    2011-07-01

    A magnetic recoil spectrometer (MRS) has been built and successfully used at OMEGA for measurements of down-scattered neutrons (DS-n), from which an areal density in both warm-capsule and cryogenic-DT implosions have been inferred. Another MRS is currently being commissioned on the National Ignition Facility (NIF) for diagnosing low-yield tritium-hydrogen-deuterium implosions and high-yield DT implosions. As CR-39 detectors are used in the MRS, the principal sources of background are neutron-induced tracks and intrinsic tracks (defects in the CR-39). The coincidence counting technique was developed to reduce these types of background tracks to the required level for the DS-n measurements at OMEGA and the NIF. Using this technique, it has been demonstrated that the number of background tracks is reduced by a couple of orders of magnitude, which exceeds the requirement for the DS-n measurements at both facilities.

  15. Increasing Magnitude of Hurricane Rapid Intensification in the Central and Eastern Tropical Atlantic

    NASA Astrophysics Data System (ADS)

    Balaguru, Karthik; Foltz, Gregory R.; Leung, L. Ruby

    2018-05-01

    Rapid intensification (RI) of hurricanes is notoriously difficult to predict and can contribute to severe destruction and loss of life. While past studies examined the frequency of RI occurrence, changes in RI magnitude were not considered. Here we explore changes in RI magnitude over the 30-year satellite period of 1986-2015. In the central and eastern tropical Atlantic, which includes much of the main development region, the 95th percentile of 24-hr intensity changes increased at 3.8 knots per decade. In the western tropical Atlantic, encompassing the Caribbean Sea and the Gulf of Mexico, trends are insignificant. Our analysis reveals that warming of the upper ocean coinciding with the positive phase of Atlantic Multidecadal Oscillation, and associated changes in the large-scale environment, has predominantly favored RI magnitude increases in the central and eastern tropical Atlantic. These results have substantial implications for the eastern Caribbean Islands, some of which were devastated during the 2017 hurricane season.

  16. Analyzing Enron Data: Bitmap Indexing Outperforms MySQL Queries bySeveral Orders of Magnitude

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Stockinger, Kurt; Rotem, Doron; Shoshani, Arie

    2006-01-28

    FastBit is an efficient, compressed bitmap indexing technology that was developed in our group. In this report we evaluate the performance of MySQL and FastBit for analyzing the email traffic of the Enron dataset. The first finding shows that materializing the join results of several tables significantly improves the query performance. The second finding shows that FastBit outperforms MySQL by several orders of magnitude.

  17. Higher Magnitude Cash Payments Improve Research Follow-up Rates Without Increasing Drug Use or Perceived Coercion

    PubMed Central

    Festinger, David S.; Marlowe, Douglas B.; Dugosh, Karen L.; Croft, Jason R.; Arabia, Patricia L.

    2008-01-01

    In a prior study (Festinger et al., 2005) we found that neither the mode (cash vs. gift card) nor magnitude ($10, $40, or $70) of research follow-up payments increased rates of new drug use or perceptions of coercion. However, higher payments and payments in cash were associated with better follow-up attendance, reduced tracking efforts, and improved participant satisfaction with the study. The present study extended those findings to higher payment magnitudes. Participants from an urban outpatient substance abuse treatment program were randomly assigned to receive $70, $100, $130, or $160 in either cash or a gift card for completing a follow-up assessment at 6 months post-admission (n ≅ 50 per cell). Apart from the payment incentives, all participants received a standardized, minimal platform of follow-up efforts. Findings revealed that neither the magnitude nor mode of payment had a significant effect on new drug use or perceived coercion. Consistent with our previous findings, higher payments and cash payments resulted in significantly higher follow-up rates and fewer tracking calls. In addition participants receiving cash vs. gift cards were more likely to use their payments for essential, non-luxury purchases. Follow-up rates for participants receiving cash payments of $100, $130, and $160 approached or exceeded the FDA required minimum of 70% for studies to be considered in evaluations of new medications. This suggests that the use of higher magnitude payments and cash payments may be effective strategies for obtaining more representative follow-up samples without increasing new drug use or perceptions of coercion. PMID:18395365

  18. Self-stimulating rats combine subjective reward magnitude and subjective reward rate multiplicatively.

    PubMed

    Leon, M I; Gallistel, C R

    1998-07-01

    For rats that bar pressed for intracranial electrical stimulation in a 2-lever matching paradigm with concurrent variable interval schedules of reward, the authors found that the time allocation ratio is based on a multiplicative combination of the ratio of subjective reward magnitudes and the ratio of the rates of reward. Multiplicative combining was observed in a range covering approximately 2 orders of magnitude in the ratio of the rates of reward from about 1:10 to 10:1) and an order of magnitude change in the size of rewards. After determining the relation between the pulse frequency of stimulation and subjective reward magnitude, the authors were able to predict from knowledge of the subjective magnitudes of the rewards and the obtained relative rates of reward the subject's time allocation ratio over a range in which it varied by more than 3 orders of magnitude.

  19. Two orders of magnitude reduction in silicon membrane thermal conductivity by resonance hybridizations

    NASA Astrophysics Data System (ADS)

    Honarvar, Hossein; Hussein, Mahmoud I.

    2018-05-01

    The thermal conductivity of a freestanding single-crystal silicon membrane may be reduced significantly by attaching nanoscale pillars on one or both surfaces. Atomic resonances of the nanopillars form vibrons that intrinsically couple with the base membrane phonons causing mode hybridization and flattening at each coupling location in the phonon band structure. This in turn causes group velocity reductions of existing phonons, in addition to introducing new modes that get excited but are localized and do not transport energy. The nanopillars also reduce the phonon lifetimes at and around the hybridization zones. These three effects, which in principle may be tuned to take place across silicon's full spectrum, lead to a lowering of the in-plane thermal conductivity in the base membrane. Using equilibrium molecular dynamics simulations, and utilizing the concept of vibrons compensation, we report a staggering two orders of magnitude reduction in the thermal conductivity at room temperature by this mechanism. Specifically, a reduction of a factor of 130 is demonstrated for a roughly 10-nm-thick pillared membrane compared to a corresponding unpillared membrane. This amounts to a record reduction of a factor of 481 compared to bulk crystalline silicon and nearly a factor of 2 compared to bulk amorphous silicon. These results are obtained while providing a path for preserving performance with upscaling.

  20. Ionic Conductivity Increased by Two Orders of Magnitude in Micrometer-Thick Vertical Yttria-Stabilized ZrO 2 Nanocomposite Films

    DOE PAGES

    Lee, Shinbuhm; Zhang, Wenrui; Khatkhatay, Fauzia; ...

    2015-09-03

    We design and create a unique cell geometry of templated micrometer-thick epitaxial nanocomposite films which contain ~20 nm diameter yttria-stabilized ZrO 2 (YSZ) nanocolumns, strain coupled to a SrTiO 3 matrix. We also enhanced the ionic conductivity of these nanocolumnsby over 2 orders of magnitude compared to plain YSZ films. Concomitant with the higher ionic conduction is the finding that the YSZ nanocolumns in the films have much higher crystallinity and orientation, compared to plain YSZ films. Hence, “oxygen migration highways” are formed in the desired out-of-plane direction. This improved structure is shown to originate from the epitaxial coupling ofmore » the YSZ nanocolumns to the SrTiO 3 film matrix and from nucleation of the YSZ nanocolumns on an intermediate nanocomposite base layer of highly aligned Sm-doped CeO 2 nanocolumns within the SrTiO 3 matrix. Furthermore, this intermediate layer reduces the lattice mismatch between the YSZ nanocolumns and the substrate. Vertical ionic conduction values as high as 10 –2 Ω –1 cm –1 were demonstrated at 360 °C (300 °C lower than plain YSZ films), showing the strong practical potential of these nanostructured films for use in much lower operation temperature ionic devices.« less

  1. Magnitude of Anemia at Discharge Increases 30-Day Hospital Readmissions.

    PubMed

    Koch, Colleen G; Li, Liang; Sun, Zhiyuan; Hixson, Eric D; Tang, Anne; Chagin, Kevin; Kattan, Michael; Phillips, Shannon C; Blackstone, Eugene H; Henderson, J Michael

    2017-12-01

    Anemia during hospitalization is associated with poor health outcomes. Does anemia at discharge place patients at risk for hospital readmission within 30 days of discharge? Our objectives were to examine the prevalence and magnitude of anemia at hospital discharge and determine whether anemia at discharge was associated with 30-day readmissions among a cohort of hospitalizations in a single health care system. From January 1, 2009, to August 31, 2011, there were 152,757 eligible hospitalizations within a single health care system. The endpoint was any hospitalization within 30 days of discharge. The University HealthSystem Consortium's clinical database was used for demographics and comorbidities; hemoglobin values are from the hospitals' electronic medical records, and readmission status was obtained from the University HealthSystem Consortium administrative data systems. Mild anemia was defined as hemoglobin of greater than 11 to less than 12 g/dl in women and greater than 11 to less than 13 g/dl in men; moderate, greater than 9 to less than or equal to 11 g/dl; and severe, less than or equal to 9 g/dl. Logistic regression was used to assess the association of anemia and 30-day readmissions adjusted for demographics, comorbidity, and hospitalization type. Among 152,757 hospitalizations, 72% of patients were discharged with anemia: 31,903 (21%), mild; 52,971 (35%), moderate; and 25,522 (17%), severe. Discharge anemia was associated with severity-dependent increased odds for 30-day hospital readmission compared with those without anemia: for mild anemia, 1.74 (1.65-1.82); moderate anemia, 2.76 (2.64-2.89); and severe anemia, 3.47 (3.30-3.65), P < 0.001. Anemia at discharge is associated with a severity-dependent increased risk for 30-day readmission. A strategy focusing on anemia treatment care paths during index hospitalization offers an opportunity to influence subsequent readmissions.

  2. Magnitude error bounds for sampled-data frequency response obtained from the truncation of an infinite series, and compensator improvement program

    NASA Technical Reports Server (NTRS)

    Mitchell, J. R.

    1972-01-01

    The frequency response method of analyzing control system performance is discussed, and the difficulty of obtaining the sampled frequency response of the continuous system is considered. An upper bound magnitude error equation is obtained which yields reasonable estimates of the actual error. Finalization of the compensator improvement program is also reported, and the program was used to design compensators for Saturn 5/S1-C dry workshop and Saturn 5/S1-C Skylab.

  3. Some methods of increasing the density of metal in order to increase him corrosion resistance

    NASA Astrophysics Data System (ADS)

    Chumanov, I. V.; Anikeev, A. N.; Sergeev, D. V.; Maltseva, A. N.

    2017-11-01

    Methods to increase the density of metal in order to increase its corrosion resistance in an aggressive environment are examined in the article. Two steel grades, differing in the content of alloying elements, increasing the resistance to corrosion are selected for the manufacture of experimental metallic materials. Two technologies are chosen as methods for increasing the density, and as a result, corrosion resistance, of the experimental materials obtained: the first is electroslag remelting with rotation of the consumable electrode, the second is centrifugal casting with modification. The microstructure of the metal becomes more homogeneous, the degree of metal refining from non-metallic inclusions increases, the rate of crystallization during metal smelting by the ESR method increases with rotation of the consumable electrode. When ingots are produced by the method of centrifugal casting, they are modified with dispersed WC and TiC particles, which increases the crystallization rate, increases the metal density, corrosion and mechanical properties. The evaluation of their corrosion resistance with the help of the autoclaved test complex “Cortest” is made after obtaining ingots by various technologies.

  4. Epitaxial graphene/SiC Schottky ultraviolet photodiode with orders of magnitude adjustability in responsivity and response speed

    NASA Astrophysics Data System (ADS)

    Yang, Junwei; Guo, Liwei; Guo, Yunlong; Hu, Weijie; Zhang, Zesheng

    2018-03-01

    A simple optical-electronic device that possesses widescale adjustability in its performance is specially required for realizing multifunctional applications as in optical communication and weak signal detectors. Here, we demonstrate an epitaxial graphene (EG)/n-type SiC Schottky ultraviolet (UV) photodiode with extremely widescale adjustability in its responsivity and response speed. It is found that the response speed of the device can be modulated over seven orders of magnitude from tens of nanoseconds to milliseconds by changing its working bias from 0 to -5 V, while its responsivity can be varied by three orders of magnitude. A 2.18 A/W responsivity is observed at -5 V when a 325 nm laser is irradiated on, corresponding to an external quantum efficiency over 800% ascribed to the trap induced internal gain mechanism. These performances of the EG/SiC Schottky photodiode are far superior to those based on traditional metal/SiC and indicate that the EG/n-type SiC Schottky diode is a good candidate for application in UV photodetection.

  5. Climate variability and increase in intensity and magnitude of dengue incidence in Singapore.

    PubMed

    Hii, Yien Ling; Rocklöv, Joacim; Ng, Nawi; Tang, Choon Siang; Pang, Fung Yin; Sauerborn, Rainer

    2009-11-11

    Dengue is currently a major public health burden in Asia Pacific Region. This study aims to establish an association between dengue incidence, mean temperature and precipitation, and further discuss how weather predictors influence the increase in intensity and magnitude of dengue in Singapore during the period 2000-2007. Weekly dengue incidence data, daily mean temperature and precipitation and the midyear population data in Singapore during 2000-2007 were retrieved and analysed. We employed a time series Poisson regression model including time factors such as time trends, lagged terms of weather predictors, considered autocorrelation, and accounted for changes in population size by offsetting. The weekly mean temperature and cumulative precipitation were statistically significant related to the increases of dengue incidence in Singapore. Our findings showed that dengue incidence increased linearly at time lag of 5-16 and 5-20 weeks succeeding elevated temperature and precipitation, respectively. However, negative association occurred at lag week 17-20 with low weekly mean temperature as well as lag week 1-4 and 17-20 with low cumulative precipitation. As Singapore experienced higher weekly mean temperature and cumulative precipitation in the years 2004-2007, our results signified hazardous impacts of climate factors on the increase in intensity and magnitude of dengue cases. The ongoing global climate change might potentially increase the burden of dengue fever infection in near future.

  6. Comparison of water production rates from UV spectroscopy and visual magnitudes for some recent comets

    NASA Technical Reports Server (NTRS)

    Roettger, E. E.; Feldman, P. D.; A'Hearn, M. F.; Festou, M. C.

    1990-01-01

    IUE data on the UV and visible coma emissions of the comets Bradfield, P/Tempel 2, Wilson, and P/Halley, are presently compared with the visual lightcurves from magnitudes reported in the IAU circulars to consider the temporal evolution of these comets. While the water-production rates obtainable from visual magnitudes on the basis of Newburn's (1984) method are consistent with OH-derived rates to first order, they are sometimes either displaced or unable to exhibit the same pre/postperihelion asymmetry. The best agreement is obtained for the relatively dust-free Comet P/Tempel 2. IUE Fine Error Sensor lightcurves are generally in agreement with curves based on total visual magnitude.

  7. Increased rates of large-magnitude explosive eruptions in Japan in the late Neogene and Quaternary.

    PubMed

    Mahony, S H; Sparks, R S J; Wallace, L M; Engwell, S L; Scourse, E M; Barnard, N H; Kandlbauer, J; Brown, S K

    2016-07-01

    Tephra layers in marine sediment cores from scientific ocean drilling largely record high-magnitude silicic explosive eruptions in the Japan arc for up to the last 20 million years. Analysis of the thickness variation with distance of 180 tephra layers from a global data set suggests that the majority of the visible tephra layers used in this study are the products of caldera-forming eruptions with magnitude (M) > 6, considering their distances at the respective drilling sites to their likely volcanic sources. Frequency of visible tephra layers in cores indicates a marked increase in rates of large magnitude explosive eruptions at ∼8 Ma, 6-4 Ma, and further increase after ∼2 Ma. These changes are attributed to major changes in tectonic plate interactions. Lower rates of large magnitude explosive volcanism in the Miocene are related to a strike-slip-dominated boundary (and temporary cessation or deceleration of subduction) between the Philippine Sea Plate and southwest Japan, combined with the possibility that much of the arc in northern Japan was submerged beneath sea level partly due to previous tectonic extension of northern Honshu related to formation of the Sea of Japan. Changes in plate motions and subduction dynamics during the ∼8 Ma to present period led to (1) increased arc-normal subduction in southwest Japan (and resumption of arc volcanism) and (2) shift from extension to compression of the upper plate in northeast Japan, leading to uplift, crustal thickening and favorable conditions for accumulation of the large volumes of silicic magma needed for explosive caldera-forming eruptions.

  8. Climate variability and increase in intensity and magnitude of dengue incidence in Singapore

    PubMed Central

    Hii, Yien Ling; Rocklöv, Joacim; Ng, Nawi; Tang, Choon Siang; Pang, Fung Yin; Sauerborn, Rainer

    2009-01-01

    Introduction Dengue is currently a major public health burden in Asia Pacific Region. This study aims to establish an association between dengue incidence, mean temperature and precipitation, and further discuss how weather predictors influence the increase in intensity and magnitude of dengue in Singapore during the period 2000–2007. Materials and methods Weekly dengue incidence data, daily mean temperature and precipitation and the midyear population data in Singapore during 2000–2007 were retrieved and analysed. We employed a time series Poisson regression model including time factors such as time trends, lagged terms of weather predictors, considered autocorrelation, and accounted for changes in population size by offsetting. Results The weekly mean temperature and cumulative precipitation were statistically significant related to the increases of dengue incidence in Singapore. Our findings showed that dengue incidence increased linearly at time lag of 5–16 and 5–20 weeks succeeding elevated temperature and precipitation, respectively. However, negative association occurred at lag week 17–20 with low weekly mean temperature as well as lag week 1–4 and 17–20 with low cumulative precipitation. Discussion As Singapore experienced higher weekly mean temperature and cumulative precipitation in the years 2004–2007, our results signified hazardous impacts of climate factors on the increase in intensity and magnitude of dengue cases. The ongoing global climate change might potentially increase the burden of dengue fever infection in near future. PMID:20052380

  9. Increased rates of large‐magnitude explosive eruptions in Japan in the late Neogene and Quaternary

    PubMed Central

    Sparks, R. S. J.; Wallace, L. M.; Engwell, S. L.; Scourse, E. M.; Barnard, N. H.; Kandlbauer, J.; Brown, S. K.

    2016-01-01

    Abstract Tephra layers in marine sediment cores from scientific ocean drilling largely record high‐magnitude silicic explosive eruptions in the Japan arc for up to the last 20 million years. Analysis of the thickness variation with distance of 180 tephra layers from a global data set suggests that the majority of the visible tephra layers used in this study are the products of caldera‐forming eruptions with magnitude (M) > 6, considering their distances at the respective drilling sites to their likely volcanic sources. Frequency of visible tephra layers in cores indicates a marked increase in rates of large magnitude explosive eruptions at ∼8 Ma, 6–4 Ma, and further increase after ∼2 Ma. These changes are attributed to major changes in tectonic plate interactions. Lower rates of large magnitude explosive volcanism in the Miocene are related to a strike‐slip‐dominated boundary (and temporary cessation or deceleration of subduction) between the Philippine Sea Plate and southwest Japan, combined with the possibility that much of the arc in northern Japan was submerged beneath sea level partly due to previous tectonic extension of northern Honshu related to formation of the Sea of Japan. Changes in plate motions and subduction dynamics during the ∼8 Ma to present period led to (1) increased arc‐normal subduction in southwest Japan (and resumption of arc volcanism) and (2) shift from extension to compression of the upper plate in northeast Japan, leading to uplift, crustal thickening and favorable conditions for accumulation of the large volumes of silicic magma needed for explosive caldera‐forming eruptions. PMID:27656115

  10. Order of magnitude smaller limit on the electric dipole moment of the electron.

    PubMed

    Baron, J; Campbell, W C; DeMille, D; Doyle, J M; Gabrielse, G; Gurevich, Y V; Hess, P W; Hutzler, N R; Kirilov, E; Kozyryev, I; O'Leary, B R; Panda, C D; Parsons, M F; Petrik, E S; Spaun, B; Vutha, A C; West, A D

    2014-01-17

    The Standard Model of particle physics is known to be incomplete. Extensions to the Standard Model, such as weak-scale supersymmetry, posit the existence of new particles and interactions that are asymmetric under time reversal (T) and nearly always predict a small yet potentially measurable electron electric dipole moment (EDM), d(e), in the range of 10(-27) to 10(-30) e·cm. The EDM is an asymmetric charge distribution along the electron spin (S(→)) that is also asymmetric under T. Using the polar molecule thorium monoxide, we measured d(e) = (-2.1 ± 3.7stat ± 2.5syst) × 10(-29) e·cm. This corresponds to an upper limit of |d(e)| < 8.7 × 10(-29) e·cm with 90% confidence, an order of magnitude improvement in sensitivity relative to the previous best limit. Our result constrains T-violating physics at the TeV energy scale.

  11. Adolescents with Developmental Dyscalculia Do Not Have a Generalized Magnitude Deficit - Processing of Discrete and Continuous Magnitudes.

    PubMed

    McCaskey, Ursina; von Aster, Michael; O'Gorman Tuura, Ruth; Kucian, Karin

    2017-01-01

    The link between number and space has been discussed in the literature for some time, resulting in the theory that number, space and time might be part of a generalized magnitude system. To date, several behavioral and neuroimaging findings support the notion of a generalized magnitude system, although contradictory results showing a partial overlap or separate magnitude systems are also found. The possible existence of a generalized magnitude processing area leads to the question how individuals with developmental dyscalculia (DD), known for deficits in numerical-arithmetical abilities, process magnitudes. By means of neuropsychological tests and functional magnetic resonance imaging (fMRI) we aimed to examine the relationship between number and space in typical and atypical development. Participants were 16 adolescents with DD (14.1 years) and 14 typically developing (TD) peers (13.8 years). In the fMRI paradigm participants had to perform discrete (arrays of dots) and continuous magnitude (angles) comparisons as well as a mental rotation task. In the neuropsychological tests, adolescents with dyscalculia performed significantly worse in numerical and complex visuo-spatial tasks. However, they showed similar results to TD peers when making discrete and continuous magnitude decisions during the neuropsychological tests and the fMRI paradigm. A conjunction analysis of the fMRI data revealed commonly activated higher order visual (inferior and middle occipital gyrus) and parietal (inferior and superior parietal lobe) magnitude areas for the discrete and continuous magnitude tasks. Moreover, no differences were found when contrasting both magnitude processing conditions, favoring the possibility of a generalized magnitude system. Group comparisons further revealed that dyscalculic subjects showed increased activation in domain general regions, whilst TD peers activate domain specific areas to a greater extent. In conclusion, our results point to the existence of a

  12. Optimising 4-D surface change detection: an approach for capturing rockfall magnitude-frequency

    NASA Astrophysics Data System (ADS)

    Williams, Jack G.; Rosser, Nick J.; Hardy, Richard J.; Brain, Matthew J.; Afana, Ashraf A.

    2018-02-01

    We present a monitoring technique tailored to analysing change from near-continuously collected, high-resolution 3-D data. Our aim is to fully characterise geomorphological change typified by an event magnitude-frequency relationship that adheres to an inverse power law or similar. While recent advances in monitoring have enabled changes in volume across more than 7 orders of magnitude to be captured, event frequency is commonly assumed to be interchangeable with the time-averaged event numbers between successive surveys. Where events coincide, or coalesce, or where the mechanisms driving change are not spatially independent, apparent event frequency must be partially determined by survey interval.The data reported have been obtained from a permanently installed terrestrial laser scanner, which permits an increased frequency of surveys. Surveying from a single position raises challenges, given the single viewpoint onto a complex surface and the need for computational efficiency associated with handling a large time series of 3-D data. A workflow is presented that optimises the detection of change by filtering and aligning scans to improve repeatability. An adaptation of the M3C2 algorithm is used to detect 3-D change to overcome data inconsistencies between scans. Individual rockfall geometries are then extracted and the associated volumetric errors modelled. The utility of this approach is demonstrated using a dataset of ˜ 9 × 103 surveys acquired at ˜ 1 h intervals over 10 months. The magnitude-frequency distribution of rockfall volumes generated is shown to be sensitive to monitoring frequency. Using a 1 h interval between surveys, rather than 30 days, the volume contribution from small (< 0.1 m3) rockfalls increases from 67 to 98 % of the total, and the number of individual rockfalls observed increases by over 3 orders of magnitude. High-frequency monitoring therefore holds considerable implications for magnitude-frequency derivatives, such as hazard return

  13. Determination of the Limiting Magnitude

    NASA Technical Reports Server (NTRS)

    Kingery, Aaron; Blaauw, Rhiannon

    2017-01-01

    The limiting magnitude of an optical camera system is an important property to understand since it is used to find the completeness limit of observations. Limiting magnitude depends on the hardware and software of the system, current weather conditions, and the angular speed of the objects observed. If an object exhibits a substantial angular rate during the exposure, its light spreads out over more pixels than the stationary stars. This spreading causes the limiting magnitude to be brighter when compared to the stellar limiting magnitude. The effect, which begins to become important when the object moves a full width at half max during a single exposure or video frame. For targets with high angular speeds or camera systems with narrow field of view or long exposures, this correction can be significant, up to several magnitudes. The stars in an image are often used to measure the limiting magnitude since they are stationary, have known brightness, and are present in large numbers, making the determination of the limiting magnitude fairly simple. In order to transform stellar limiting magnitude to object limiting magnitude, a correction must be applied accounting for the angular velocity. This technique is adopted in meteor and other fast-moving object observations, as the lack of a statistically significant sample of targets makes it virtually impossible to determine the limiting magnitude before the weather conditions change. While the weather is the dominant factor in observing satellites, the limiting magnitude for meteors also changes throughout the night due to the motion of a meteor shower or sporadic source radiant across the sky. This paper presents methods for determining the limiting stellar magnitude and the conversion to the target limiting magnitude.

  14. Conversion of Local and Surface-Wave Magnitudes to Moment Magnitude for Earthquakes in the Chinese Mainland

    NASA Astrophysics Data System (ADS)

    Li, X.; Gao, M.

    2017-12-01

    The magnitude of an earthquake is one of its basic parameters and is a measure of its scale. It plays a significant role in seismology and earthquake engineering research, particularly in the calculations of the seismic rate and b value in earthquake prediction and seismic hazard analysis. However, several current types of magnitudes used in seismology research, such as local magnitude (ML), surface wave magnitude (MS), and body-wave magnitude (MB), have a common limitation, which is the magnitude saturation phenomenon. Fortunately, the problem of magnitude saturation was solved by a formula for calculating the seismic moment magnitude (MW) based on the seismic moment, which describes the seismic source strength. Now the moment magnitude is very commonly used in seismology research. However, in China, the earthquake scale is primarily based on local and surface-wave magnitudes. In the present work, we studied the empirical relationships between moment magnitude (MW) and local magnitude (ML) as well as surface wave magnitude (MS) in the Chinese Mainland. The China Earthquake Networks Center (CENC) ML catalog, China Seismograph Network (CSN) MS catalog, ANSS Comprehensive Earthquake Catalog (ComCat), and Global Centroid Moment Tensor (GCMT) are adopted to regress the relationships using the orthogonal regression method. The obtained relationships are as follows: MW=0.64+0.87MS; MW=1.16+0.75ML. Therefore, in China, if the moment magnitude of an earthquake is not reported by any agency in the world, we can use the equations mentioned above for converting ML to MW and MS to MW. These relationships are very important, because they will allow the China earthquake catalogs to be used more effectively for seismic hazard analysis, earthquake prediction, and other seismology research. We also computed the relationships of and (where Mo is the seismic moment) by linear regression using the Global Centroid Moment Tensor. The obtained relationships are as follows: logMo=18

  15. Adolescents with Developmental Dyscalculia Do Not Have a Generalized Magnitude Deficit – Processing of Discrete and Continuous Magnitudes

    PubMed Central

    McCaskey, Ursina; von Aster, Michael; O’Gorman Tuura, Ruth; Kucian, Karin

    2017-01-01

    The link between number and space has been discussed in the literature for some time, resulting in the theory that number, space and time might be part of a generalized magnitude system. To date, several behavioral and neuroimaging findings support the notion of a generalized magnitude system, although contradictory results showing a partial overlap or separate magnitude systems are also found. The possible existence of a generalized magnitude processing area leads to the question how individuals with developmental dyscalculia (DD), known for deficits in numerical-arithmetical abilities, process magnitudes. By means of neuropsychological tests and functional magnetic resonance imaging (fMRI) we aimed to examine the relationship between number and space in typical and atypical development. Participants were 16 adolescents with DD (14.1 years) and 14 typically developing (TD) peers (13.8 years). In the fMRI paradigm participants had to perform discrete (arrays of dots) and continuous magnitude (angles) comparisons as well as a mental rotation task. In the neuropsychological tests, adolescents with dyscalculia performed significantly worse in numerical and complex visuo-spatial tasks. However, they showed similar results to TD peers when making discrete and continuous magnitude decisions during the neuropsychological tests and the fMRI paradigm. A conjunction analysis of the fMRI data revealed commonly activated higher order visual (inferior and middle occipital gyrus) and parietal (inferior and superior parietal lobe) magnitude areas for the discrete and continuous magnitude tasks. Moreover, no differences were found when contrasting both magnitude processing conditions, favoring the possibility of a generalized magnitude system. Group comparisons further revealed that dyscalculic subjects showed increased activation in domain general regions, whilst TD peers activate domain specific areas to a greater extent. In conclusion, our results point to the existence of a

  16. 25 CFR 11.1206 - Obtaining a regular (non-emergency) order of protection.

    Code of Federal Regulations, 2012 CFR

    2012-04-01

    ... COURTS OF INDIAN OFFENSES AND LAW AND ORDER CODE Child Protection and Domestic Violence Procedures § 11... custody of any children involved when appropriate and provide for visitation rights, child support, and... 25 Indians 1 2012-04-01 2011-04-01 true Obtaining a regular (non-emergency) order of protection...

  17. 25 CFR 11.1206 - Obtaining a regular (non-emergency) order of protection.

    Code of Federal Regulations, 2014 CFR

    2014-04-01

    ... COURTS OF INDIAN OFFENSES AND LAW AND ORDER CODE Child Protection and Domestic Violence Procedures § 11... custody of any children involved when appropriate and provide for visitation rights, child support, and... 25 Indians 1 2014-04-01 2014-04-01 false Obtaining a regular (non-emergency) order of protection...

  18. 25 CFR 11.1206 - Obtaining a regular (non-emergency) order of protection.

    Code of Federal Regulations, 2013 CFR

    2013-04-01

    ... COURTS OF INDIAN OFFENSES AND LAW AND ORDER CODE Child Protection and Domestic Violence Procedures § 11... custody of any children involved when appropriate and provide for visitation rights, child support, and... 25 Indians 1 2013-04-01 2013-04-01 false Obtaining a regular (non-emergency) order of protection...

  19. Quantification of Acute Vocal Fold Epithelial Surface Damage with Increasing Time and Magnitude Doses of Vibration Exposure

    PubMed Central

    Kojima, Tsuyoshi; Van Deusen, Mark; Jerome, W. Gray; Garrett, C. Gaelyn; Sivasankar, M. Preeti; Novaleski, Carolyn K.; Rousseau, Bernard

    2014-01-01

    Because the vocal folds undergo repeated trauma during continuous cycles of vibration, the epithelium is routinely susceptible to damage during phonation. Excessive and prolonged vibration exposure is considered a significant predisposing factor in the development of vocal fold pathology. The purpose of the present study was to quantify the extent of epithelial surface damage following increased time and magnitude doses of vibration exposure using an in vivo rabbit phonation model. Forty-five New Zealand white breeder rabbits were randomized to nine groups and received varying phonation time-doses (30, 60, or 120 minutes) and magnitude-doses (control, modal intensity phonation, or raised intensity phonation) of vibration exposure. Scanning electron microscopy and transmission electron microscopy was used to quantify the degree of epithelial surface damage. Results revealed a significant reduction in microprojection density, microprojection height, and depth of the epithelial surface with increasing time and phonation magnitudes doses, signifying increased epithelial surface damage risk with excessive and prolonged vibration exposure. Destruction to the epithelial cell surface may provide significant insight into the disruption of cell function following prolonged vibration exposure. One important goal achieved in the present study was the quantification of epithelial surface damage using objective imaging criteria. These data provide an important foundation for future studies of long-term tissue recovery from excessive and prolonged vibration exposure. PMID:24626217

  20. An order of magnitude improvement in optical fiber bandwidth using spatial domain multiplexing/space division multiplexing (SDM) in conjunction with orbital angular momentum (OAM)

    NASA Astrophysics Data System (ADS)

    Murshid, Syed; Alanzi, Saud; Hridoy, Arnob; Lovell, Greg; Parhar, Gurinder; Chakravarty, Abhijit; Chowdhury, Bilas

    2014-09-01

    Spatial Domain Multiplexing/Space Division Multiplexing (SDM) can increase the bandwidth of existing and futuristic optical fibers by an order of magnitude or more. In the SDM technique, we launch multiple single mode pigtail laser sources of same wavelength into a carrier fiber at different angles. The launching angles decide the output of the carrier fiber by allocating separate spatial locations for each channel. Each channel follows a helical trajectory while traversing the length of the carrier fiber, thereby allowing spatial reuse of optical frequencies. In this endeavor we launch light from five different single mode pigtail laser sources at different angles (with respect to the axis of the carrier fiber) into the carrier fiber. Owing to helical propagation we get five distinct concentric donut shaped rings with negligible crosstalk at the output end of the fiber. These SDM channels also exhibit Orbital Angular Momentum (OAM), thereby adding an extra degree of photon freedom. We present the experimental data of five spatially multiplexed channels and compare them with simulated results to show that this technique can potentially improve the data capacity of optical fibers by an order of magnitude: A factor of five using SDM and another factor of two using OAM.

  1. Thermoelectric generator based on composites obtained by sintering of detonation nanodiamonds

    NASA Astrophysics Data System (ADS)

    Eidelman, E. D.; Meilakhs, A. P.; Semak, B. V.; Shakhov, F. M.

    2017-11-01

    A model of a thermoelectric generator is proposed, in which composite materials obtained by sintering diamond nanoparticles are used as the main component. To increase the useful conversion of heat into electric current, it is proposed to use the effect of electron drag by ballistic phonons. To reduce the ineffective heat spread, it is proposed to use the effect of thermal resistance of the boundaries between the graphite-like and diamond-like phases of the composite. An experimental confirmation of the existence of an optimal volume ratio between graphite-like and diamond-like phases of the composite is predicted and obtained. The highest achieved value of thermoelectric coefficient in the actual structure is 80 µV K-1 (which means 20 times increase compared to that of composites not of the optimal structure), with a thermal conductivity of 50 W m-1 K-1. These results were obtained with constant electrical conductivity. The combined influence of these two effects in case of the ideal composite structure should result in an increase of the thermoelectric efficiency parameter by three orders of magnitude.

  2. Child Support; Need to Improve Efforts to Identify Fathers and Obtain Support Orders.

    DTIC Science & Technology

    1987-04-01

    34 Reduces the stigma of illegitimacy and helps give the child a sense of identity. • Increases the child’s opportunity to develop a close parental...A179 979 CHILD SUPPORT; NEED TO IMPROVE EFFORTS TO IDENTIFY 1/1 FATHERS AND OBTAIN SUPPORT ORDERS(U) GENERAL ACCOUNTING OFFICE WASHINGTON DC HUNAN...April 30, 1987 The Honorable Otis R. Bowen, M.D. The Secretary of Health and Human Services Dear Mr. Secretary: This report discusses child support

  3. Absolute Magnitude Calibration for Dwarfs Based on the Colour-Magnitude Diagrams of Galactic Clusters

    NASA Astrophysics Data System (ADS)

    Karaali, S.; Gökçe, E. Yaz; Bilir, S.; Güçtekin, S. Tunçel

    2014-07-01

    We present two absolute magnitude calibrations for dwarfs based on colour-magnitude diagrams of Galactic clusters. The combination of the Mg absolute magnitudes of the dwarf fiducial sequences of the clusters M92, M13, M5, NGC 2420, M67, and NGC 6791 with the corresponding metallicities provides absolute magnitude calibration for a given (g - r)0 colour. The calibration is defined in the colour interval 0.25 ≤ (g - r)0 ≤ 1.25 mag and it covers the metallicity interval - 2.15 ≤ [Fe/H] ≤ +0.37 dex. The absolute magnitude residuals obtained by the application of the procedure to another set of Galactic clusters lie in the interval - 0.15 ≤ ΔMg ≤ +0.12 mag. The mean and standard deviation of the residuals are < ΔMg > = - 0.002 and σ = 0.065 mag, respectively. The calibration of the MJ absolute magnitude in terms of metallicity is carried out by using the fiducial sequences of the clusters M92, M13, 47 Tuc, NGC 2158, and NGC 6791. It is defined in the colour interval 0.90 ≤ (V - J)0 ≤ 1.75 mag and it covers the same metallicity interval of the Mg calibration. The absolute magnitude residuals obtained by the application of the procedure to the cluster M5 ([Fe/H] = -1.40 dex) and 46 solar metallicity, - 0.45 ≤ [Fe/H] ≤ +0.35 dex, field stars lie in the interval - 0.29 and + 0.35 mag. However, the range of 87% of them is rather shorter, - 0.20 ≤ ΔMJ ≤ +0.20 mag. The mean and standard deviation of all residuals are < ΔMJ > =0.05 and σ = 0.13 mag, respectively. The derived relations are applicable to stars older than 4 Gyr for the Mg calibration, and older than 2 Gyr for the MJ calibration. The cited limits are the ages of the youngest calibration clusters in the two systems.

  4. Pro-inflammatory cytokines expression increases following low- and high-magnitude cyclic loading of lumbar ligaments

    PubMed Central

    D’Ambrosia, Peter; King, Karen; Davidson, Bradley; Zhou, Bing He; Lu, Yun

    2010-01-01

    Repetitive or overuse disorders of the lumbar spine affect the lives of workers and athletes. We hypothesize that repetitive anterior lumbar flexion–extension under low or high load will result in significantly elevated pro-inflammatory cytokines expression several hours post-activity. High loads will exhibit significantly higher expression than low loads. Lumbar spine of in vivo feline was subjected to cyclic loading at 0.25 Hz for six 10-min periods with 10 min of rest in between. One group was subjected to a low peak load of 20 N, whereas the second group to a high peak load of 60 N. Following a 7-h post-loading rest, the supraspinous ligaments of L-3/4, L-4/5 and L-5/6 and the unstimulated T-10/11 were excised for mRNA analysis and IL-1β, IL-6, IL-8, TNFα and TGFβ1 pro-inflammatory cytokines expression. Creep (laxity) developed in the lumbar spine during the loading and the subsequent 7 h of rest was calculated. A two-way mixed model ANOVA was used to assess difference in each cytokines expression between the two groups and control. Tukey HSD post hoc analysis delineated specific significant effects. Significance was set at 0.05. Low and high-load groups exhibited development of creep throughout the cyclic loading period and gradual recovery throughout the 7-h rest period. Residual creep of 24.8 and 30.2% were present in the low and high-load groups, respectively, 7-h post-loading. Significant increases in expression of all cytokines measured relative to control were obtained for supraspinous ligaments from both low and high-load magnitudes. IL-6, IL-8 and TGFβ1 expression in the high-load group were significantly higher relative to the low-load group. Significant increases in cytokines expression indicating tissue inflammation are observed several hours post-repetitive lumbar flexion–extension regardless of the load magnitude applied. Repetitive occupational and athletic activity, regardless of the load applied, may be associated with the

  5. Fourier Magnitude-Based Privacy-Preserving Clustering on Time-Series Data

    NASA Astrophysics Data System (ADS)

    Kim, Hea-Suk; Moon, Yang-Sae

    Privacy-preserving clustering (PPC in short) is important in publishing sensitive time-series data. Previous PPC solutions, however, have a problem of not preserving distance orders or incurring privacy breach. To solve this problem, we propose a new PPC approach that exploits Fourier magnitudes of time-series. Our magnitude-based method does not cause privacy breach even though its techniques or related parameters are publicly revealed. Using magnitudes only, however, incurs the distance order problem, and we thus present magnitude selection strategies to preserve as many Euclidean distance orders as possible. Through extensive experiments, we showcase the superiority of our magnitude-based approach.

  6. Acceleration of protein folding by four orders of magnitude through a single amino acid substitution

    PubMed Central

    Roderer, Daniel J. A.; Schärer, Martin A.; Rubini, Marina; Glockshuber, Rudi

    2015-01-01

    Cis prolyl peptide bonds are conserved structural elements in numerous protein families, although their formation is energetically unfavorable, intrinsically slow and often rate-limiting for folding. Here we investigate the reasons underlying the conservation of the cis proline that is diagnostic for the fold of thioredoxin-like thiol-disulfide oxidoreductases. We show that replacement of the conserved cis proline in thioredoxin by alanine can accelerate spontaneous folding to the native, thermodynamically most stable state by more than four orders of magnitude. However, the resulting trans alanine bond leads to small structural rearrangements around the active site that impair the function of thioredoxin as catalyst of electron transfer reactions by more than 100-fold. Our data provide evidence for the absence of a strong evolutionary pressure to achieve intrinsically fast folding rates, which is most likely a consequence of proline isomerases and molecular chaperones that guarantee high in vivo folding rates and yields. PMID:26121966

  7. Landslide seismic magnitude

    NASA Astrophysics Data System (ADS)

    Lin, C. H.; Jan, J. C.; Pu, H. C.; Tu, Y.; Chen, C. C.; Wu, Y. M.

    2015-11-01

    Landslides have become one of the most deadly natural disasters on earth, not only due to a significant increase in extreme climate change caused by global warming, but also rapid economic development in topographic relief areas. How to detect landslides using a real-time system has become an important question for reducing possible landslide impacts on human society. However, traditional detection of landslides, either through direct surveys in the field or remote sensing images obtained via aircraft or satellites, is highly time consuming. Here we analyze very long period seismic signals (20-50 s) generated by large landslides such as Typhoon Morakot, which passed though Taiwan in August 2009. In addition to successfully locating 109 large landslides, we define landslide seismic magnitude based on an empirical formula: Lm = log ⁡ (A) + 0.55 log ⁡ (Δ) + 2.44, where A is the maximum displacement (μm) recorded at one seismic station and Δ is its distance (km) from the landslide. We conclude that both the location and seismic magnitude of large landslides can be rapidly estimated from broadband seismic networks for both academic and applied purposes, similar to earthquake monitoring. We suggest a real-time algorithm be set up for routine monitoring of landslides in places where they pose a frequent threat.

  8. Evolution of Microroughness with Increasing Slip Magnitude on Pseudotachylyte-Bearing Fault Surfaces

    NASA Astrophysics Data System (ADS)

    Bessey, S.; Resor, P. G.; Di Toro, G.

    2013-12-01

    ) were extracted from the CT volume using an edge detection algorithm and their roughness was quantified using Fourier spectral and spatial analysis methods. At very small slip (<30 mm), roughness analysis showed anisotropy in the form of striations with smoothing in the direction of slip coupled with a lack of visible pseudotachylyte (i.e., the volume of pseudotachylyte produced was below the resolution of the MicroCT method), suggesting that the frictional work did not exchange sufficient heat to significantly melt the host rock along the fault surface. With increasing slip (~35mm-310mm), a trend of decreasing anisotropy is in evidence, as is a strong increase in local topography associated with recessed biotite grains. We infer that samples in this range of slip magnitude experienced significant wear due to melting. Microroughness shows a clear, albeit somewhat complicated, relationship with slip and may be used to infer the evolution of shear resistance with seismic slip.

  9. Development of A Tsunami Magnitude Scale Based on DART Buoy Data

    NASA Astrophysics Data System (ADS)

    Leiva, J.; Polet, J.

    2016-12-01

    the calculation of station corrections, in order to obtain a final amplification factor for each event, which is used to calculate its tsunami magnitude.

  10. Physical and cognitive effort discounting across different reward magnitudes: Tests of discounting models

    PubMed Central

    Ostaszewski, Paweł

    2017-01-01

    The effort required to obtain a rewarding outcome is an important factor in decision-making. Describing the reward devaluation by increasing effort intensity is substantial to understanding human preferences, because every action and choice that we make is in itself effortful. To investigate how reward valuation is affected by physical and cognitive effort, we compared mathematical discounting functions derived from research on discounting. Seven discounting models were tested across three different reward magnitudes. To test the models, data were collected from a total of 114 participants recruited from the general population. For one-parameter models (hyperbolic, exponential, and parabolic), the data were explained best by the exponential model as given by a percentage of explained variance. However, after introducing an additional parameter, data obtained in the cognitive and physical effort conditions were best described by the power function model. Further analysis, using the second order Akaike and Bayesian Information Criteria, which account for model complexity, allowed us to identify the best model among all tested. We found that the power function best described the data, which corresponds to conventional analyses based on the R2 measure. This supports the conclusion that the function best describing reward devaluation by physical and cognitive effort is a concave one and is different from those that describe delay or probability discounting. In addition, consistent magnitude effects were observed that correspond to those in delay discounting research. PMID:28759631

  11. Order-of-magnitude physics of neutron stars. Estimating their properties from first principles

    NASA Astrophysics Data System (ADS)

    Reisenegger, Andreas; Zepeda, Felipe S.

    2016-03-01

    We use basic physics and simple mathematics accessible to advanced undergraduate students to estimate the main properties of neutron stars. We set the stage and introduce relevant concepts by discussing the properties of "everyday" matter on Earth, degenerate Fermi gases, white dwarfs, and scaling relations of stellar properties with polytropic equations of state. Then, we discuss various physical ingredients relevant for neutron stars and how they can be combined in order to obtain a couple of different simple estimates of their maximum mass, beyond which they would collapse, turning into black holes. Finally, we use the basic structural parameters of neutron stars to briefly discuss their rotational and electromagnetic properties.

  12. Significantly Increased Odds of Reporting Previous Shoulder Injuries in Female Marines Based on Larger Magnitude Shoulder Rotator Bilateral Strength Differences

    PubMed Central

    Eagle, Shawn R.; Connaboy, Chris; Nindl, Bradley C.; Allison, Katelyn F.

    2018-01-01

    Background: Musculoskeletal injuries to the extremities are a primary concern for the United States (US) military. One possible injury risk factor in this population is side-to-side strength imbalance. Purpose: To examine the odds of reporting a previous shoulder injury in US Marine Corps Ground Combat Element Integrated Task Force volunteers based on side-to-side strength differences in isokinetic shoulder strength. Study Design: Cohort study; Level of evidence, 3. Methods: Male (n = 219) and female (n = 91) Marines were included in this analysis. Peak torque values from 5 shoulder internal/external rotation repetitions were averaged and normalized to body weight. The difference in side-to-side strength measurements was calculated as the absolute value of the limb difference divided by the mean peak torque of the dominant limb. Participants were placed into groups based on the magnitude of these differences: <10%, 10% to 20%, and >20%. Odds ratios (ORs) and 95% CIs were calculated. Results: When separated by sex, 13.2% of men reported an injury, while 5.5% of women reported an injury. Female Marines with >20% internal rotation side-to-side strength differences demonstrated increased odds of reporting a previous shoulder injury compared with female Marines with <10% strength differences (OR, 15.4; 95% CI, 1.4-167.2; P = .03 ) and female Marines with 10% to 20% strength differences (OR, 13.9; 95% CI, 1.3-151.2; P = .04). No significant ORs were demonstrated in male Marines. Conclusion: Marines with larger magnitude internal rotation strength differences demonstrated increased odds of reporting a previous shoulder injury compared with those with lesser magnitude differences. Additionally, female sex appears to drastically affect the increased odds of reporting shoulder injuries (OR, 13.9-15.4) with larger magnitude differences (ie, >20%) compared with those with lesser magnitude differences (ie, <10% and 10%-20%). The retrospective cohort design of this study cannot

  13. Significantly Increased Odds of Reporting Previous Shoulder Injuries in Female Marines Based on Larger Magnitude Shoulder Rotator Bilateral Strength Differences.

    PubMed

    Eagle, Shawn R; Connaboy, Chris; Nindl, Bradley C; Allison, Katelyn F

    2018-02-01

    Musculoskeletal injuries to the extremities are a primary concern for the United States (US) military. One possible injury risk factor in this population is side-to-side strength imbalance. To examine the odds of reporting a previous shoulder injury in US Marine Corps Ground Combat Element Integrated Task Force volunteers based on side-to-side strength differences in isokinetic shoulder strength. Cohort study; Level of evidence, 3. Male (n = 219) and female (n = 91) Marines were included in this analysis. Peak torque values from 5 shoulder internal/external rotation repetitions were averaged and normalized to body weight. The difference in side-to-side strength measurements was calculated as the absolute value of the limb difference divided by the mean peak torque of the dominant limb. Participants were placed into groups based on the magnitude of these differences: <10%, 10% to 20%, and >20%. Odds ratios (ORs) and 95% CIs were calculated. When separated by sex, 13.2% of men reported an injury, while 5.5% of women reported an injury. Female Marines with >20% internal rotation side-to-side strength differences demonstrated increased odds of reporting a previous shoulder injury compared with female Marines with <10% strength differences (OR, 15.4; 95% CI, 1.4-167.2; P = .03 ) and female Marines with 10% to 20% strength differences (OR, 13.9; 95% CI, 1.3-151.2; P = .04). No significant ORs were demonstrated in male Marines. Marines with larger magnitude internal rotation strength differences demonstrated increased odds of reporting a previous shoulder injury compared with those with lesser magnitude differences. Additionally, female sex appears to drastically affect the increased odds of reporting shoulder injuries (OR, 13.9-15.4) with larger magnitude differences (ie, >20%) compared with those with lesser magnitude differences (ie, <10% and 10%-20%). The retrospective cohort design of this study cannot delineate cause and effect but establishes a relationship between

  14. Extreme Magnitude Earthquakes and their Economical Consequences

    NASA Astrophysics Data System (ADS)

    Chavez, M.; Cabrera, E.; Ashworth, M.; Perea, N.; Emerson, D.; Salazar, A.; Moulinec, C.

    2011-12-01

    The frequency of occurrence of extreme magnitude earthquakes varies from tens to thousands of years, depending on the considered seismotectonic region of the world. However, the human and economic losses when their hypocenters are located in the neighborhood of heavily populated and/or industrialized regions, can be very large, as recently observed for the 1985 Mw 8.01 Michoacan, Mexico and the 2011 Mw 9 Tohoku, Japan, earthquakes. Herewith, a methodology is proposed in order to estimate the probability of exceedance of: the intensities of extreme magnitude earthquakes, PEI and of their direct economical consequences PEDEC. The PEI are obtained by using supercomputing facilities to generate samples of the 3D propagation of extreme earthquake plausible scenarios, and enlarge those samples by Monte Carlo simulation. The PEDEC are computed by using appropriate vulnerability functions combined with the scenario intensity samples, and Monte Carlo simulation. An example of the application of the methodology due to the potential occurrence of extreme Mw 8.5 subduction earthquakes on Mexico City is presented.

  15. Separate mechanisms for magnitude and order processing in the spatial-numerical association of response codes (SNARC) effect: The strange case of musical note values.

    PubMed

    Prpic, Valter; Fumarola, Antonia; De Tommaso, Matteo; Luccio, Riccardo; Murgia, Mauro; Agostini, Tiziano

    2016-08-01

    The spatial-numerical association of response codes (SNARC) effect is considered an evidence of the association between numbers and space, with faster left key-press responses to small numbers and faster right key-press responses to large numbers. We examined whether visually presented note values produce a SNARC-like effect. Differently from numbers, note values are represented as a decreasing left-to-right progression, allowing us to disambiguate the contribution of order and magnitude in determining the direction of the effect. Musicians with formal education performed a note value comparison in Experiment 1 (direct task), a line orientation judgment in Experiment 2 (indirect task), and a detection task in Experiment 3 (indirect task). When note values were task relevant (direct task), participants responded faster to large note values with the left key-press, and vice versa. Conversely, when note values were task irrelevant (indirect tasks), the direction of this association was reversed. This evidence suggests the existence of separate mechanisms underlying the SNARC effect. Namely, an Order-Related Mechanism (ORM) and a Magnitude-Related Mechanism (MRM) that are revealed by different task demands. Indeed, according to a new model we proposed, ordinal and magnitude related information appears to be preferentially involved in direct and indirect tasks, respectively. (PsycINFO Database Record (c) 2016 APA, all rights reserved).

  16. The color-magnitude distribution of small Kuiper Belt objects

    NASA Astrophysics Data System (ADS)

    Wong, Ian; Brown, Michael E.

    2015-11-01

    Occupying a vast region beyond the ice giants is an extensive swarm of minor bodies known as the Kuiper Belt. Enigmatic in their formation, composition, and evolution, these Kuiper Belt objects (KBOs) lie at the intersection of many of the most important topics in planetary science. Improved instruments and large-scale surveys have revealed a complex dynamical picture of the Kuiper Belt. Meanwhile, photometric studies have indicated that small KBOs display a wide range of colors, which may reflect a chemically diverse initial accretion environment and provide important clues to constraining the surface compositions of these objects. Notably, some recent work has shown evidence for bimodality in the colors of non-cold classical KBOs, which would have major implications for the formation and subsequent evolution of the entire KBO population. However, these previous color measurements are few and mostly come from targeted observations of known objects. As a consequence, the effect of observational biases cannot be readily removed, preventing one from obtaining an accurate picture of the true color distribution of the KBOs as a whole.We carried out a survey of KBOs using the Hyper Suprime-Cam instrument on the 8.2-meter Subaru telescope. Our observing fields targeted regions away from the ecliptic plane so as to avoid contamination from cold classical KBOs. Each field was imaged in both the g’ and i’ filters, which allowed us to calculate the g’-i’ color of each detected object. We detected more than 500 KBOs over two nights of observation, with absolute magnitudes from H=6 to H=11. Our survey increases the number of KBOs fainter than H=8 with known colors by more than an order of magnitude. We find that the distribution of colors demonstrates a robust bimodality across the entire observed range of KBO sizes, from which we can categorize individual objects into two color sub-populations -- the red and very-red KBOs. We present the very first analysis of the

  17. Spatio-Temporal Fluctuations of the Earthquake Magnitude Distribution: Robust Estimation and Predictive Power

    NASA Astrophysics Data System (ADS)

    Olsen, S.; Zaliapin, I.

    2008-12-01

    We establish positive correlation between the local spatio-temporal fluctuations of the earthquake magnitude distribution and the occurrence of regional earthquakes. In order to accomplish this goal, we develop a sequential Bayesian statistical estimation framework for the b-value (slope of the Gutenberg-Richter's exponential approximation to the observed magnitude distribution) and for the ratio a(t) between the earthquake intensities in two non-overlapping magnitude intervals. The time-dependent dynamics of these parameters is analyzed using Markov Chain Models (MCM). The main advantage of this approach over the traditional window-based estimation is its "soft" parameterization, which allows one to obtain stable results with realistically small samples. We furthermore discuss a statistical methodology for establishing lagged correlations between continuous and point processes. The developed methods are applied to the observed seismicity of California, Nevada, and Japan on different temporal and spatial scales. We report an oscillatory dynamics of the estimated parameters, and find that the detected oscillations are positively correlated with the occurrence of large regional earthquakes, as well as with small events with magnitudes as low as 2.5. The reported results have important implications for further development of earthquake prediction and seismic hazard assessment methods.

  18. IDC Reengineering Phase 2 & 3 Rough Order of Magnitude (ROM) Cost Estimate Summary (Leveraged NDC Case).

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Harris, James M.; Prescott, Ryan; Dawson, Jericah M.

    2014-11-01

    Sandia National Laboratories has prepared a ROM cost estimate for budgetary planning for the IDC Reengineering Phase 2 & 3 effort, based on leveraging a fully funded, Sandia executed NDC Modernization project. This report provides the ROM cost estimate and describes the methodology, assumptions, and cost model details used to create the ROM cost estimate. ROM Cost Estimate Disclaimer Contained herein is a Rough Order of Magnitude (ROM) cost estimate that has been provided to enable initial planning for this proposed project. This ROM cost estimate is submitted to facilitate informal discussions in relation to this project and is NOTmore » intended to commit Sandia National Laboratories (Sandia) or its resources. Furthermore, as a Federally Funded Research and Development Center (FFRDC), Sandia must be compliant with the Anti-Deficiency Act and operate on a full-cost recovery basis. Therefore, while Sandia, in conjunction with the Sponsor, will use best judgment to execute work and to address the highest risks and most important issues in order to effectively manage within cost constraints, this ROM estimate and any subsequent approved cost estimates are on a 'full-cost recovery' basis. Thus, work can neither commence nor continue unless adequate funding has been accepted and certified by DOE.« less

  19. Individual Impact Magnitude vs. Cumulative Magnitude for Estimating Concussion Odds.

    PubMed

    O'Connor, Kathryn L; Peeters, Thomas; Szymanski, Stefan; Broglio, Steven P

    2017-08-01

    Helmeted impact devices have allowed researchers to investigate the biomechanics of head impacts in vivo. While increased impact magnitude has been associated with greater concussion risk, a definitive concussive threshold has not been established. It is likely that concussion risk is not determined by a single impact itself, but a host of predisposing factors. These factors may include genetics, fatigue, and/or prior head impact exposure. The objective of the current paper is to investigate the association between cumulative head impact magnitude and concussion risk. It is hypothesized that increased cumulative magnitudes will be associated with greater concussion risk. This retrospective analysis included participants that were recruited from regional high-schools in Illinois and Michigan from 2007 to 2014 as part of an ongoing study on concussion biomechanics. Across seven seasons, 185 high school football athletes were instrumented with the Head Impact Telemetry system. Out of 185 athletes, 31 (17%) sustained a concussion, with two athletes sustaining two concussions over the study period, yielding 33 concussive events. The system recorded 78,204 impacts for all concussed players. Linear acceleration, rotational acceleration, and head impact telemetry severity profile (HITsp) magnitudes were summed within five timeframes: the day of injury, three days prior to injury, seven days prior to injury, 30 days prior to injury, and prior in-season exposure. Logistic regressions were modeled to explain concussive events based on the singular linear acceleration, rotational acceleration, and HITsp event along with the calculated summations over time. Linear acceleration, rotational acceleration, and HITsp all produced significant models estimating concussion (p < 0.05). The strongest estimators of a concussive impact were the linear acceleration (OR = 1.040, p < 0.05), rotational acceleration (OR = 1.001, p < 0.05), and HITsp (OR = 1.003, p < 0.05) for the

  20. Magnitude and sign of long-range correlated time series: Decomposition and surrogate signal generation.

    PubMed

    Gómez-Extremera, Manuel; Carpena, Pedro; Ivanov, Plamen Ch; Bernaola-Galván, Pedro A

    2016-04-01

    We systematically study the scaling properties of the magnitude and sign of the fluctuations in correlated time series, which is a simple and useful approach to distinguish between systems with different dynamical properties but the same linear correlations. First, we decompose artificial long-range power-law linearly correlated time series into magnitude and sign series derived from the consecutive increments in the original series, and we study their correlation properties. We find analytical expressions for the correlation exponent of the sign series as a function of the exponent of the original series. Such expressions are necessary for modeling surrogate time series with desired scaling properties. Next, we study linear and nonlinear correlation properties of series composed as products of independent magnitude and sign series. These surrogate series can be considered as a zero-order approximation to the analysis of the coupling of magnitude and sign in real data, a problem still open in many fields. We find analytical results for the scaling behavior of the composed series as a function of the correlation exponents of the magnitude and sign series used in the composition, and we determine the ranges of magnitude and sign correlation exponents leading to either single scaling or to crossover behaviors. Finally, we obtain how the linear and nonlinear properties of the composed series depend on the correlation exponents of their magnitude and sign series. Based on this information we propose a method to generate surrogate series with controlled correlation exponent and multifractal spectrum.

  1. Comparison of magnetic probe calibration at nano and millitesla magnitudes

    NASA Astrophysics Data System (ADS)

    Pahl, Ryan A.; Rovey, Joshua L.; Pommerenke, David J.

    2014-01-01

    Magnetic field probes are invaluable diagnostics for pulsed inductive plasma devices where field magnitudes on the order of tenths of tesla or larger are common. Typical methods of providing a broadband calibration of dot{{B}} probes involve either a Helmholtz coil driven by a function generator or a network analyzer. Both calibration methods typically produce field magnitudes of tens of microtesla or less, at least three and as many as six orders of magnitude lower than their intended use. This calibration factor is then assumed constant regardless of magnetic field magnitude and the effects of experimental setup are ignored. This work quantifies the variation in calibration factor observed when calibrating magnetic field probes in low field magnitudes. Calibration of two dot{{B}} probe designs as functions of frequency and field magnitude are presented. The first dot{{B}} probe design is the most commonly used design and is constructed from two hand-wound inductors in a differential configuration. The second probe uses surface mounted inductors in a differential configuration with balanced shielding to further reduce common mode noise. Calibration factors are determined experimentally using an 80.4 mm radius Helmholtz coil in two separate configurations over a frequency range of 100-1000 kHz. A conventional low magnitude calibration using a vector network analyzer produced a field magnitude of 158 nT and yielded calibration factors of 15 663 ± 1.7% and 4920 ± 0.6% {T}/{V {s}} at 457 kHz for the surface mounted and hand-wound probes, respectively. A relevant magnitude calibration using a pulsed-power setup with field magnitudes of 8.7-354 mT yielded calibration factors of 14 615 ± 0.3% and 4507 ± 0.4% {T}/{V {s}} at 457 kHz for the surface mounted inductor and hand-wound probe, respectively. Low-magnitude calibration resulted in a larger calibration factor, with an average difference of 9.7% for the surface mounted probe and 12.0% for the hand-wound probe. The

  2. Speaking two languages with different number naming systems: What implications for magnitude judgments in bilinguals at different stages of language acquisition?

    PubMed

    Van Rinsveld, Amandine; Schiltz, Christine; Landerl, Karin; Brunner, Martin; Ugen, Sonja

    2016-08-01

    Differences between languages in terms of number naming systems may lead to performance differences in number processing. The current study focused on differences concerning the order of decades and units in two-digit number words (i.e., unit-decade order in German but decade-unit order in French) and how they affect number magnitude judgments. Participants performed basic numerical tasks, namely two-digit number magnitude judgments, and we used the compatibility effect (Nuerk et al. in Cognition 82(1):B25-B33, 2001) as a hallmark of language influence on numbers. In the first part we aimed to understand the influence of language on compatibility effects in adults coming from German or French monolingual and German-French bilingual groups (Experiment 1). The second part examined how this language influence develops at different stages of language acquisition in individuals with increasing bilingual proficiency (Experiment 2). Language systematically influenced magnitude judgments such that: (a) The spoken language(s) modulated magnitude judgments presented as Arabic digits, and (b) bilinguals' progressive language mastery impacted magnitude judgments presented as number words. Taken together, the current results suggest that the order of decades and units in verbal numbers may qualitatively influence magnitude judgments in bilinguals and monolinguals, providing new insights into how number processing can be influenced by language(s).

  3. Magnitude knowledge: the common core of numerical development.

    PubMed

    Siegler, Robert S

    2016-05-01

    The integrated theory of numerical development posits that a central theme of numerical development from infancy to adulthood is progressive broadening of the types and ranges of numbers whose magnitudes are accurately represented. The process includes four overlapping trends: (1) representing increasingly precisely the magnitudes of non-symbolic numbers, (2) connecting small symbolic numbers to their non-symbolic referents, (3) extending understanding from smaller to larger whole numbers, and (4) accurately representing the magnitudes of rational numbers. The present review identifies substantial commonalities, as well as differences, in these four aspects of numerical development. With both whole and rational numbers, numerical magnitude knowledge is concurrently correlated with, longitudinally predictive of, and causally related to multiple aspects of mathematical understanding, including arithmetic and overall math achievement. Moreover, interventions focused on increasing numerical magnitude knowledge often generalize to other aspects of mathematics. The cognitive processes of association and analogy seem to play especially large roles in this development. Thus, acquisition of numerical magnitude knowledge can be seen as the common core of numerical development. © 2016 John Wiley & Sons Ltd.

  4. Boosting current generation in microbial fuel cells by an order of magnitude by coating an ionic liquid polymer on carbon anodes.

    PubMed

    Yang, Lu; Deng, Wenfang; Zhang, Youming; Tan, Yueming; Ma, Ming; Xie, Qingji

    2017-05-15

    Microbial fuel cells (MFCs) have attracted great attentions due to their great application potentials, but the relatively low power densities of MFCs still hinder their widespread practical applications. Herein, we report that the current generation in MFCs can be boosted by an order of magnitude, simply by coating a hydrophilic and positively charged ionic liquid polymer (ILP) on carbon cloth (CC) or carbon felt (CF). The ILP coating not only can increase the bacterial loading capacity due to the electrostatic interactions between ILP and bacterial cells, but also can improve the mediated extracellular electron transfer between the electrode and the cytochrome proteins on the outer membrane of Shewanella putrefaciens cells. As a result, the maximum power density of a MFC equipped with the CF-ILP bioanode is as high as 4400±170mWm -2 , which is amongst the highest values reported to date. This work demonstrates a new strategy for greatly boosting the current generation in MFCs. Copyright © 2017 Elsevier B.V. All rights reserved.

  5. Surveying the CGM and IGM across 4 orders of magnitude in environmental density

    NASA Astrophysics Data System (ADS)

    Burchett, Joseph

    2017-08-01

    Environment matters when it comes to galaxy evolution, and the mechanisms driving this evolution are reflected in the diffuse gas residing within the large-scale structures enveloping the cosmic galaxy population. QSO absorption lines effectively probe the circumgalactic medium (CGM) and intragroup and intracluster media, and work thus far hints at profound environmental effects on the CGM. However, sample sizes remain small, and a unifying picture of the gas characteristics across diverse environments has yet to emerge. Within the Sloan Digital Sky Survey, we have identified a sample volume containing a remarkable diversity in large-scale environment with an array of voids, >10,000 groups, several filaments, and 5 clusters, including the Coma Supercluster and CfA Great Wall. Leveraging the Hubble Spectroscopic Legacy Archive (HSLA), we propose a study using >360 background QSOs probing this volume to study the effects of large-scale environment on CGM and intergalactic medium (IGM) gas. The z = 0.019-0.028 spectroscopic galaxy sample is uniformly complete to galaxies L > 0.03 L* and, with the HSLA, produces 200 galaxy/sightline pairs within 300-kpc impact parameters across a wide range of environmental densities and structures.Upon quantifying the galaxy environment and identifying/measuring the QSO absorption lines at z = 0.019-0.028, we will pursue the following primary science goals:1. Constrain the CGM/IGM physical conditions across four orders of magnitude in galaxy density2. Compare ionic abundances and ionization states in the CGM of galaxies in filaments vs. voids3. Statistically investigate the IGM/CGM gas properties from structure to structure

  6. Design of minimum multiplier fractional order differentiator based on lattice wave digital filter.

    PubMed

    Barsainya, Richa; Rawat, Tarun Kumar; Kumar, Manjeet

    2017-01-01

    In this paper, a novel design of fractional order differentiator (FOD) based on lattice wave digital filter (LWDF) is proposed which requires minimum number of multiplier for its structural realization. Firstly, the FOD design problem is formulated as an optimization problem using the transfer function of lattice wave digital filter. Then, three optimization algorithms, namely, genetic algorithm (GA), particle swarm optimization (PSO) and cuckoo search algorithm (CSA) are applied to determine the optimal LWDF coefficients. The realization of FOD using LWD structure increases the design accuracy, as only N number of coefficients are to be optimized for Nth order FOD. Finally, two design examples of 3rd and 5th order lattice wave digital fractional order differentiator (LWDFOD) are demonstrated to justify the design accuracy. The performance analysis of the proposed design is carried out based on magnitude response, absolute magnitude error (dB), root mean square (RMS) magnitude error, arithmetic complexity, convergence profile and computation time. Simulation results are attained to show the comparison of the proposed LWDFOD with the published works and it is observed that an improvement of 29% is obtained in the proposed design. The proposed LWDFOD approximates the ideal FOD and surpasses the existing ones reasonably well in mid and high frequency range, thereby making the proposed LWDFOD a promising technique for the design of digital FODs. Copyright © 2016 ISA. Published by Elsevier Ltd. All rights reserved.

  7. Weber's law, the magnitude effect and discrimination of sugar concentrations in nectar-feeding animals.

    PubMed

    Nachev, Vladislav; Stich, Kai Petra; Winter, York

    2013-01-01

    Weber's law quantifies the perception of difference between stimuli. For instance, it can explain why we are less likely to detect the removal of three nuts from a bowl if the bowl is full than if it is nearly empty. This is an example of the magnitude effect - the phenomenon that the subjective perception of a linear difference between a pair of stimuli progressively diminishes when the average magnitude of the stimuli increases. Although discrimination performances of both human and animal subjects in various sensory modalities exhibit the magnitude effect, results sometimes systematically deviate from the quantitative predictions based on Weber's law. An attempt to reformulate the law to better fit data from acoustic discrimination tasks has been dubbed the "near-miss to Weber's law". Here, we tested the gustatory discrimination performance of nectar-feeding bats (Glossophaga soricina), in order to investigate whether the original version of Weber's law accurately predicts choice behavior in a two-alternative forced choice task. As expected, bats either preferred the sweeter of the two options or showed no preference. In 4 out of 6 bats the near-miss to Weber's law provided a better fit and Weber's law underestimated the magnitude effect. In order to test the generality of this observation in nectar-feeders, we reviewed previously published data on bats, hummingbirds, honeybees, and bumblebees. In all groups of animals the near-miss to Weber's law provided better fits than Weber's law. Furthermore, whereas the magnitude effect was stronger than predicted by Weber's law in vertebrates, it was weaker than predicted in insects. Thus nectar-feeding vertebrates and insects seem to differ in how their choice behavior changes as sugar concentration is increased. We discuss the ecological and evolutionary implications of the observed patterns of sugar concentration discrimination.

  8. Order of magnitude enhancement of monolayer MoS 2 photoluminescence due to near-field energy influx from nanocrystal films

    DOE PAGES

    Guo, Tianle; Sampat, Siddharth; Zhang, Kehao; ...

    2017-02-03

    Two-dimensional transition metal dichalcogenides (TMDCs) like MoS 2 are promising candidates for various optoelectronic applications. The typical photoluminescence (PL) of monolayer MoS 2 is however known to suffer very low quantum yields. We demonstrate a 10-fold increase of MoS 2 excitonic PL enabled by nonradiative energy transfer (NRET) from adjacent nanocrystal quantum dot (NQD) films. The understanding of this effect is facilitated by our application of transient absorption (TA) spectroscopy to monitor the energy influx into the monolayer MoS 2 in the process of ET from photoexcited CdSe/ZnS nanocrystals. In contrast to PL spectroscopy, TA can detect even non-emissive excitons,more » and we register an order of magnitude enhancement of the MoS 2 excitonic TA signatures in hybrids with NQDs. The appearance of ET-induced nanosecond-scale kinetics in TA features is consistent with PL dynamics of energy-accepting MoS 2 and PL quenching data of the energy-donating NQDs. The observed enhancement is attributed to the reduction of recombination losses for excitons gradually transferred into MoS 2 under quasi-resonant conditions as compared with their direct photoproduction. Furthermore, the TA and PL data clearly illustrate the efficacy of MoS 2 and likely other TMDC materials as energy acceptors and the possibility of their practical utilization in NRET-coupled hybrid nanostructures.« less

  9. Bridging Three Orders of Magnitude: Multiple Scattered Waves Sense Fractal Microscopic Structures via Dispersion

    NASA Astrophysics Data System (ADS)

    Lambert, Simon A.; Näsholm, Sven Peter; Nordsletten, David; Michler, Christian; Juge, Lauriane; Serfaty, Jean-Michel; Bilston, Lynne; Guzina, Bojan; Holm, Sverre; Sinkus, Ralph

    2015-08-01

    Wave scattering provides profound insight into the structure of matter. Typically, the ability to sense microstructure is determined by the ratio of scatterer size to probing wavelength. Here, we address the question of whether macroscopic waves can report back the presence and distribution of microscopic scatterers despite several orders of magnitude difference in scale between wavelength and scatterer size. In our analysis, monosized hard scatterers 5 μ m in radius are immersed in lossless gelatin phantoms to investigate the effect of multiple reflections on the propagation of shear waves with millimeter wavelength. Steady-state monochromatic waves are imaged in situ via magnetic resonance imaging, enabling quantification of the phase velocity at a voxel size big enough to contain thousands of individual scatterers, but small enough to resolve the wavelength. We show in theory, experiments, and simulations that the resulting coherent superposition of multiple reflections gives rise to power-law dispersion at the macroscopic scale if the scatterer distribution exhibits apparent fractality over an effective length scale that is comparable to the probing wavelength. Since apparent fractality is naturally present in any random medium, microstructure can thereby leave its fingerprint on the macroscopically quantifiable power-law exponent. Our results are generic to wave phenomena and carry great potential for sensing microstructure that exhibits intrinsic fractality, such as, for instance, vasculature.

  10. Using rapid-scan EPR to improve the detection limit of quantitative EPR by more than one order of magnitude.

    PubMed

    Möser, J; Lips, K; Tseytlin, M; Eaton, G R; Eaton, S S; Schnegg, A

    2017-08-01

    X-band rapid-scan EPR was implemented on a commercially available Bruker ELEXSYS E580 spectrometer. Room temperature rapid-scan and continuous-wave EPR spectra were recorded for amorphous silicon powder samples. By comparing the resulting signal intensities the feasibility of performing quantitative rapid-scan EPR is demonstrated. For different hydrogenated amorphous silicon samples, rapid-scan EPR results in signal-to-noise improvements by factors between 10 and 50. Rapid-scan EPR is thus capable of improving the detection limit of quantitative EPR by at least one order of magnitude. In addition, we provide a recipe for setting up and calibrating a conventional pulsed and continuous-wave EPR spectrometer for rapid-scan EPR. Copyright © 2017 Elsevier Inc. All rights reserved.

  11. Optimisation of a low cost SLM for diffraction efficiency and ghost order suppression

    NASA Astrophysics Data System (ADS)

    Bowman, R.; D'Ambrosio, V.; Rubino, E.; Jedrkiewicz, O.; di Trapani, P.; Padgett, M. J.

    2011-11-01

    Spatial Light Modulators (SLMs) are a powerful tool in many optics laboratories, but due to the technology required for their fabrication, they are usually very expensive. Recently some inexpensive devices have been produced, however their phase shift range is less than 2π, leading to a loss of diffraction efficiency for the SLM. We show how to improve the first order diffraction efficiency of such an SLM by adjusting the blazing function, and obtain a 1.5 times increase in first order diffracted power. Even a perfect SLM with 2π phase throw can produce undesired effects in some situations; for example in holographic optical tweezers it is common to find unwanted "ghost spots" near to the array of first-order spots. Modulating the amplitude, by spatially modulating the blazing function, allows us to suppress the ghost spots. This increases the contrast between desired and unwanted spots by more than an order of magnitude.

  12. Using Landsat to Diagnose Trends in Disturbance Magnitude Across the National Forest System

    NASA Astrophysics Data System (ADS)

    Hernandez, A. J.; Healey, S. P.; Stehman, S. V.; Ramsey, R. D.

    2014-12-01

    The Landsat archive is increasingly being used to detect trends in the occurrence of forest disturbance. Beyond information about the amount of area affected, forest managers need to know if and how disturbance severity is changing. For example, the United States National Forest System (NFS) has developed a comprehensive plan for carbon monitoring, which requires a detailed temporal mapping of forest disturbance magnitudes across 75 million hectares. To meet this need, we have prepared multitemporal models of percent canopy cover that were calibrated with extensive field data from the USFS Forest Inventory and Analysis Program (FIA). By applying these models to pre- and post-event Landsat images at the site of known disturbances, we develop maps showing first-order estimates of disturbance magnitude on the basis of cover removal. However, validation activities consistently show that these initial estimates under-estimate disturbance magnitude. We have developed an approach, which quantifies this under-prediction at the landscape level and uses empirical validation data to adjust change magnitude estimates derived from initial disturbance maps. In an assessment of adjusted magnitude trends of NFS' Northern Region from 1990 to the present, we observed significant declines since 1990 (p < .01) in harvest magnitude, likely related to known reduction of clearcutting practices in the region. Fire, conversely, did not show strongly significant trends in magnitude, despite an increase in the overall area affected. As Landsat is used to provide increasingly precise maps of the timing and location of historical forest disturbance, a logical next step is to use the archive to generate widely interpretable and objective estimates of disturbance magnitude.

  13. Moment magnitude, local magnitude and corner frequency of small earthquakes nucleating along a low angle normal fault in the Upper Tiber valley (Italy)

    NASA Astrophysics Data System (ADS)

    Munafo, I.; Malagnini, L.; Chiaraluce, L.; Valoroso, L.

    2015-12-01

    The relation between moment magnitude (MW) and local magnitude (ML) is still a debated issue (Bath, 1966, 1981; Ristau et al., 2003, 2005). Theoretical considerations and empirical observations show that, in the magnitude range between 3 and 5, MW and ML scale 1∶1. Whilst for smaller magnitudes this 1∶1 scaling breaks down (Bethmann et al. 2011). For accomplishing this task we analyzed the source parameters of about 1500 (30.000 waveforms) well-located small earthquakes occurred in the Upper Tiber Valley (Northern Apennines) in the range of -1.5≤ML≤3.8. In between these earthquakes there are 300 events repeatedly rupturing the same fault patch generally twice within a short time interval (less than 24 hours; Chiaraluce et al., 2007). We use high-resolution short period and broadband recordings acquired between 2010 and 2014 by 50 permanent seismic stations deployed to monitor the activity of a regional low angle normal fault (named Alto Tiberina fault, ATF) in the framework of The Alto Tiberina Near Fault Observatory project (TABOO; Chiaraluce et al., 2014). For this study the direct determination of MW for small earthquakes is essential but unfortunately the computation of MW for small earthquakes (MW < 3) is not a routine procedure in seismology. We apply the contributions of source, site, and crustal attenuation computed for this area in order to obtain precise spectral corrections to be used in the calculation of small earthquakes spectral plateaus. The aim of this analysis is to achieve moment magnitudes of small events through a procedure that uses our previously calibrated crustal attenuation parameters (geometrical spreading g(r), quality factor Q(f), and the residual parameter k) to correct for path effects. We determine the MW-ML relationships in two selected fault zones (on-fault and fault-hanging-wall) of the ATF by an orthogonal regression analysis providing a semi-automatic and robust procedure for moment magnitude determination within a

  14. Weber’s Law, the Magnitude Effect and Discrimination of Sugar Concentrations in Nectar-Feeding Animals

    PubMed Central

    Nachev, Vladislav; Stich, Kai Petra; Winter, York

    2013-01-01

    Weber’s law quantifies the perception of difference between stimuli. For instance, it can explain why we are less likely to detect the removal of three nuts from a bowl if the bowl is full than if it is nearly empty. This is an example of the magnitude effect – the phenomenon that the subjective perception of a linear difference between a pair of stimuli progressively diminishes when the average magnitude of the stimuli increases. Although discrimination performances of both human and animal subjects in various sensory modalities exhibit the magnitude effect, results sometimes systematically deviate from the quantitative predictions based on Weber’s law. An attempt to reformulate the law to better fit data from acoustic discrimination tasks has been dubbed the “near-miss to Weber’s law”. Here, we tested the gustatory discrimination performance of nectar-feeding bats (Glossophaga soricina), in order to investigate whether the original version of Weber’s law accurately predicts choice behavior in a two-alternative forced choice task. As expected, bats either preferred the sweeter of the two options or showed no preference. In 4 out of 6 bats the near-miss to Weber’s law provided a better fit and Weber’s law underestimated the magnitude effect. In order to test the generality of this observation in nectar-feeders, we reviewed previously published data on bats, hummingbirds, honeybees, and bumblebees. In all groups of animals the near-miss to Weber’s law provided better fits than Weber’s law. Furthermore, whereas the magnitude effect was stronger than predicted by Weber’s law in vertebrates, it was weaker than predicted in insects. Thus nectar-feeding vertebrates and insects seem to differ in how their choice behavior changes as sugar concentration is increased. We discuss the ecological and evolutionary implications of the observed patterns of sugar concentration discrimination. PMID:24040189

  15. The relation between peak response magnitudes and agreement in diagnoses obtained from two different phallometric tests for pedophilia.

    PubMed

    Lykins, Amy D; Cantor, James M; Kuban, Michael E; Blak, Thomas; Dickey, Robert; Klassen, Philip E; Blanchard, Ray

    2010-03-01

    Phallometric testing is widely considered the best psychophysiological procedure for assessing erotic preferences in men. Researchers have differed, however, on the necessity of setting some minimum criterion of penile response for ascertaining the interpretability of a phallometric test result. Proponents of a minimum criterion have generally based their view on the intuitive notion that "more is better" rather than any formal demonstration of this. The present study was conducted to investigate whether there is any empirical evidence for this intuitive notion, by examining the relation between magnitude of penile response and the agreement in diagnoses obtained in two test sessions using different laboratory stimuli. The results showed that examinees with inconsistent diagnoses responded less on both tests and that examinees with inconsistent diagnoses responded less on the second test after controlling for their response on the first test. Results also indicated that at response levels less than 1 cm(3), diagnostic consistency was no better than chance, supporting the establishment of a minimum response level criterion.

  16. Estimating the Maximum Magnitude of Induced Earthquakes With Dynamic Rupture Simulations

    NASA Astrophysics Data System (ADS)

    Gilmour, E.; Daub, E. G.

    2017-12-01

    Seismicity in Oklahoma has been sharply increasing as the result of wastewater injection. The earthquakes, thought to be induced from changes in pore pressure due to fluid injection, nucleate along existing faults. Induced earthquakes currently dominate central and eastern United States seismicity (Keranen et al. 2016). Induced earthquakes have only been occurring in the central US for a short time; therefore, too few induced earthquakes have been observed in this region to know their maximum magnitude. The lack of knowledge regarding the maximum magnitude of induced earthquakes means that large uncertainties exist in the seismic hazard for the central United States. While induced earthquakes follow the Gutenberg-Richter relation (van der Elst et al. 2016), it is unclear if there are limits to their magnitudes. An estimate of the maximum magnitude of the induced earthquakes is crucial for understanding their impact on seismic hazard. While other estimates of the maximum magnitude exist, those estimates are observational or statistical, and cannot take into account the possibility of larger events that have not yet been observed. Here, we take a physical approach to studying the maximum magnitude based on dynamic ruptures simulations. We run a suite of two-dimensional ruptures simulations to physically determine how ruptures propagate. The simulations use the known parameters of principle stress orientation and rupture locations. We vary the other unknown parameters of the ruptures simulations to obtain a large number of rupture simulation results reflecting different possible sets of parameters, and use these results to train a neural network to complete the ruptures simulations. Then using a Markov Chain Monte Carlo method to check different combinations of parameters, the trained neural network is used to create synthetic magnitude-frequency distributions to compare to the real earthquake catalog. This method allows us to find sets of parameters that are

  17. Reinforcer magnitude and rate dependency: evaluation of resistance-to-change mechanisms.

    PubMed

    Pinkston, Jonathan W; Ginsburg, Brett C; Lamb, Richard J

    2014-10-01

    Under many circumstances, reinforcer magnitude appears to modulate the rate-dependent effects of drugs such that when schedules arrange for relatively larger reinforcer magnitudes rate dependency is attenuated compared with behavior maintained by smaller magnitudes. The current literature on resistance to change suggests that increased reinforcer density strengthens operant behavior, and such strengthening effects appear to extend to the temporal control of behavior. As rate dependency may be understood as a loss of temporal control, the effects of reinforcer magnitude on rate dependency may be due to increased resistance to disruption of temporally controlled behavior. In the present experiments, pigeons earned different magnitudes of grain during signaled components of a multiple FI schedule. Three drugs, clonidine, haloperidol, and morphine, were examined. All three decreased overall rates of key pecking; however, only the effects of clonidine were attenuated as reinforcer magnitude increased. An analysis of within-interval performance found rate-dependent effects for clonidine and morphine; however, these effects were not modulated by reinforcer magnitude. In addition, we included prefeeding and extinction conditions, standard tests used to measure resistance to change. In general, rate-decreasing effects of prefeeding and extinction were attenuated by increasing reinforcer magnitudes. Rate-dependent analyses of prefeeding showed rate-dependency following those tests, but in no case were these effects modulated by reinforcer magnitude. The results suggest that a resistance-to-change interpretation of the effects of reinforcer magnitude on rate dependency is not viable.

  18. Olive oil increases the magnitude of postprandial chylomicron remnants compared to milk fat and safflower oil.

    PubMed

    Higashi, K; Ishikawa, T; Shige, H; Tomiyasu, K; Yoshida, H; Ito, T; Nakajima, K; Yonemura, A; Sawada, S; Nakamura, H

    1997-10-01

    The acute effects of olive oil, milk fat and safflower oil on postprandial lipemia and remnant lipoprotein metabolism were investigated. Eight Healthy male volunteers randomly underwent three types of oral fat-vitamin A loading tests. The test drink was a mixture of retinyl palmitate (RP)(50,000 IU of aqueous vitamin A/m2 body surface area) and one of the three types of oils (40 g of fat/m2 body surface area): olive oil (70.7% oleic acid of total fatty acids); milk fat (69.3% saturated fatty acid); safflower oil (74.2% linoleic acid). Olive oil significantly increased plasma triacylglycerol and RP concentrations 4 hours after fat loading, as compared to other fats. Increases of remnant like particle concentrations were higher after olive oil than after the other two fats. These results show that olive oil increases the magnitude of postprandial chylomicrons and chylomicron remnants compared to milk fat and safflower oil.

  19. Cosmological parameter extraction and biases from type Ia supernova magnitude evolution

    NASA Astrophysics Data System (ADS)

    Linden, S.; Virey, J.-M.; Tilquin, A.

    2009-11-01

    We study different one-parametric models of type Ia supernova magnitude evolution on cosmic time scales. Constraints on cosmological and supernova evolution parameters are obtained by combined fits on the actual data coming from supernovae, the cosmic microwave background, and baryonic acoustic oscillations. We find that the best-fit values imply supernova magnitude evolution such that high-redshift supernovae appear some percent brighter than would be expected in a standard cosmos with a dark energy component. However, the errors on the evolution parameters are of the same order, and data are consistent with nonevolving magnitudes at the 1σ level, except for special cases. We simulate a future data scenario where SN magnitude evolution is allowed for, and neglect the possibility of such an evolution in the fit. We find the fiducial models for which the wrong model assumption of nonevolving SN magnitude is not detectable, and for which biases on the fitted cosmological parameters are introduced at the same time. Of the cosmological parameters, the overall mass density ΩM has the strongest chances to be biased due to the wrong model assumption. Whereas early-epoch models with a magnitude offset Δ m˜ z2 show up to be not too dangerous when neglected in the fitting procedure, late epoch models with Δ m˜√{z} have high chances of undetectably biasing the fit results. Centre de Physique Théorique is UMR 6207 - “Unité Mixte de Recherche” of CNRS and of the Universities “de Provence”, “de la Mediterranée”, and “du Sud Toulon-Var” - Laboratory affiliated with FRUMAM (FR2291).

  20. A design of calibration single star simulator with adjustable magnitude and optical spectrum output system

    NASA Astrophysics Data System (ADS)

    Hu, Guansheng; Zhang, Tao; Zhang, Xuan; Shi, Gentai; Bai, Haojie

    2018-03-01

    In order to achieve multi-color temperature and multi-magnitude output, magnitude and temperature can real-time adjust, a new type of calibration single star simulator was designed with adjustable magnitude and optical spectrum output in this article. xenon lamp and halogen tungsten lamp were used as light source. The control of spectrum band and temperature of star was realized with different multi-beam narrow band spectrum with light of varying intensity. When light source with different spectral characteristics and color temperature go into the magnitude regulator, the light energy attenuation were under control by adjusting the light luminosity. This method can completely satisfy the requirements of calibration single star simulator with adjustable magnitude and optical spectrum output in order to achieve the adjustable purpose of magnitude and spectrum.

  1. Magnitude Knowledge: The Common Core of Numerical Development

    ERIC Educational Resources Information Center

    Siegler, Robert S.

    2016-01-01

    The integrated theory of numerical development posits that a central theme of numerical development from infancy to adulthood is progressive broadening of the types and ranges of numbers whose magnitudes are accurately represented. The process includes four overlapping trends: (1) representing increasingly precisely the magnitudes of non-symbolic…

  2. Magnitude Knowledge: The Common Core of Numerical Development

    ERIC Educational Resources Information Center

    Siegler, Robert S.

    2016-01-01

    The integrated theory of numerical development posits that a central theme of numerical development from infancy to adulthood is progressive broadening of the types and ranges of numbers whose magnitudes are accurately represented. The process includes four overlapping trends: 1) representing increasingly precisely the magnitudes of non-symbolic…

  3. Kinetics of silicide formation over a wide range of heating rates spanning six orders of magnitude

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Molina-Ruiz, Manel; Lopeandía, Aitor F.; Gonzalez-Silveira, Marta

    Kinetic processes involving intermediate phase formation are often assumed to follow an Arrhenius temperature dependence. This behavior is usually inferred from limited data over narrow temperature intervals, where the exponential dependence is generally fully satisfied. However, direct evidence over wide temperature intervals is experimentally challenging and data are scarce. Here, we report a study of silicide formation between a 12 nm film of palladium and 15 nm of amorphous silicon in a wide range of heating rates, spanning six orders of magnitude, from 0.1 to 10{sup 5 }K/s, or equivalently more than 300 K of variation in reaction temperature. The calorimetric traces exhibit severalmore » distinct exothermic events related to interdiffusion, nucleation of Pd{sub 2}Si, crystallization of amorphous silicon, and vertical growth of Pd{sub 2}Si. Interestingly, the thickness of the initial nucleation layer depends on the heating rate revealing enhanced mass diffusion at the fastest heating rates during the initial stages of the reaction. In spite of this, the formation of the silicide strictly follows an Arrhenius temperature dependence over the whole temperature interval explored. A kinetic model is used to fit the calorimetric data over the complete heating rate range. Calorimetry is complemented by structural analysis through transmission electron microscopy and both standard and in-situ synchrotron X-ray diffraction.« less

  4. Development of an Empirical Local Magnitude Formula for Northern Oklahoma

    NASA Astrophysics Data System (ADS)

    Spriggs, N.; Karimi, S.; Moores, A. O.

    2015-12-01

    In this paper we focus on determining a local magnitude formula for northern Oklahoma that is unbiased with distance by empirically constraining the attenuation properties within the region of interest based on the amplitude of observed seismograms. For regional networks detecting events over several hundred kilometres, distance correction terms play an important role in determining the magnitude of an event. Standard distance correction terms such as Hutton and Boore (1987) may have a significant bias with distance if applied in a region with different attenuation properties, resulting in an incorrect magnitude. We have presented data from a regional network of broadband seismometers installed in bedrock in northern Oklahoma. The events with magnitude in the range of 2.0 and 4.5, distributed evenly across this network are considered. We find that existing models show a bias with respect to hypocentral distance. Observed amplitude measurements demonstrate that there is a significant Moho bounce effect that mandates the use of a trilinear attenuation model in order to avoid bias in the distance correction terms. We present two different approaches of local magnitude calibration. The first maintains the classic definition of local magnitude as proposed by Richter. The second method calibrates local magnitude so that it agrees with moment magnitude where a regional moment tensor can be computed. To this end, regional moment tensor solutions and moment magnitudes are computed for events with magnitude larger than 3.5 to allow calibration of local magnitude to moment magnitude. For both methods the new formula results in magnitudes systematically lower than previous values computed with Eaton's (1992) model. We compare the resulting magnitudes and discuss the benefits and drawbacks of each method. Our results highlight the importance of correct calibration of the distance correction terms for accurate local magnitude assessment in regional networks.

  5. Local magnitude calibration of the Hellenic Unified Seismic Network

    NASA Astrophysics Data System (ADS)

    Scordilis, E. M.; Kementzetzidou, D.; Papazachos, B. C.

    2016-01-01

    A new relation is proposed for accurate determination of local magnitudes in Greece. This relation is based on a large number of synthetic Wood-Anderson (SWA) seismograms corresponding to 782 regional shallow earthquakes which occurred during the period 2007-2013 and recorded by 98 digital broad-band stations. These stations are installed and operated by the following: (a) the National Observatory of Athens (HL), (b) the Department of Geophysics of the Aristotle University of Thessaloniki (HT), (c) the Seismological Laboratory of the University of Athens (HA), and (d) the Seismological Laboratory of the Patras University (HP). The seismological networks of the above institutions constitute the recently (2004) established Hellenic Unified Seismic Network (HUSN). These records are used to calculate a refined geometrical spreading factor and an anelastic attenuation coefficient, representative for Greece and surrounding areas, proper for accurate calculation of local magnitudes in this region. Individual station corrections depending on the crustal structure variations in their vicinity and possible inconsistencies in instruments responses are also considered in order to further ameliorate magnitude estimation accuracy. Comparison of such calculated local magnitudes with corresponding original moment magnitudes, based on an independent dataset, revealed that these magnitude scales are equivalent for a wide range of values.

  6. "Magnitude-based inference": a statistical review.

    PubMed

    Welsh, Alan H; Knight, Emma J

    2015-04-01

    We consider "magnitude-based inference" and its interpretation by examining in detail its use in the problem of comparing two means. We extract from the spreadsheets, which are provided to users of the analysis (http://www.sportsci.org/), a precise description of how "magnitude-based inference" is implemented. We compare the implemented version of the method with general descriptions of it and interpret the method in familiar statistical terms. We show that "magnitude-based inference" is not a progressive improvement on modern statistics. The additional probabilities introduced are not directly related to the confidence interval but, rather, are interpretable either as P values for two different nonstandard tests (for different null hypotheses) or as approximate Bayesian calculations, which also lead to a type of test. We also discuss sample size calculations associated with "magnitude-based inference" and show that the substantial reduction in sample sizes claimed for the method (30% of the sample size obtained from standard frequentist calculations) is not justifiable so the sample size calculations should not be used. Rather than using "magnitude-based inference," a better solution is to be realistic about the limitations of the data and use either confidence intervals or a fully Bayesian analysis.

  7. Are Samples Obtained after Return to Earth Reflective of Spaceflight or Increased Gravity?

    NASA Technical Reports Server (NTRS)

    Wade, C. R.; Holton, E.; Baer, L.; Moran, M.

    2001-01-01

    Upon return to Earth, following space flight, living systems are immediately exposed to an increase in gravity of 1G. It has been difficult to differentiate between changes that are residuals of the acclimation to space flight from those resulting from acute exposure to an increase in =gravity upon re-entry. We compared previously reported changes observed in male Sprague-Dawley rats upon return to Earth to those induced by centrifugation, because both paradigms result in an increase of 1G. With both treatments there was a reduction in body mass, due to reduced food intake and increased urine output. The decrease in food intake was initially greater with centrifugation. The magnitudes of the changes in food intake and urine output were similar in both treatments. However, the slightly greater initial loss in body mass with centrifugation was due to a decrease in water intake not seen after space flight. The absence of pronounced differences between these treatments suggest the responses observed after landing are not residuals of adaptation to the space flight environment, but the result of adaptation to an increase in the level of gravity.

  8. Epistemic uncertainty in the location and magnitude of earthquakes in Italy from Macroseismic data

    USGS Publications Warehouse

    Bakun, W.H.; Gomez, Capera A.; Stucchi, M.

    2011-01-01

    Three independent techniques (Bakun and Wentworth, 1997; Boxer from Gasperini et al., 1999; and Macroseismic Estimation of Earthquake Parameters [MEEP; see Data and Resources section, deliverable D3] from R.M.W. Musson and M.J. Jimenez) have been proposed for estimating an earthquake location and magnitude from intensity data alone. The locations and magnitudes obtained for a given set of intensity data are almost always different, and no one technique is consistently best at matching instrumental locations and magnitudes of recent well-recorded earthquakes in Italy. Rather than attempting to select one of the three solutions as best, we use all three techniques to estimate the location and the magnitude and the epistemic uncertainties among them. The estimates are calculated using bootstrap resampled data sets with Monte Carlo sampling of a decision tree. The decision-tree branch weights are based on goodness-of-fit measures of location and magnitude for recent earthquakes. The location estimates are based on the spatial distribution of locations calculated from the bootstrap resampled data. The preferred source location is the locus of the maximum bootstrap location spatial density. The location uncertainty is obtained from contours of the bootstrap spatial density: 68% of the bootstrap locations are within the 68% confidence region, and so on. For large earthquakes, our preferred location is not associated with the epicenter but with a location on the extended rupture surface. For small earthquakes, the epicenters are generally consistent with the location uncertainties inferred from the intensity data if an epicenter inaccuracy of 2-3 km is allowed. The preferred magnitude is the median of the distribution of bootstrap magnitudes. As with location uncertainties, the uncertainties in magnitude are obtained from the distribution of bootstrap magnitudes: the bounds of the 68% uncertainty range enclose 68% of the bootstrap magnitudes, and so on. The instrumental

  9. Earthquake magnitude estimation using the τ c and P d method for earthquake early warning systems

    NASA Astrophysics Data System (ADS)

    Jin, Xing; Zhang, Hongcai; Li, Jun; Wei, Yongxiang; Ma, Qiang

    2013-10-01

    Earthquake early warning (EEW) systems are one of the most effective ways to reduce earthquake disaster. Earthquake magnitude estimation is one of the most important and also the most difficult parts of the entire EEW system. In this paper, based on 142 earthquake events and 253 seismic records that were recorded by the KiK-net in Japan, and aftershocks of the large Wenchuan earthquake in Sichuan, we obtained earthquake magnitude estimation relationships using the τ c and P d methods. The standard variances of magnitude calculation of these two formulas are ±0.65 and ±0.56, respectively. The P d value can also be used to estimate the peak ground motion of velocity, then warning information can be released to the public rapidly, according to the estimation results. In order to insure the stability and reliability of magnitude estimation results, we propose a compatibility test according to the natures of these two parameters. The reliability of the early warning information is significantly improved though this test.

  10. Is larger scoliosis curve magnitude associated with increased perioperative health-care resource utilization?: a multicenter analysis of 325 adolescent idiopathic scoliosis curves.

    PubMed

    Miyanji, Firoz; Slobogean, Gerard P; Samdani, Amer F; Betz, Randal R; Reilly, Christopher W; Slobogean, Bronwyn L; Newton, Peter O

    2012-05-02

    The treatment of patients with large adolescent idiopathic scoliosis curves has been associated with increased surgical complexity. The purpose of this study was to determine whether surgical correction of larger adolescent idiopathic scoliosis curves increased the utilization of health-care resources and to identify potential predictors associated with increased perioperative health-care resource utilization. A nested cohort of patients with adolescent idiopathic scoliosis with Lenke type 1A and 1B curves were identified from a prospective longitudinal multicenter database. Four perioperative outcomes were selected as the primary health-care resource utilization outcomes of interest: operative time, number of vertebral levels instrumented, duration of hospitalization, and allogeneic blood transfusion. The effect of curve magnitude on these outcomes was assessed with use of univariate and multivariate regression. Three hundred and twenty-five patients with a mean age of 15 ± 2 years were included. The mean main thoracic curve was 54.4° ± 7.8°. Larger curves were associated with longer operative time (p = 0.03), a greater number of vertebral levels instrumented (p = 0.0005), and the need for blood transfusion (with every 10° increase associated with 1.5 times higher odds of receiving a transfusion). In addition to curve magnitude, surgical center, bone graft method, and upper and lower instrumented levels were strong predictors of operative time (R2 = 0.76). The duration of hospitalization was influenced by the surgical center and intraoperative blood loss (R2 < 0.4), whereas the number of levels instrumented was influenced by the curve magnitude, curve correction percentage, upper instrumented vertebra, and surgical center (R2 = 0.64). Correction of larger curves was associated with increased utilization of perioperative health-care resources, specifically longer operative time, a greater number of vertebral levels instrumented, and higher odds of receiving a

  11. Magnitude Estimation for the 2011 Tohoku-Oki Earthquake Based on Ground Motion Prediction Equations

    NASA Astrophysics Data System (ADS)

    Eshaghi, Attieh; Tiampo, Kristy F.; Ghofrani, Hadi; Atkinson, Gail M.

    2015-08-01

    This study investigates whether real-time strong ground motion data from seismic stations could have been used to provide an accurate estimate of the magnitude of the 2011 Tohoku-Oki earthquake in Japan. Ultimately, such an estimate could be used as input data for a tsunami forecast and would lead to more robust earthquake and tsunami early warning. We collected the strong motion accelerograms recorded by borehole and free-field (surface) Kiban Kyoshin network stations that registered this mega-thrust earthquake in order to perform an off-line test to estimate the magnitude based on ground motion prediction equations (GMPEs). GMPEs for peak ground acceleration and peak ground velocity (PGV) from a previous study by Eshaghi et al. in the Bulletin of the Seismological Society of America 103. (2013) derived using events with moment magnitude ( M) ≥ 5.0, 1998-2010, were used to estimate the magnitude of this event. We developed new GMPEs using a more complete database (1998-2011), which added only 1 year but approximately twice as much data to the initial catalog (including important large events), to improve the determination of attenuation parameters and magnitude scaling. These new GMPEs were used to estimate the magnitude of the Tohoku-Oki event. The estimates obtained were compared with real time magnitude estimates provided by the existing earthquake early warning system in Japan. Unlike the current operational magnitude estimation methods, our method did not saturate and can provide robust estimates of moment magnitude within ~100 s after earthquake onset for both catalogs. It was found that correcting for average shear-wave velocity in the uppermost 30 m () improved the accuracy of magnitude estimates from surface recordings, particularly for magnitude estimates of PGV (Mpgv). The new GMPEs also were used to estimate the magnitude of all earthquakes in the new catalog with at least 20 records. Results show that the magnitude estimate from PGV values using

  12. Profile of refractive errors in European Caucasian children with Autistic Spectrum Disorder; increased prevalence and magnitude of astigmatism.

    PubMed

    Anketell, Pamela M; Saunders, Kathryn J; Gallagher, Stephen; Bailey, Clare; Little, Julie-Anne

    2016-07-01

    Autistic Spectrum Disorder (ASD) is a common neurodevelopmental disorder characterised by impairment of communication, social interaction and repetitive behaviours. Only a small number of studies have investigated fundamental clinical measures of vision including refractive error. The aim of this study was to describe the refractive profile of a population of children with ASD compared to typically developing (TD) children. Refractive error was assessed using the Shin-Nippon NVision-K 5001 open-field autorefractor following the instillation of cyclopentolate hydrochloride 1% eye drops. A total of 128 participants with ASD (mean age 10.9 ± 3.3 years) and 206 typically developing participants (11.5 ± 3.1 years) were recruited. There was no significant difference in median refractive error, either by spherical equivalent or most ametropic meridian between the ASD and TD groups (Spherical equivalent, Mann-Whitney U307 = 1.15, p = 0.25; Most Ametropic Meridian, U305 = 0.52, p = 0.60). Median refractive astigmatism was -0.50DC (range 0.00 to -3.50DC) for the ASD group and -0.50DC (Range 0.00 to -2.25DC) for the TD group. Magnitude and prevalence of refractive astigmatism (defined as astigmatism ≥1.00DC) was significantly greater in the ASD group compared to the typically developing group (ASD 26%, TD 8%, magnitude U305 = 3.86, p = 0.0001; prevalence (χ12=17.71 , p < 0.0001). This is the first study to describe the refractive profile of a population of European Caucasian children with ASD compared to a TD population of children. Unlike other neurodevelopmental conditions, there was no increased prevalence of spherical refractive errors in ASD but astigmatic errors were significantly greater in magnitude and prevalence. This highlights the need to examine refractive errors in this population. © 2016 The Authors Ophthalmic & Physiological Optics © 2016 The College of Optometrists.

  13. A more than six orders of magnitude UV-responsive organic field-effect transistor utilizing a benzothiophene semiconductor and Disperse Red 1 for enhanced charge separation.

    PubMed

    Smithson, Chad S; Wu, Yiliang; Wigglesworth, Tony; Zhu, Shiping

    2015-01-14

    A more than six orders of magnitude UV-responsive organic field-effect transistor is developed using a benzothiophene (BTBT) semiconductor and strong donor-acceptor Disperse Red 1 as the traps to enhance charge separation. The device can be returned to its low drain current state by applying a short gate bias, and is completely reversible with excellent stability under ambient conditions. © 2014 WILEY-VCH Verlag GmbH & Co. KGaA, Weinheim.

  14. Improvement of real-time seismic magnitude estimation by combining seismic and geodetic instrumentation

    NASA Astrophysics Data System (ADS)

    Goldberg, D.; Bock, Y.; Melgar, D.

    2017-12-01

    Rapid seismic magnitude assessment is a top priority for earthquake and tsunami early warning systems. For the largest earthquakes, seismic instrumentation tends to underestimate the magnitude, leading to an insufficient early warning, particularly in the case of tsunami evacuation orders. GPS instrumentation provides more accurate magnitude estimations using near-field stations, but isn't sensitive enough to detect the first seismic wave arrivals, thereby limiting solution speed. By optimally combining collocated seismic and GPS instruments, we demonstrate improved solution speed of earthquake magnitude for the largest seismic events. We present a real-time implementation of magnitude-scaling relations that adapts to consider the length of the recording, reflecting the observed evolution of ground motion with time.

  15. Absolute order-of-magnitude reasoning applied to a social multi-criteria evaluation framework

    NASA Astrophysics Data System (ADS)

    Afsordegan, A.; Sánchez, M.; Agell, N.; Aguado, J. C.; Gamboa, G.

    2016-03-01

    A social multi-criteria evaluation framework for solving a real-case problem of selecting a wind farm location in the regions of Urgell and Conca de Barberá in Catalonia (northeast of Spain) is studied. This paper applies a qualitative multi-criteria decision analysis approach based on linguistic labels assessment able to address uncertainty and deal with different levels of precision. This method is based on qualitative reasoning as an artificial intelligence technique for assessing and ranking multi-attribute alternatives with linguistic labels in order to handle uncertainty. This method is suitable for problems in the social framework such as energy planning which require the construction of a dialogue process among many social actors with high level of complexity and uncertainty. The method is compared with an existing approach, which has been applied previously in the wind farm location problem. This approach, consisting of an outranking method, is based on Condorcet's original method. The results obtained by both approaches are analysed and their performance in the selection of the wind farm location is compared in aggregation procedures. Although results show that both methods conduct to similar alternatives rankings, the study highlights both their advantages and drawbacks.

  16. Does the physician order-entry system increase the revenue of a general hospital?

    PubMed

    Park, Woong-Sub; Kim, Joon S; Chae, Young Moon; Yu, Seung-Hum; Kim, Chang-Yup; Kim, Sang-A; Jung, Sang Hyuk

    2003-08-01

    The purpose of this study was to examine whether the physician order-entry system (POE) could increase the outpatient and inpatient revenue of hospitals. We analyzed the inpatient and outpatient revenue data of all general hospitals (212) in South Korea obtained from the Korean National Health Insurance Corporation (KNHIC) during the period from 1996 to 1999 using the mixed model for repeated measure data. Analysis of the 4-years' panel data showed that both outpatient and inpatient revenues increased significantly after POE introduction. The hospital characteristics significantly influencing inpatient revenue were the number of beds, number of physicians and the tertiary status of a hospital; whereas those for outpatient revenue were the number of beds, number of physicians, the private status of a hospital, the tertiary status of a hospital and the urban status of a hospital. The revenues from both outpatients and inpatients were found to be increased after the introduction of the POE, while controlling for population size, competition, income, hospital location, hospital size, tertiary status and public status.

  17. Magnitude-based Inference”: A Statistical Review

    PubMed Central

    Welsh, Alan H.; Knight, Emma J.

    2015-01-01

    ABSTRACT Purpose We consider “magnitude-based inference” and its interpretation by examining in detail its use in the problem of comparing two means. Methods We extract from the spreadsheets, which are provided to users of the analysis (http://www.sportsci.org/), a precise description of how “magnitude-based inference” is implemented. We compare the implemented version of the method with general descriptions of it and interpret the method in familiar statistical terms. Results and Conclusions We show that “magnitude-based inference” is not a progressive improvement on modern statistics. The additional probabilities introduced are not directly related to the confidence interval but, rather, are interpretable either as P values for two different nonstandard tests (for different null hypotheses) or as approximate Bayesian calculations, which also lead to a type of test. We also discuss sample size calculations associated with “magnitude-based inference” and show that the substantial reduction in sample sizes claimed for the method (30% of the sample size obtained from standard frequentist calculations) is not justifiable so the sample size calculations should not be used. Rather than using “magnitude-based inference,” a better solution is to be realistic about the limitations of the data and use either confidence intervals or a fully Bayesian analysis. PMID:25051387

  18. Impact of speed and magnitude of weight loss on the development of brain trophic changes in adolescents with anorexia nervosa: a case control study.

    PubMed

    Bomba, Monica; Riva, Anna; Veggo, Federica; Grimaldi, Marco; Morzenti, Sabrina; Neri, Francesca; Nacinovich, Renata

    2013-02-19

    Anorexia nervosa commonly arises during adolescence and is associated with more than one medical morbidity. Abnormalities in brain structure (defined as "pseudoatrophy") are common in adolescents with anorexia nervosa; however, their correlations with endocrinological profiles and clinical parameters are still unclear. In particular, no study has described the impact of BMI (body mass index) variations (speed and magnitude of weight loss) on cerebral trophism changes. Eleven adolescents with anorexia nervosa and 8 healthy controls underwent cerebral MRI (magnetic resonance imaging) examination to obtain global and partial volumes (gray matter, white matter and cerebrospinal fluid) and clinical evaluation. The Mann-Whitney U test was used to compare partial volumes and clinical variables between cases and controls. The Spearman non-parametric test was performed in order to explore correlations between the variables studied. The patients diagnosed with AN showed significantly increased cerebrospinal fluid (CSF) volumes and decreased total gray (GM) and white matter (WM) volumes. The degree of weight loss (deltaBMI) correlated inversely with the GM volume; the increase of CSF compartment correlated directly with the rapidity of weight loss (DeltaBMI/disease duration). This study suggests a correlation between cerebral alterations in AN and the speed and magnitude of weight loss, and outlines its importance for the therapeutic treatment.

  19. Spectrophotometry of Wolf-Rayet stars - Intrinsic colors and absolute magnitudes

    NASA Technical Reports Server (NTRS)

    Torres-Dodgen, Ana V.; Massey, Philip

    1988-01-01

    Absolute spectrophotometry of about 10-A resolution in the range 3400-7300 A have been obtained for southern Wolf-Rayet stars, and line-free magnitudes and colors have been constructed. The emission-line contamination in the narrow-band ubvr systems of Westerlund (1966) and Smith (1968) is shown to be small for most WN stars, but to be quite significant for WC stars. It is suggested that the more severe differences in intrinsic color from star to star of the same spectral subtype noted at shorter wavelengths are due to differences in atmospheric extent. True continuum absolute visual magnitudes and intrinsic colors are obtained for the LMC WR stars. The most visually luminous WN6-WN7 stars are found to be located in the core of the 30 Doradus region.

  20. The differential effects of increasing frequency and magnitude of extreme events on coral populations.

    PubMed

    Fabina, Nicholas S; Baskett, Marissa L; Gross, Kevin

    2015-09-01

    Extreme events, which have profound ecological consequences, are changing in both frequency and magnitude with climate change. Because extreme temperatures induce coral bleaching, we can explore the relative impacts of changes in frequency and magnitude of high temperature events on coral reefs. Here, we combined climate projections and a dynamic population model to determine how changing bleaching regimes influence coral persistence. We additionally explored how coral traits and competition with macroalgae mediate changes in bleaching regimes. Our results predict that severe bleaching events reduce coral persistence more than frequent bleaching. Corals with low adult mortality and high growth rates are successful when bleaching is mild, but bleaching resistance is necessary to persist when bleaching is severe, regardless of frequency. The existence of macroalgae-dominated stable states reduces coral persistence and changes the relative importance of coral traits. Building on previous studies, our results predict that management efforts may need to prioritize protection of "weaker" corals with high adult mortality when bleaching is mild, and protection of "stronger" corals with high bleaching resistance when bleaching is severe. In summary, future reef projections and conservation targets depend on both local bleaching regimes and biodiversity.

  1. Prediction of magnitude of minimum horizontal stress from extended leak-off test conducted by the riser vessel CHIKYU

    NASA Astrophysics Data System (ADS)

    Lin, W.; Masago, H.; Yamamoto, K.; Kawamura, Y.; Saito, S.; Kinoshita, M.

    2007-12-01

    By means of introduction of the drilling vessel 'CHIKYU', riser drilling operations using mud fluid will be carried out in NanTroSEIZE Stage 2 for the first time as an oceanic scientific-drilling. For determining drilling operation parameter such as a mud density, a downhole experiment, leak-off test (LOT) or extended leak-off test (XLOT), is going to be implemented next to casing and cementing at each casing shoe during the drilling process. Data of the downhole experiment aimed for operation can also be used for an important scientific application to obtain in-situ stress information which is necessary for various cases of scientific drillings such as seismogenic zone drillings etc. In order to examine feasibility of the application of the LOT or XLOT data, we analyzed an example of XLOT conducted by the riser vessel CHIKYU during its Shimokita shakedown cruise, 2006; and then estimated magnitude of minimum principal stress in horizontal plane, Shmin. Moreover, we will propose the test procedures to possibly improve the quality of stress result from the applications of LOT or XLOT. The XLOT of Shimokita cruise was conducted under following conditions; 1180 m water depth, 525 mbsf (meter below seafloor) depth, 1030 kg/m3 fluid density (seawater) and 80 litter/min injection flow-rate. Estimated magnitude of the Shmin is equal to 18.3 MPa based on the assumption that fracture closure pressure balances with the minimum principal stress perpendicular to the fracture plane. For comparison, the vertical stress magnitude at the depth was estimated from density profile of core samples retrieved from the same borehole; and was equal to 20 MPa approximately. These two values can be considered to be not disagreement. Therefore, we can say that the XLOT data is valuable and practical for estimating the magnitude of minimum horizontal stress. From the viewpoint of determining stress magnitude, the XLOT is more essential rather than the LOT because it might be hardly to obtain

  2. The character of scaling earthquake source spectra for Kamchatka in the 3.5-6.5 magnitude range

    NASA Astrophysics Data System (ADS)

    Gusev, A. A.; Guseva, E. M.

    2017-02-01

    The properties of the source spectra of local shallow-focus earthquakes on Kamchatka in the range of magnitudes M w = 3.5-6.5 are studied using 460 records of S-waves obtained at the PET station. The family of average source spectra is constructed; the spectra are used to study the relationship between M w and the key quasi-dimensionless source parameters: stress drop Δσ and apparent stress σa. It is found that the parameter Δσ is almost stable, while σa grows steadily as the magnitude M w increases, indicating that the similarity is violated. It is known that at sufficiently large M w the similarity hypothesis is approximately valid: both parameters Δσ and σa do not show any noticeable magnitude dependence. It has been established that M w ≈ 5.7 is the threshold value of the magnitude when the change in regimes described occurs for the conditions on Kamchatka.

  3. Symmetry laws improve electronegativity equalization by orders of magnitude and call for a paradigm shift in conceptual density functional theory.

    PubMed

    von Szentpály, László

    2015-03-05

    The strict Wigner-Witmer symmetry constraints on chemical bonding are shown to determine the accuracy of electronegativity equalization (ENE) to a high degree. Bonding models employing the electronic chemical potential, μ, as the negative of the ground-state electronegativity, χ(GS), frequently collide with the Wigner-Witmer laws in molecule formation. The violations are presented as the root of the substantially disturbing lack of chemical potential equalization (CPE) in diatomic molecules. For the operational chemical potential, μ(op), the relative deviations from CPE fall between -31% ≤ δμ(op) ≤ +70%. Conceptual density functional theory (cDFT) cannot claim to have operationally (not to mention, rigorously) proven and unified the CPE and ENE principles. The solution to this limitation of cDFT and the symmetry violations is found in substituting μ(op) (i) by Mulliken's valence-state electronegativity, χ(M), for atoms and (ii) its new generalization, the valence-pair-affinity, α(VP), for diatomic molecules. Mulliken's χ(M) is equalized into the α(VP) of the bond, and the accuracy of ENE is orders of magnitude better than that of CPE using μ(op). A paradigm shift replacing the dominance of ground states by emphasizing valence states seems to be in order for conceptual DFT.

  4. Correlation of Foreshock Occurrence with Mainshock Depth, Rake, and Magnitude from the High Precision Catalog for Northern California

    NASA Astrophysics Data System (ADS)

    Schaff, D. P.; Waldhauser, F.; Lerner-Lam, A.

    2010-12-01

    Foreshocks are perhaps the best-documented and most undisputed precursors to some large earthquakes. The question remains, however, if foreshocks have any more predictive power for future mainshocks than any other earthquake. Several researchers argue for a single unifying triggering law for foreshocks, mainshocks, and aftershocks. An alternate model is that foreshocks are the byproduct of an aseismic pre-slip phase that scales with mainshock magnitude. In this case foreshocks are different than other earthquakes and have predictive value for the mainshock location, origin time, and magnitude. We examine 612 mainshocks with M ≥ 4 from the cross-correlation double-difference catalog for northern California. 235 (44%) of these had foreshock sequences, providing us with a data set more than an order of magnitude larger than those used in previous studies. We are able to confirm with improved accuracy correlations of foreshock occurrence and characteristics with depth. The proportion of mainshocks with associated foreshocks, the number of foreshocks in the sequence, the foreshock duration, and the foreshock radius in map view all decrease with increasing depth, all with statistical significance above 95%. This supports models where increasing normal stress due to lithostatic load inhibits foreshock occurrence. Other M ≥ 4 events that were classified as aftershocks of larger events did not show the depth dependence. However, our analysis does not confirm a previous observation that increased normal stress due to tectonic loading appears to inhibit foreshock occurrence. We observe a negative correlation of foreshock magnitude with foreshock duration which is consistent with a model of mainshocks triggered by increased pore pressure. We observe a statistically significant relationship between foreshock magnitude and mainshock magnitude, lending support to the pre-slip model.

  5. Increased Curie Temperature Induced by Orbital Ordering in La0.67Sr0.33MnO3/BaTiO3 Superlattices.

    PubMed

    Zhang, Fei; Wu, Biao; Zhou, Guowei; Quan, Zhi-Yong; Xu, Xiao-Hong

    2018-01-17

    Recent theoretical studies indicated that the Curie temperature of perovskite manganite thin films can be increased by more than an order of magnitude by applying appropriate interfacial strain to control orbital ordering. In this work, we demonstrate that the regular intercalation of BaTiO 3 layers between La 0.67 Sr 0.33 MnO 3 layers effectively enhances ferromagnetic order and increases the Curie temperature of La 0.67 Sr 0.33 MnO 3 /BaTiO 3 superlattices. The preferential orbital occupancy of e g (x 2 -y 2 ) in La 0.67 Sr 0.33 MnO 3 layers induced by the tensile strain of BaTiO 3 layers is identified by X-ray linear dichroism measurements. Our results reveal that controlling orbital ordering can effectively improve the Curie temperature of La 0.67 Sr 0.33 MnO 3 films and that in-plane orbital occupancy is beneficial to the double exchange ferromagnetic coupling of thin-film samples. These findings create new opportunities for the design and control of magnetism in artificial structures and pave the way to a variety of novel magnetoelectronic applications that operate far above room temperature.

  6. Evaluative conditioning increases with temporal contiguity. The influence of stimulus order and stimulus interval on evaluative conditioning.

    PubMed

    Gast, Anne; Langer, Sebastian; Sengewald, Marie-Ann

    2016-10-01

    Evaluative conditioning (EC) is a change in valence that is due to pairing a conditioned stimulus (CS) with another, typically valent, unconditioned stimulus (US). This paper investigates how basic presentation parameters moderate EC effects. In two studies we tested the effectiveness of different temporal relations of the CS and the US, that is, the order in which the stimuli were presented and the temporal distance between them. Both studies showed that the size of EC effects was independent of the presentation order of CS and US within a stimulus pair. Contrary to classical conditioning effects, EC effects are thus not most pronounced after CS-first presentations. Furthermore, as shown in Experiment 2, EC effects increased in magnitude as the temporal interval between CS and US presentations decreased. Experiment 1 showed largest EC effects in the condition with simultaneous presentations - which can be seen as the condition with the temporally closest presentation. In this Experiment stimuli were presented in two different modalities, which might have facilitated simultaneous processing. In Experiment 2, in which all stimuli were presented visually, this advantage of simultaneous presentation was not found. We discuss practical and theoretical implications of our findings. Copyright © 2016 Elsevier B.V. All rights reserved.

  7. Jump Resonance in Fractional Order Circuits

    NASA Astrophysics Data System (ADS)

    Buscarino, Arturo; Caponetto, Riccardo; Famoso, Carlo; Fortuna, Luigi

    The occurrence of an hysteretic loop in the frequency response of a driven nonlinear system is a phenomenon deeply investigated in nonlinear control theory. Such a phenomenon, which is linked to the multistable behavior of the system, is called jump resonance, since the magnitude of the frequency response is subjected to an abrupt jump up/down with respect to the increasing/decreasing of the frequency of the driving signal. In this paper, we aim at investigating fractional order nonlinear systems showing jump resonance, that is systems in which the order of the derivative is noninteger and their frequency response has a magnitude that is a multivalued function in a given range of frequencies. Furthermore, a strategy for designing fractional order systems showing jump resonance is presented along with the procedure to design and implement an analog circuit based on the approximation of the fractional order derivative. An extensive numerical analysis allows one to assess that the phenomenon is robust to the difference in the derivative order, enlightening the first example of a system with order lower than two which is able to demonstrate a jump resonance behavior.

  8. Third-order optical conductivity of an electron fluid

    NASA Astrophysics Data System (ADS)

    Sun, Zhiyuan; Basov, D. N.; Fogler, M. M.

    2018-02-01

    We derive the nonlinear optical conductivity of an isotropic electron fluid at frequencies below the interparticle collision rate. In this regime, governed by hydrodynamics, the conductivity acquires a universal form at any temperature, chemical potential, and spatial dimension. We show that the nonlinear response of the fluid to a uniform field is dominated by the third-order conductivity tensor σ(3 ) whose magnitude and temperature dependence differ qualitatively from those in the conventional kinetic regime of higher frequencies. We obtain explicit formulas for σ(3 ) for Dirac materials such as graphene and Weyl semimetals. We make predictions for the third-harmonic generation, renormalization of the collective-mode spectrum, and the third-order circular magnetic birefringence experiments.

  9. Magnitude Dependent Seismic Quiescence of 2008 Wenchuan Earthquake

    NASA Astrophysics Data System (ADS)

    Suyehiro, K.; Sacks, S. I.; Takanami, T.; Smith, D. E.; Rydelek, P. A.

    2014-12-01

    The change in seismicity leading to the Wenchuan Earthquake in 2008 (Mw 7.9) has been studied by various authors based on statistics and/or pattern recognitions (Huang, 2008; Yan et al., 2009; Chen and Wang, 2010; Yi et al., 2011). We show, in particular, that the magnitude-dependent seismic quiescence is observed for the Wenchuan earthquake and that it adds to other similar observations. Such studies on seismic quiescence prior to major earthquakes include 1982 Urakawa-Oki earthquake (M 7.1) (Taylor et al., 1992), 1994 Hokkaido-Toho-Oki earthquake (Mw=8.2) (Takanami et al., 1996), 2011 Tohoku earthquake (Mw=9.0) (Katsumata, 2011). Smith and Sacks (2013) proposed a magnitude-dependent quiescence based on a physical earthquake model (Rydelek and Sacks, 1995) and demonstrated the quiescence can be reproduced by the introduction of "asperities" (dilantacy hardened zones). Actual observations indicate the change occurs in a broader area than the eventual earthquake fault zone. In order to accept the explanation, we need to verify the model as the model predicts somewhat controversial features of earthquakes such as the magnitude dependent stress drop at lower magnitude range or the dynamically appearing asperities and repeating slips in some parts of the rupture zone. We show supportive observations. We will also need to verify the dilatancy diffusion to be taking place. So far, we only seem to have indirect evidences, which need to be more quantitatively substantiated.

  10. Difference magnitude is not measured by discrimination steps for order of point patterns.

    PubMed

    Protonotarios, Emmanouil D; Johnston, Alan; Griffin, Lewis D

    2016-07-01

    We have shown in previous work that the perception of order in point patterns is consistent with an interval scale structure (Protonotarios, Baum, Johnston, Hunter, & Griffin, 2014). The psychophysical scaling method used relies on the confusion between stimuli with similar levels of order, and the resulting discrimination scale is expressed in just-noticeable differences (jnds). As with other perceptual dimensions, an interesting question is whether suprathreshold (perceptual) differences are consistent with distances between stimuli on the discrimination scale. To test that, we collected discrimination data, and data based on comparison of perceptual differences. The stimuli were jittered square lattices of dots, covering the range from total disorder (Poisson) to perfect order (square lattice), roughly equally spaced on the discrimination scale. Observers picked the most ordered pattern from a pair, and the pair of patterns with the greatest difference in order from two pairs. Although the judgments of perceptual difference were found to be consistent with an interval scale, like the discrimination judgments, no common interval scale that could predict both sets of data was possible. In particular, the midpattern of the perceptual scale is 11 jnds away from the ordered end, and 5 jnds from the disordered end of the discrimination scale.

  11. Revision of a local magnitude relation for South Korea

    NASA Astrophysics Data System (ADS)

    Sheen, D. H.; Seo, K. J.; Oh, J.; Kim, S.; Kang, T. S.; Rhie, J.

    2017-12-01

    A local magnitude relation in South Korea is revised using synthetic Wood-Anderson seismograms from local earthquakes in the distance range of 10-600 km recorded by broadband seismic networks, operated by the Korea Institute of Geoscience and Mineral Resources (KIGAM) and the Korea Meteorological Administration (KMA) between 2001 and 2016. The magnitudes of the earthquakes ranged from ML 2.0 to 5.8 based on the catalog of the KMA. Total numbers of events and seismic records are about 500 and 10,000, respectively. In order to minimize the location error, inland earthquakes were relocated based on manual picks of P and S arrivals using 1-D velocity model for South Korea developed by a trans-dimensional hierarchical Bayesian inversion. Wood-Anderson peak amplitudes measured on the records whose signal-to-noise ratios are greater than 3.0 and were inverted for the attenuation curve by parametric and non-parametric least-squares inversion methods. The discussion on the comparison of the resulting local magnitude relationships will also be addressed.

  12. Optimal order policy in response to announced price increase for deteriorating items with limited special order quantity

    NASA Astrophysics Data System (ADS)

    Ouyang, Liang-Yuh; Wu, Kun-Shan; Yang, Chih-Te; Yen, Hsiu-Feng

    2016-02-01

    When a supplier announces an impending price increase due to take effect at a certain time in the future, it is important for each retailer to decide whether to purchase additional stock to take advantage of the present lower price. This study explores the possible effects of price increases on a retailer's replenishment policy when the special order quantity is limited and the rate of deterioration of the goods is assumed to be constant. The two situations discussed in this study are as follows: (1) when the special order time coincides with the retailer's replenishment time and (2) when the special order time occurs during the retailer's sales period. By analysing the total cost savings between special and regular orders during the depletion time of the special order quantity, the optimal order policy for each situation can be determined. We provide several numerical examples to illustrate the theories in practice. Additionally, we conduct a sensitivity analysis on the optimal solution with respect to the main parameters.

  13. A method for achieving an order-of-magnitude increase in the temporal resolution of a standard CRT computer monitor.

    PubMed

    Fiesta, Matthew P; Eagleman, David M

    2008-09-15

    As the frequency of a flickering light is increased, the perception of flicker is replaced by the perception of steady light at what is known as the critical flicker fusion threshold (CFFT). This threshold provides a useful measure of the brain's information processing speed, and has been used in medicine for over a century both for diagnostic and drug efficacy studies. However, the hardware for presenting the stimulus has not advanced to take advantage of computers, largely because the refresh rates of typical monitors are too slow to provide fine-grained changes in the alternation rate of a visual stimulus. For example, a cathode ray tube (CRT) computer monitor running at 100Hz will render a new frame every 10 ms, thus restricting the period of a flickering stimulus to multiples of 20 ms. These multiples provide a temporal resolution far too low to make precise threshold measurements, since typical CFFT values are in the neighborhood of 35 ms. We describe here a simple and novel technique to enable alternating images at several closely-spaced periods on a standard monitor. The key to our technique is to programmatically control the video card to dynamically reset the refresh rate of the monitor. Different refresh rates allow slightly different frame durations; this can be leveraged to vastly increase the resolution of stimulus presentation times. This simple technique opens new inroads for experiments on computers that require more finely-spaced temporal resolution than a monitor at a single, fixed refresh rate can allow.

  14. Attributing Increased River Flooding in the Future: Hydrodynamic Downscaling Reveals Role of Plant Physiological Responses to Increased CO2 is First Order

    NASA Astrophysics Data System (ADS)

    Fowler, M. D.; Kooperman, G. J.; Pritchard, M. S.; Randerson, J. T.

    2017-12-01

    River flooding events, which are the most frequently occurring natural disaster today, are expected to become more frequent and intense in response to climate change. However, the magnitude of these changes remains debated, in part due to uncertainty in our understanding of the physical processes that contribute to these events and their representation in global climate models. While the intensification of precipitation has been shown to be a primary driver of increased flooding, plant physiological responses to increasing CO2 may also play an important role. As the atmospheric concentration of CO2 increases, plants may respond by reducing the width of their stomata (i.e. stomatal conductance), which can decrease water lost through transpiration and in turn maintain higher soil moisture levels. On long timescales, reduced transpiration has been shown to increase average runoff, but on short timescales elevated soil moisture can also increase instantaneous runoff by limiting the rate at which water is able to infiltrate the soil surface. Here, through hydrodynamic downscaling, we isolate the portion of flooding amplification that can be attributed to the physiological response to increasing CO2. This builds on a new analysis that has revealed such physiological effects can rival changes caused by the atmospheric response alone in the tails of the runoff distribution. We use a set of four simulations run with the Community Earth System Model: one pre-industrial control simulation and three others that are forced with four times CO2. In the three climate change simulations, the increased CO2 is applied only to the land-surface, only to the atmosphere, and to both, respectively. Thirty years of daily runoff from these experiments are used as input for the hydrodynamic CaMa-Flood model. Our results reveal that both the radiative and physiological responses to climate change contribute significantly to future changes in flood return period and inundated area. This

  15. Magnitude Estimation for Large Earthquakes from Borehole Recordings

    NASA Astrophysics Data System (ADS)

    Eshaghi, A.; Tiampo, K. F.; Ghofrani, H.; Atkinson, G.

    2012-12-01

    We present a simple and fast method for magnitude determination technique for earthquake and tsunami early warning systems based on strong ground motion prediction equations (GMPEs) in Japan. This method incorporates borehole strong motion records provided by the Kiban Kyoshin network (KiK-net) stations. We analyzed strong ground motion data from large magnitude earthquakes (5.0 ≤ M ≤ 8.1) with focal depths < 50 km and epicentral distances of up to 400 km from 1996 to 2010. Using both peak ground acceleration (PGA) and peak ground velocity (PGV) we derived GMPEs in Japan. These GMPEs are used as the basis for regional magnitude determination. Predicted magnitudes from PGA values (Mpga) and predicted magnitudes from PGV values (Mpgv) were defined. Mpga and Mpgv strongly correlate with the moment magnitude of the event, provided sufficient records for each event are available. The results show that Mpgv has a smaller standard deviation in comparison to Mpga when compared with the estimated magnitudes and provides a more accurate early assessment of earthquake magnitude. We test this new method to estimate the magnitude of the 2011 Tohoku earthquake and we present the results of this estimation. PGA and PGV from borehole recordings allow us to estimate the magnitude of this event 156 s and 105 s after the earthquake onset, respectively. We demonstrate that the incorporation of borehole strong ground-motion records immediately available after the occurrence of large earthquakes significantly increases the accuracy of earthquake magnitude estimation and the associated improvement in earthquake and tsunami early warning systems performance. Moment magnitude versus predicted magnitude (Mpga and Mpgv).

  16. Locations and magnitudes of historical earthquakes in the Sierra of Ecuador (1587-1996)

    NASA Astrophysics Data System (ADS)

    Beauval, Céline; Yepes, Hugo; Bakun, William H.; Egred, José; Alvarado, Alexandra; Singaucho, Juan-Carlos

    2010-06-01

    The whole territory of Ecuador is exposed to seismic hazard. Great earthquakes can occur in the subduction zone (e.g. Esmeraldas, 1906, Mw 8.8), whereas lower magnitude but shallower and potentially more destructive earthquakes can occur in the highlands. This study focuses on the historical crustal earthquakes of the Andean Cordillera. Several large cities are located in the Interandean Valley, among them Quito, the capital (~2.5 millions inhabitants). A total population of ~6 millions inhabitants currently live in the highlands, raising the seismic risk. At present, precise instrumental data for the Ecuadorian territory is not available for periods earlier than 1990 (beginning date of the revised instrumental Ecuadorian seismic catalogue); therefore historical data are of utmost importance for assessing seismic hazard. In this study, the Bakun & Wentworth method is applied in order to determine magnitudes, locations, and associated uncertainties for historical earthquakes of the Sierra over the period 1587-1976. An intensity-magnitude equation is derived from the four most reliable instrumental earthquakes (Mw between 5.3 and 7.1). Intensity data available per historical earthquake vary between 10 (Quito, 1587, Intensity >=VI) and 117 (Riobamba, 1797, Intensity >=III). The bootstrap resampling technique is coupled to the B&W method for deriving geographical confidence contours for the intensity centre depending on the data set of each earthquake, as well as confidence intervals for the magnitude. The extension of the area delineating the intensity centre location at the 67 per cent confidence level (+/-1σ) depends on the amount of intensity data, on their internal coherence, on the number of intensity degrees available, and on their spatial distribution. Special attention is dedicated to the few earthquakes described by intensities reaching IX, X and XI degrees. Twenty-five events are studied, and nineteen new epicentral locations are obtained, yielding

  17. The Development of the Mental Representations of the Magnitude of Fractions

    PubMed Central

    Gabriel, Florence C.; Szucs, Denes; Content, Alain

    2013-01-01

    We investigated the development of the mental representation of the magnitude of fractions during the initial stages of fraction learning in grade 5, 6 and 7 children as well as in adults. We examined the activation of global fraction magnitude in a numerical comparison task and a matching task. There were global distance effects in the comparison task, but not in the matching task. This suggests that the activation of the global magnitude representation of fractions is not automatic in all tasks involving magnitude judgments. The slope of the global distance effect increased during early fraction learning and declined by adulthood, demonstrating that the development of the fraction global distance effect differs from that of the integer distance effect. PMID:24236169

  18. Induced earthquake magnitudes are as large as (statistically) expected

    USGS Publications Warehouse

    Van Der Elst, Nicholas; Page, Morgan T.; Weiser, Deborah A.; Goebel, Thomas; Hosseini, S. Mehran

    2016-01-01

    A major question for the hazard posed by injection-induced seismicity is how large induced earthquakes can be. Are their maximum magnitudes determined by injection parameters or by tectonics? Deterministic limits on induced earthquake magnitudes have been proposed based on the size of the reservoir or the volume of fluid injected. However, if induced earthquakes occur on tectonic faults oriented favorably with respect to the tectonic stress field, then they may be limited only by the regional tectonics and connectivity of the fault network. In this study, we show that the largest magnitudes observed at fluid injection sites are consistent with the sampling statistics of the Gutenberg-Richter distribution for tectonic earthquakes, assuming no upper magnitude bound. The data pass three specific tests: (1) the largest observed earthquake at each site scales with the log of the total number of induced earthquakes, (2) the order of occurrence of the largest event is random within the induced sequence, and (3) the injected volume controls the total number of earthquakes rather than the total seismic moment. All three tests point to an injection control on earthquake nucleation but a tectonic control on earthquake magnitude. Given that the largest observed earthquakes are exactly as large as expected from the sampling statistics, we should not conclude that these are the largest earthquakes possible. Instead, the results imply that induced earthquake magnitudes should be treated with the same maximum magnitude bound that is currently used to treat seismic hazard from tectonic earthquakes.

  19. Impact of magnitude uncertainties on seismic catalogue properties

    NASA Astrophysics Data System (ADS)

    Leptokaropoulos, K. M.; Adamaki, A. K.; Roberts, R. G.; Gkarlaouni, C. G.; Paradisopoulou, P. M.

    2018-05-01

    Catalogue-based studies are of central importance in seismological research, to investigate the temporal, spatial and size distribution of earthquakes in specified study areas. Methods for estimating the fundamental catalogue parameters like the Gutenberg-Richter (G-R) b-value and the completeness magnitude (Mc) are well established and routinely applied. However, the magnitudes reported in seismicity catalogues contain measurement uncertainties which may significantly distort the estimation of the derived parameters. In this study, we use numerical simulations of synthetic data sets to assess the reliability of different methods for determining b-value and Mc, assuming the G-R law validity. After contaminating the synthetic catalogues with Gaussian noise (with selected standard deviations), the analysis is performed for numerous data sets of different sample size (N). The noise introduced to the data generally leads to a systematic overestimation of magnitudes close to and above Mc. This fact causes an increase of the average number of events above Mc, which in turn leads to an apparent decrease of the b-value. This may result to a significant overestimation of seismicity rate even well above the actual completeness level. The b-value can in general be reliably estimated even for relatively small data sets (N < 1000) when only magnitudes higher than the actual completeness level are used. Nevertheless, a correction of the total number of events belonging in each magnitude class (i.e. 0.1 unit) should be considered, to deal with the magnitude uncertainty effect. Because magnitude uncertainties (here with the form of Gaussian noise) are inevitable in all instrumental catalogues, this finding is fundamental for seismicity rate and seismic hazard assessment analyses. Also important is that for some data analyses significant bias cannot necessarily be avoided by choosing a high Mc value for analysis. In such cases, there may be a risk of severe miscalculation of

  20. 25 CFR 11.1204 - Obtaining an emergency order of protection.

    Code of Federal Regulations, 2010 CFR

    2010-04-01

    ... INDIAN OFFENSES AND LAW AND ORDER CODE Child Protection and Domestic Violence Procedures § 11.1204... petition clearly shows that an act of domestic violence has occurred. The order must meet the content... to have committed a family violence act and seek to hold a hearing as soon as possible. If a hearing...

  1. 25 CFR 11.1204 - Obtaining an emergency order of protection.

    Code of Federal Regulations, 2011 CFR

    2011-04-01

    ... INDIAN OFFENSES AND LAW AND ORDER CODE Child Protection and Domestic Violence Procedures § 11.1204... petition clearly shows that an act of domestic violence has occurred. The order must meet the content... to have committed a family violence act and seek to hold a hearing as soon as possible. If a hearing...

  2. Using Magnitude Estimation Scaling in Business Communication Research.

    ERIC Educational Resources Information Center

    Sturges, David L.

    1990-01-01

    Critically analyzes magnitude estimation scaling for its potential use in business communication research. Finds that the 12-15 percent increase in explained variance by magnitude estimation over categorical scaling methods may be useful in theory building but may not be sufficient to justify its added expense in applied business communication…

  3. Fresnel transform phase retrieval from magnitude.

    PubMed

    Pitts, Todd A; Greenleaf, James F

    2003-08-01

    This report presents a generalized projection method for recovering the phase of a finite support, two-dimensional signal from knowledge of its magnitude in the spatial position and Fresnel transform domains. We establish the uniqueness of sampled monochromatic scalar field phase given Fresnel transform magnitude and finite region of support constraints for complex signals. We derive an optimally relaxed version of the algorithm resulting in a significant reduction in the number of iterations needed to obtain useful results. An advantage of using the Fresnel transform (as opposed to Fourier) for measurement is that the shift-invariance of the transform operator implies retention of object location information in the transformed image magnitude. As a practical application in the context of ultrasound beam measurement we discuss the determination of small optical phase shifts from near field optical intensity distributions. Experimental data are used to reconstruct the phase shape of an optical field immediately after propagating through a wide bandwidth ultrasonic pulse. The phase of each point on the optical wavefront is proportional to the ray sum of pressure through the ultrasound pulse (assuming low ultrasonic intensity). An entire pressure field was reconstructed in three dimensions and compared with a calibrated hydrophone measurement. The comparison is excellent, demonstrating that the phase retrieval is quantitative.

  4. The effect of mathematics anxiety on the processing of numerical magnitude.

    PubMed

    Maloney, Erin A; Ansari, Daniel; Fugelsang, Jonathan A

    2011-01-01

    In an effort to understand the origins of mathematics anxiety, we investigated the processing of symbolic magnitude by high mathematics-anxious (HMA) and low mathematics-anxious (LMA) individuals by examining their performance on two variants of the symbolic numerical comparison task. In two experiments, a numerical distance by mathematics anxiety (MA) interaction was obtained, demonstrating that the effect of numerical distance on response times was larger for HMA than for LMA individuals. These data support the claim that HMA individuals have less precise representations of numerical magnitude than their LMA peers, suggesting that MA is associated with low-level numerical deficits that compromise the development of higher level mathematical skills.

  5. Magnitude and Frequency of Floods on Nontidal Streams in Delaware

    USGS Publications Warehouse

    Ries, Kernell G.; Dillow, Jonathan J.A.

    2006-01-01

    Reliable estimates of the magnitude and frequency of annual peak flows are required for the economical and safe design of transportation and water-conveyance structures. This report, done in cooperation with the Delaware Department of Transportation (DelDOT) and the Delaware Geological Survey (DGS), presents methods for estimating the magnitude and frequency of floods on nontidal streams in Delaware at locations where streamgaging stations monitor streamflow continuously and at ungaged sites. Methods are presented for estimating the magnitude of floods for return frequencies ranging from 2 through 500 years. These methods are applicable to watersheds exhibiting a full range of urban development conditions. The report also describes StreamStats, a web application that makes it easy to obtain flood-frequency estimates for user-selected locations on Delaware streams. Flood-frequency estimates for ungaged sites are obtained through a process known as regionalization, using statistical regression analysis, where information determined for a group of streamgaging stations within a region forms the basis for estimates for ungaged sites within the region. One hundred and sixteen streamgaging stations in and near Delaware with at least 10 years of non-regulated annual peak-flow data available were used in the regional analysis. Estimates for gaged sites are obtained by combining the station peak-flow statistics (mean, standard deviation, and skew) and peak-flow estimates with regional estimates of skew and flood-frequency magnitudes. Example flood-frequency estimate calculations using the methods presented in the report are given for: (1) ungaged sites, (2) gaged locations, (3) sites upstream or downstream from a gaged location, and (4) sites between gaged locations. Regional regression equations applicable to ungaged sites in the Piedmont and Coastal Plain Physiographic Provinces of Delaware are presented. The equations incorporate drainage area, forest cover, impervious

  6. Early Warning for Large Magnitude Earthquakes: Is it feasible?

    NASA Astrophysics Data System (ADS)

    Zollo, A.; Colombelli, S.; Kanamori, H.

    2011-12-01

    , respectively, as a function of the length of the P-wave window. The entire rupture process of the Tohoku earthquake lasted more than 120 seconds, as shown by the source time functions obtained by several authors. When a 3 second window is used to measure Pd and τc the result is an obvious underestimation of the event size and final PGV. However, as the time window increases up to 27-30 seconds, the measured values of Pd and τc become comparable with those expected for a magnitude M≥8.5 earthquake, according to the τc vs. M and the PGV vs. Pd relationships obtained in a previous work. Since we did not observe any saturation effect for the predominant period and peak displacement measured within a P-wave, 30-seconds window, we infer that, at least from a theoretical point of view, the estimation of earthquake damage potential through the early warning parameters is still feasible for large events, provided that a longer time window is used for parameter measurement. The off-line analysis of the Tohoku event records shows that reliable estimations of the damage potential could have been obtained 40-50 seconds after the origin time, by updating the measurements of the early warning parameters in progressively enlarged P-wave time windows from 3 to 30 seconds.

  7. Segmentation decreases the magnitude of the tilt illusion

    PubMed Central

    Qiu, Cheng; Kersten, Daniel; Olman, Cheryl A.

    2013-01-01

    In the tilt illusion, the perceived orientation of a target grating depends strongly on the orientation of a surround. When the orientations of the center and surround gratings differ by a small angle, the center grating appears to tilt away from the surround orientation (repulsion), whereas for a large difference in angle, the center appears to tilt toward the surround orientation (attraction). In order to understand how segmentation/perceptual grouping of the center and surround affect the magnitude of the tilt illusion, we conducted three psychophysical experiments in which we measured observers' perception of center orientation as a function of center-surround relative contrast, relative disparity depth, and geometric features such as occlusion and collinearity. All of these manipulations affected the strength of perceived orientation bias in the center. Our results suggest that if stronger segmentation/perceptual grouping is induced between the center and surround, the tilt repulsion bias decreases/increases. A grouping-dependent tilt illusion plays an important role in visual search and detection by enhancing the sensitivity of our visual system to feature discrepancies, especially in relatively homogenous environments. PMID:24259671

  8. Magnitude comparison with different types of rational numbers.

    PubMed

    DeWolf, Melissa; Grounds, Margaret A; Bassok, Miriam; Holyoak, Keith J

    2014-02-01

    An important issue in understanding mathematical cognition involves the similarities and differences between the magnitude representations associated with various types of rational numbers. For single-digit integers, evidence indicates that magnitudes are represented as analog values on a mental number line, such that magnitude comparisons are made more quickly and accurately as the numerical distance between numbers increases (the distance effect). Evidence concerning a distance effect for compositional numbers (e.g., multidigit whole numbers, fractions and decimals) is mixed. We compared the patterns of response times and errors for college students in magnitude comparison tasks across closely matched sets of rational numbers (e.g., 22/37, 0.595, 595). In Experiment 1, a distance effect was found for both fractions and decimals, but response times were dramatically slower for fractions than for decimals. Experiments 2 and 3 compared performance across fractions, decimals, and 3-digit integers. Response patterns for decimals and integers were extremely similar but, as in Experiment 1, magnitude comparisons based on fractions were dramatically slower, even when the decimals varied in precision (i.e., number of place digits) and could not be compared in the same way as multidigit integers (Experiment 3). Our findings indicate that comparisons of all three types of numbers exhibit a distance effect, but that processing often involves strategic focus on components of numbers. Fractions impose an especially high processing burden due to their bipartite (a/b) structure. In contrast to the other number types, the magnitude values associated with fractions appear to be less precise, and more dependent on explicit calculation. PsycINFO Database Record (c) 2014 APA, all rights reserved.

  9. 76 FR 26946 - Mango Promotion, Research, and Information Order; Assessment Increase

    Federal Register 2010, 2011, 2012, 2013, 2014

    2011-05-10

    ... affect or preempt any other State or Federal law authorizing promotion or research relating to an... Service 7 CFR Part 1206 [Document No. AMS-FV-11-0021] Mango Promotion, Research, and Information Order... proposes amendment of the Mango Promotion, Research, and Information Order (Order) to increase the...

  10. Developmental Foundations of Children's Fraction Magnitude Knowledge.

    PubMed

    Mou, Yi; Li, Yaoran; Hoard, Mary K; Nugent, Lara D; Chu, Felicia W; Rouder, Jeffrey N; Geary, David C

    2016-01-01

    The conceptual insight that fractions represent magnitudes is a critical yet daunting step in children's mathematical development, and the knowledge of fraction magnitudes influences children's later mathematics learning including algebra. In this study, longitudinal data were analyzed to identify the mathematical knowledge and domain-general competencies that predicted 8 th and 9 th graders' (n=122) knowledge of fraction magnitudes and its cross-grade gains. Performance on the fraction magnitude measures predicted 9 th grade algebra achievement. Understanding and fluently identifying the numerator-denominator relation in 7 th grade emerged as the key predictor of later fraction magnitudes knowledge in both 8 th and 9 th grades. Competence at using fraction procedures, knowledge of whole number magnitudes, and the central executive contributed to 9 th but not 8 th graders' fraction magnitude knowledge, and knowledge of whole number magnitude contributed to cross-grade gains. The key results suggest fluent processing of numerator-denominator relations presages students' understanding of fractions as magnitudes and that the integration of whole number and fraction magnitudes occurs gradually.

  11. Reinforcement magnitude modulation of rate dependent effects in pigeons and rats.

    PubMed

    Ginsburg, Brett C; Pinkston, Jonathan W; Lamb, R J

    2011-08-01

    Response rate can influence the behavioral effects of many drugs. Reinforcement magnitude may also influence drug effects. Further, reinforcement magnitude can influence rate-dependent effects. For example, in an earlier report, we showed that rate-dependent effects of two antidepressants depended on reinforcement magnitude. The ability of reinforcement magnitude to interact with rate-dependency has not been well characterized. It is not known whether our previous results are specific to antidepressants or generalize to other drug classes. Here, we further examine rate-magnitude interactions by studying effects of two stimulants (d-amphetamine [0.32-5.6 mg/kg] and cocaine [0.32-10 mg/kg]) and two sedatives (chlordiazepoxide [1.78-32 mg/kg] and pentobarbital [1.0-17.8 mg/kg]) in pigeons responding under a 3-component multiple fixed-interval (FI) 300-s schedule maintained by 2-, 4-, or 8-s of food access. We also examine the effects of d-amphetamine [0.32-3.2 mg/kg] and pentobarbital [1.8-10 mg/kg] in rats responding under a similar multiple FI300-s schedule maintained by 2- or 10- food pellet (45 mg) delivery. In pigeons, cocaine and, to a lesser extent, chlordiazepoxide exerted rate-dependent effects that were diminished by increasing durations of food access. The relationship was less apparent for pentobarbital, and not present for d-amphetamine. In rats, rate-dependent effects of pentobarbital and d-amphetamine were not modulated by reinforcement magnitude. In conclusion, some drugs appear to exert rate-dependent effect which are diminished when reinforcement magnitude is relatively high. Subsequent analysis of the rate-dependency data suggest the effects of reinforcement magnitude may be due to a diminution of drug-induced increases in low-rate behavior that occurs early in the fixed-interval. (c) 2011 APA, all rights reserved.

  12. The stay/switch model describes choice among magnitudes of reinforcers.

    PubMed

    MacDonall, James S

    2008-06-01

    The stay/switch model is an alternative to the generalized matching law for describing choice in concurrent procedures. The purpose of the present experiment was to extend this model to choice among magnitudes of reinforcers. Rats were exposed to conditions in which the magnitude of reinforcers (number of food pellets) varied for staying at alternative 1, switching from alternative 1, staying at alternative 2 and switching from alternative 2. A changeover delay was not used. The results showed that the stay/switch model provided a good account of the data overall, and deviations from fits of the generalized matching law to response allocation data were in the direction predicted by the stay/switch model. In addition, comparisons among specific conditions suggested that varying the ratio of obtained reinforcers, as in the generalized matching law, was not necessary to change the response and time allocations. Other comparisons suggested that varying the ratio of obtained reinforcers was not sufficient to change response allocation. Taken together these results provide additional support for the stay/switch model of concurrent choice.

  13. Thermal Performance Testing of Order Dependancy of Aerogels Multilayered Insulation

    NASA Technical Reports Server (NTRS)

    Johnson, Wesley L.; Fesmire, James E.; Demko, J. A.

    2009-01-01

    Robust multilayer insulation systems have long been a goal of many research projects. Such insulation systems must provide some degree of structural support and also mechanical integrity during loss of vacuum scenarios while continuing to provide insulative value to the vessel. Aerogel composite blankets can be the best insulation materials in ambient pressure environments; in high vacuum, the thermal performance of aerogel improves by about one order of magnitude. Standard multilayer insulation (MU) is typically 50% worse at ambient pressure and at soft vacuum, but as much as two or three orders of magnitude better at high vacuum. Different combinations of aerogel and multilayer insulation systems have been tested at Cryogenics Test Laboratory of NASA Kennedy Space Center. Analysis performed at Oak Ridge National Laboratory showed an importance to the relative location of the MU and aerogel blankets. Apparent thermal conductivity testing under cryogenic-vacuum conditions was performed to verify the analytical conclusion. Tests results are shown to be in agreement with the analysis which indicated that the best performance is obtained with aerogel layers located in the middle of the blanket insulation system.

  14. Locations and magnitudes of historical earthquakes in the Sierra of Ecuador (1587–1996)

    USGS Publications Warehouse

    Beauval, Celine; Yepes, Hugo; Bakun, William H.; Egred, Jose; Alvarado, Alexandra; Singaucho, Juan-Carlos

    2010-01-01

    The whole territory of Ecuador is exposed to seismic hazard. Great earthquakes can occur in the subduction zone (e.g. Esmeraldas, 1906, Mw8.8), whereas lower magnitude but shallower and potentially more destructive earthquakes can occur in the highlands. This study focuses on the historical crustal earthquakes of the Andean Cordillera. Several large cities are located in the Interandean Valley, among them Quito, the capital (∼2.5 millions inhabitants). A total population of ∼6 millions inhabitants currently live in the highlands, raising the seismic risk. At present, precise instrumental data for the Ecuadorian territory is not available for periods earlier than 1990 (beginning date of the revised instrumental Ecuadorian seismic catalogue); therefore historical data are of utmost importance for assessing seismic hazard. In this study, the Bakun & Wentworth method is applied in order to determine magnitudes, locations, and associated uncertainties for historical earthquakes of the Sierra over the period 1587–1976. An intensity-magnitude equation is derived from the four most reliable instrumental earthquakes (Mwbetween 5.3 and 7.1). Intensity data available per historical earthquake vary between 10 (Quito, 1587, Intensity ≥VI) and 117 (Riobamba, 1797, Intensity ≥III). The bootstrap resampling technique is coupled to the B&W method for deriving geographical confidence contours for the intensity centre depending on the data set of each earthquake, as well as confidence intervals for the magnitude. The extension of the area delineating the intensity centre location at the 67 per cent confidence level (±1σ) depends on the amount of intensity data, on their internal coherence, on the number of intensity degrees available, and on their spatial distribution. Special attention is dedicated to the few earthquakes described by intensities reaching IX, X and XI degrees. Twenty-five events are studied, and nineteen new epicentral locations are obtained, yielding

  15. Moral Severity is Represented as a Domain-General Magnitude.

    PubMed

    Powell, Derek; Horne, Zachary

    2017-03-01

    The severity of moral violations can vary by degree. For instance, although both are immoral, murder is a more severe violation than lying. Though this point is well established in Ethics and the law, relatively little research has been directed at examining how moral severity is represented psychologically. Most prominent moral psychological theories are aimed at explaining first-order moral judgments and are silent on second-order metaethical judgments, such as comparisons of severity. Here, the relative severity of 20 moral violations was established in a preliminary study. Then, a second group of participants were asked to decide which of two moral violations was more severe for all possible combinations of these 20 violations. Participant's response times exhibited two signatures of domain-general magnitude comparisons: we observed both a distance effect and a semantic congruity effect. These findings suggest that moral severity is represented in a similar fashion as other continuous magnitudes.

  16. Time Delay Mechanical-noise Cancellation (TDMC) to Provide Order of Magnitude Improvements in Radio Science Observations

    NASA Astrophysics Data System (ADS)

    Atkinson, D. H.; Babuscia, A.; Lazio, J.; Asmar, S.

    2017-12-01

    Many Radio Science investigations, including the determinations of planetary masses, measurements of planetary atmospheres, studies of the solar wind, and solar system tests of relativistic gravity, rely heavily on precision Doppler tracking. Recent and currently proposed missions such as VERITAS, Bepi Colombo, Juno have shown that the largest error source in the precision Doppler tracking data is noise in the Doppler system. This noise is attributed to un-modeled motions of the ground antenna's phase center and is commonly referred to as "antenna mechanical noise." Attempting to reduce this mechanical noise has proven difficult since the deep space communications antennas utilize large steel structures that are already optimized for mechanical stability. Armstrong et al. (2008) have demonstrated the Time Delay Mechanical-noise Cancellation (TDMC) concept using Goldstone DSN antennas (70 m & 34 m) and the Cassinispacecraft to show that the mechanical noise of the 70 m antenna could be suppressed when two-way Doppler tracking from the 70 m antenna and the receive-only Doppler data from the smaller, stiffer 34 m antenna were combined with suitable delays. The proof-of-concept confirmed that the mechanical noise in the final Doppler observable was reduced to that of the stiffer, more stable antenna. Caltech's Owens Valley Radio Observatory (OVRO) near Bishop, CA now has six 10.4 m diameter antennas, a consequence of the closure of Combined Array for Research in Millimeter Astronomy (CARMA). In principle, a 10 m antenna can lead to an order-of-magnitude improvement for the mechanical noise correction, as the smaller dish offers better mechanical stability compared to a DSN 34-m antenna. These antennas also have existing Ka-band receiving systems, and preliminary discussions with the OVRO staff suggest that much of the existing signal path could be used for Radio Science observations.

  17. A method for obtaining reduced-order control laws for high-order systems using optimization techniques

    NASA Technical Reports Server (NTRS)

    Mukhopadhyay, V.; Newsom, J. R.; Abel, I.

    1981-01-01

    A method of synthesizing reduced-order optimal feedback control laws for a high-order system is developed. A nonlinear programming algorithm is employed to search for the control law design variables that minimize a performance index defined by a weighted sum of mean-square steady-state responses and control inputs. An analogy with the linear quadractic Gaussian solution is utilized to select a set of design variables and their initial values. To improve the stability margins of the system, an input-noise adjustment procedure is used in the design algorithm. The method is applied to the synthesis of an active flutter-suppression control law for a wind tunnel model of an aeroelastic wing. The reduced-order controller is compared with the corresponding full-order controller and found to provide nearly optimal performance. The performance of the present method appeared to be superior to that of two other control law order-reduction methods. It is concluded that by using the present algorithm, nearly optimal low-order control laws with good stability margins can be synthesized.

  18. Use of NMR logging to obtain estimates of hydraulic conductivity in the High Plains aquifer, Nebraska, USA

    USGS Publications Warehouse

    Dlubac, Katherine; Knight, Rosemary; Song, Yi-Qiao; Bachman, Nate; Grau, Ben; Cannia, Jim; Williams, John

    2013-01-01

    Hydraulic conductivity (K) is one of the most important parameters of interest in groundwater applications because it quantifies the ease with which water can flow through an aquifer material. Hydraulic conductivity is typically measured by conducting aquifer tests or wellbore flow (WBF) logging. Of interest in our research is the use of proton nuclear magnetic resonance (NMR) logging to obtain information about water-filled porosity and pore space geometry, the combination of which can be used to estimate K. In this study, we acquired a suite of advanced geophysical logs, aquifer tests, WBF logs, and sidewall cores at the field site in Lexington, Nebraska, which is underlain by the High Plains aquifer. We first used two empirical equations developed for petroleum applications to predict K from NMR logging data: the Schlumberger Doll Research equation (KSDR) and the Timur-Coates equation (KT-C), with the standard empirical constants determined for consolidated materials. We upscaled our NMR-derived K estimates to the scale of the WBF-logging K(KWBF-logging) estimates for comparison. All the upscaled KT-C estimates were within an order of magnitude of KWBF-logging and all of the upscaled KSDR estimates were within 2 orders of magnitude of KWBF-logging. We optimized the fit between the upscaled NMR-derived K and KWBF-logging estimates to determine a set of site-specific empirical constants for the unconsolidated materials at our field site. We conclude that reliable estimates of K can be obtained from NMR logging data, thus providing an alternate method for obtaining estimates of K at high levels of vertical resolution.

  19. The magnitude of innovation and its evolution in social animals.

    PubMed

    Arbilly, Michal; Laland, Kevin N

    2017-02-08

    Innovative behaviour in animals, ranging from invertebrates to humans, is increasingly recognized as an important topic for investigation by behavioural researchers. However, what constitutes an innovation remains controversial, and difficult to quantify. Drawing on a broad definition whereby any behaviour with a new component to it is an innovation, we propose a quantitative measure, which we call the magnitude of innovation , to describe the extent to which an innovative behaviour is novel. This allows us to distinguish between innovations that are a slight change to existing behaviours (low magnitude), and innovations that are substantially different (high magnitude). Using mathematical modelling and evolutionary computer simulations, we explored how aspects of social interaction, cognition and natural selection affect the frequency and magnitude of innovation. We show that high-magnitude innovations are likely to arise regularly even if the frequency of innovation is low, as long as this frequency is relatively constant, and that the selectivity of social learning and the existence of social rewards, such as prestige and royalties, are crucial for innovative behaviour to evolve. We suggest that consideration of the magnitude of innovation may prove a useful tool in the study of the evolution of cognition and of culture. © 2017 The Author(s).

  20. The magnitude of innovation and its evolution in social animals

    PubMed Central

    2017-01-01

    Innovative behaviour in animals, ranging from invertebrates to humans, is increasingly recognized as an important topic for investigation by behavioural researchers. However, what constitutes an innovation remains controversial, and difficult to quantify. Drawing on a broad definition whereby any behaviour with a new component to it is an innovation, we propose a quantitative measure, which we call the magnitude of innovation, to describe the extent to which an innovative behaviour is novel. This allows us to distinguish between innovations that are a slight change to existing behaviours (low magnitude), and innovations that are substantially different (high magnitude). Using mathematical modelling and evolutionary computer simulations, we explored how aspects of social interaction, cognition and natural selection affect the frequency and magnitude of innovation. We show that high-magnitude innovations are likely to arise regularly even if the frequency of innovation is low, as long as this frequency is relatively constant, and that the selectivity of social learning and the existence of social rewards, such as prestige and royalties, are crucial for innovative behaviour to evolve. We suggest that consideration of the magnitude of innovation may prove a useful tool in the study of the evolution of cognition and of culture. PMID:28179515

  1. Lamp modulator provides signal magnitude indication

    NASA Technical Reports Server (NTRS)

    Zeman, J. R.

    1970-01-01

    Lamp modulator provides visible indication of presence and magnitude of an audio signal carrying voice or data. It can be made to reflect signal variations of up to 32 decibels. Lamp life is increased by use of a bypass resistor to prevent filament failure.

  2. On the anomalous secular increase of the eccentricity of the orbit of the Moon

    NASA Astrophysics Data System (ADS)

    Iorio, L.

    2011-08-01

    A recent analysis of a Lunar Laser Ranging (LLR) data record spanning 38.7 yr revealed an anomalous increase of the eccentricity e of the lunar orbit amounting to ? yr-1. The present-day models of the dissipative phenomena occurring in the interiors of both the Earth and the Moon are not able to explain it. In this paper, we examine several dynamical effects, not modelled in the data analysis, in the framework of long-range modified models of gravity and of the standard Newtonian/Einsteinian paradigm. It turns out that none of them can accommodate ?. Many of them do not even induce long-term changes in e; other models do, instead, yield such an effect, but the resulting magnitudes are in disagreement with ?. In particular, the general relativistic gravitomagnetic acceleration of the Moon due to the Earth’s angular momentum has the right order of magnitude, but the resulting Lense-Thirring secular effect for the eccentricity vanishes. A potentially viable Newtonian candidate would be a trans-Plutonian massive object (Planet X/Nemesis/Tyche) since it, actually, would affect e with a non-vanishing long-term variation. On the other hand, the values for the physical and orbital parameters of such a hypothetical body required to obtain at least the right order of magnitude for ? are completely unrealistic: suffices it to say that an Earth-sized planet would be at 30 au, while a jovian mass would be at 200 au. Thus, the issue of finding a satisfactorily explanation for the anomalous behaviour of the Moon’s eccentricity remains open.

  3. Increasing magnitude of Hurricane Rapid Intensification in the central-eastern Atlantic over the past 30 years

    NASA Astrophysics Data System (ADS)

    Leung, L. R.; Balaguru, K.; Foltz, G. R.

    2017-12-01

    During the 2017 Atlantic hurricane season, several hurricanes underwent rapid intensification (RI) in the central-eastern Atlantic. This motivates an analysis of trends in the strength of hurricane RI during the 30-year post-satellite period of 1986-2015. Our results show that in the eastern tropical Atlantic, to the east of 60W, the mean RI magnitude averaged during 2001-2015 was 3.8 kt per 24 hr higher than during 1986-2000. However, in the western tropical Atlantic, to the west of 60W, changes in RI magnitude over the same period were not statistically significant. We examined the large-scale environment to understand the causes behind these changes in RI magnitude and found that various oceanic and atmospheric parameters that play an important role in RI changed favorably in the eastern tropical Atlantic. More specifically, changes in SST, Potential Intensity, upper-ocean heat content, wind shear, relative humidity and upper-level divergence enhanced the ability for hurricanes to undergo RI in the eastern tropical Atlantic. In contrast, changes in the same factors are inconsistent in the western tropical Atlantic. While changes in SST and Potential Intensity were positive, changes in upper-ocean heat content, wind shear and upper-level divergence were either insignificant or unfavorable for RI. Finally, we examined the potential role of various climate phenomena, which are well-known to impact Atlantic hurricane activity, in causing the changes in the large-scale environment. Our analysis reveals that changes in the Atlantic Multidecadal Oscillation over the 30-year period are predominantly responsible. These results provide important aspects of the large-scale context to understand the Atlantic hurricane season of 2017.

  4. Analytical and numerical treatment of the heat conduction equation obtained via time-fractional distributed-order heat conduction law

    NASA Astrophysics Data System (ADS)

    Želi, Velibor; Zorica, Dušan

    2018-02-01

    Generalization of the heat conduction equation is obtained by considering the system of equations consisting of the energy balance equation and fractional-order constitutive heat conduction law, assumed in the form of the distributed-order Cattaneo type. The Cauchy problem for system of energy balance equation and constitutive heat conduction law is treated analytically through Fourier and Laplace integral transform methods, as well as numerically by the method of finite differences through Adams-Bashforth and Grünwald-Letnikov schemes for approximation derivatives in temporal domain and leap frog scheme for spatial derivatives. Numerical examples, showing time evolution of temperature and heat flux spatial profiles, demonstrate applicability and good agreement of both methods in cases of multi-term and power-type distributed-order heat conduction laws.

  5. EXTENT AND MAGNITUDE OF CATECHOLAMINE SURGE IN PEDIATRIC BURNED PATIENTS

    PubMed Central

    Kulp, Gabriela A; Herndon, David N.; Lee, Jong O.; Suman, Oscar E.; Jeschke, Marc G

    2009-01-01

    Increased catecholamine (CA) levels after severe burn are associated with stress, inflammation, hypermetabolism and impaired immune function. The CA secretion profiles in burned patients are not well described. Mechanisms, duration and extent of CA surge are unknown. The purpose of this large unicenter study was to evaluate the extent and magnitude of CA surge following severe burn in pediatric patients. Patients admitted between 1996 and 2008 were enrolled in this study. Twenty-four-hour urine collections were performed during acute hospitalization and up to 2 years post burn. Results from the samples collected from 12 normal, healthy volunteers were compared with the data from the burned patients. Relevant demographic and clinical information was obtained from Medical Records. Student’s t-test and one way ANOVA were used to analyze the data where appropriate. Significance was accepted at p<0.05. Four-hundred thirteen patients were enrolled in this study, 17 patients died during acute hospitalization. Burn caused a marked stress and inflammatory response, indicated by massive tachycardia and elevated pro-inflammatory cytokines. In burned patients, CA levels are consistently and significantly modulated after burn when compared to the levels in normal, healthy volunteers. CA levels were significantly higher in males compared to females, correlated with burn size in burns over 40% and were increased in older children. There were differences over time in survivors vs. non-survivors, with CA levels significantly higher in non-survivors at 2 time points. Inflammatory cytokines show a similar profile during the study period. Our study gives clinicians a useful insight into the extent and magnitude of CA elevation to better design treatment strategies. PMID:20407405

  6. Conformational and orientational order and disorder in solid polytetrafluoroethylene

    NASA Astrophysics Data System (ADS)

    Sprik, Michiel; Rothlisberger, Ursula; Klein, Michael L.

    The low pressure phase diagram of solid polytetrafluoroethylene (PTFE/Teflon) has been investigated using constant temperature-constant pressure molecular dynamics techniques and a new all-atom potential model for fluorocarbons. The simulation was started in an ordered low temperature phase in which the molecules are parallel and have a helical conformation with a pitch of uniform magnitude and sign (chirality). In accordance with experiment, a transition to an orientationally disordered state is observed upon heating. The coherent helical winding of CF2 groups also disappears abruptly at the transition but short helical segments remain and become equally distributed between left and right chirality with increasing temperature. The orientational and conformational disorder is accompanied by translational diffusion along the chain direction. At a still higher temperature melting sets in. On cooling, the disordered solid phase is recovered and its structure is shown to be identical to that generated on heating. On further cooling, a spontaneous ordering transition is observed but the system fails to recover a uniform helical ground state. Instead, the high pressure ordered monoclinic all- trans (alkane-like) structure is obtained: an observation that indicates a deficiency in the potential model.

  7. Hybridization and genome size evolution: timing and magnitude of nuclear DNA content increases in Helianthus homoploid hybrid species

    PubMed Central

    Baack, Eric J.; Whitney, Kenneth D.; Rieseberg, Loren H.

    2008-01-01

    Summary Hybridization and polyploidy can induce rapid genomic changes, including the gain or loss of DNA, but the magnitude and timing of such changes are not well understood. The homoploid hybrid system in Helianthus (three hybrid-derived species and their two parents) provides an opportunity to examine the link between hybridization and genome size changes in a replicated fashion. Flow cytometry was used to estimate the nuclear DNA content in multiple populations of three homoploid hybrid Helianthus species (Helianthus anomalus, Helianthus deserticola, and Helianthus paradoxus), the parental species (Helianthus annuus and Helianthus petiolaris), synthetic hybrids, and natural hybrid-zone populations. Results confirm that hybrid-derived species have 50% more nuclear DNA than the parental species. Despite multiple origins, hybrid species were largely consistent in their DNA content across populations, although H. deserticola showed significant interpopulation differences. First- and sixth-generation synthetic hybrids and hybrid-zone plants did not show an increase from parental DNA content. First-generation hybrids differed in DNA content according to the maternal parent. In summary, hybridization by itself does not lead to increased nuclear DNA content in Helianthus, and the evolutionary forces responsible for the repeated increases in DNA content seen in the hybrid-derived species remain mysterious. PMID:15998412

  8. Improved Pinning Morphology in HTS with Order of Magnitude Increase in Jc and Pinned Field

    DTIC Science & Technology

    2008-01-27

    Patricia Nieto 0.25 Lilliana Phamnguyen 0.25 William Rifenburgh 0.25 Adriana Rodriguez 0.25 Jonathan Salazar 0.25 Michael Saldana 0.25 Clinton Seibert...times higher than the initial Jc. Bulk YBCO was used in the experiment, and Jc set a new world’s record of 321 kA /cc for this variety of HTS, over 5

  9. Evaluation of minimum coverage size and orbital accuracy at different orbital regimes for one order of magnitude reduction of the catastrophic collision risk

    NASA Astrophysics Data System (ADS)

    Sánchez-Ortiz, Noelia; Domínguez-González, Raúl; Krag, Holger

    2015-03-01

    One of the main objectives of Space Surveillance and Tracking (SST) systems is to support space collision avoidance activities. This collision avoidance capability aims to significantly reduce the catastrophic collision risk of space objects. In particular, for the case of the future European SST, the objective is translated into a risk reduction of one order of magnitude whilst keeping a low number of false alarm events. In order to translate this aim into system requirements, an evaluation of the current catastrophic collision risk for different orbital regimes is addressed. The reduction of such risk depends on the amount of catalogued objects (coverage) and the knowledge of the associated orbits in the catalogue (accuracy). This paper presents an analysis of the impact of those two aspects in the capability to reduce the catastrophic collision risk at some orbital regimes. A reliable collision avoidance support depends on the accuracy of the predicted miss-events. The assessment of possible conjunctions is normally done by computing the estimated miss-distances between objects (which is compared with a defined distance threshold) or by computing the associated collision risk (which is compared with the corresponding accepted collision probability level). This second method is normally recommended because it takes into account the reliability of the orbits and allows reducing false alarm events. The collision risk depends on the estimated miss-distance, the object sizes and the accuracy of the two orbits at the time of event. This accuracy depends on the error of the orbits at the orbit determination epoch and the error derived from the propagation from that epoch up to the time of event. The modified DRAMA ARES (Domínguez-González et al., 2012, 2013a,b; Gelhaus et al., 2014) provides information on the expected number of encounters for a given mission and year. It also provides information on the capacity to reduce the risk of collision by means of avoidance

  10. Calibration of the MEarth Photometric System: Optical Magnitudes and Photometric Metallicity Estimates for 1802 Nearby M-Dwarfs

    NASA Astrophysics Data System (ADS)

    Dittmann, Jason A.; Irwin, Jonathan M.; Charbonneau, David; Newton, Elisabeth R.

    2016-02-01

    The MEarth Project is a photometric survey systematically searching the smallest stars near the Sun for transiting rocky planets. Since 2008, MEarth has taken approximately two million images of 1844 stars suspected to be mid-to-late M dwarfs. We have augmented this survey by taking nightly exposures of photometric standard stars and have utilized this data to photometrically calibrate the MEarth system, identify photometric nights, and obtain an optical magnitude with 1.5% precision for each M dwarf system. Each optical magnitude is an average over many years of data, and therefore should be largely immune to stellar variability and flaring. We combine this with trigonometric distance measurements, spectroscopic metallicity measurements, and 2MASS infrared magnitude measurements in order to derive a color-magnitude-metallicity relation across the mid-to-late M dwarf spectral sequence that can reproduce spectroscopic metallicity determinations to a precision of 0.1 dex. We release optical magnitudes and metallicity estimates for 1567 M dwarfs, many of which did not have an accurate determination of either prior to this work. For an additional 277 stars without a trigonometric parallax, we provide an estimate of the distance, assuming solar neighborhood metallicity. We find that the median metallicity for a volume-limited sample of stars within 20 pc of the Sun is [Fe/H] = -0.03 ± 0.008, and that 29/565 of these stars have a metallicity of [Fe/H] = -0.5 or lower, similar to the low-metallicity distribution of nearby G dwarfs. When combined with the results of ongoing and future planet surveys targeting these objects, the metallicity estimates presented here will be important for assessing the significance of any putative planet-metallicity correlation.

  11. Magnetic ordering of nickel hydroxide layers 30 Å apart obtained by intercalating dodecyl sulfate

    NASA Astrophysics Data System (ADS)

    Seehra, M. S.; Singh, V.

    2013-09-01

    The nature of magnetic ordering in quasi-2D layered hydroxide of Ni (LH-Ni-DS) with hexagonal structure and synthesized by intercalating dodecyl sulfate (DS) ligand, (C12H25OSO3)-, between the layers using a hydrothermal technique is investigated. The observation of (00l) peaks up to l = 8 in x-ray diffraction on the sample yields an interlayer spacing c ≃ 30.5 Å and a crystallite size ≃ 16 nm. Assignment of the lines observed in the FTIR spectra to the various groups of the DS ligand confirms the intercalation. From the analysis of detailed investigations of the temperature dependence of the magnetization M at different magnetic fields, ac susceptibilities at frequencies from 0.1 to 1 kHz, and electron magnetic resonance spectra at 9.28 GHz, it is concluded that LH-Ni-DS orders ferromagnetically at TC ≃ 23 K. This TC is about 45% higher than TC ≃ 16 K reported for LH-Ni-Ac with c ≃ 8.6 Å obtained by intercalating an acetate ligand between the layers. The roles of the interlayer dipolar interaction, magnetic anisotropy and exchange interactions in determining TC in LH-Ni-L systems for several ligands L yielding different c-axes are discussed.

  12. Improving 14C dating precision in dynamic, brackish waters by one order of magnitude: 87Sr/86Sr isotopes as a quantitative proxy for 14C reservoir age.

    NASA Astrophysics Data System (ADS)

    Lougheed, B.; Davies, G.; Filipsson, H. L.; van der Lubbe, J.; Snowball, I.

    2016-12-01

    Accurate geochronologies are crucial for reconstructing the sensitivity of brackish and estuarine environments to external impacts. A common geochronological method used for such studies is radiocarbon (14C) dating, but its application in brackish environments is severely limited by an inability to quantify spatiotemporal variations in 14C reservoir age, or R(t), due to dynamic interplay between river runoff and marine water in these environments. Additionally, old carbon effects and species-specific behavioural processes also influence 14C ages. Using the world's largest brackish water body (the estuarine Baltic Sea) as a test-bed, combined with a comprehensive approach that objectively excludes both old carbon and species-specific effects, we demonstrate that it is possible to use 87Sr/86Sr ratios to quantify R(t) in ubiquitous mollusc shell material, leading to an almost one order of magnitude increase in Baltic Sea 14C geochronological precision over the current state-of-the-art. We propose that this novel proxy method can be developed for other brackish water bodies worldwide, thereby improving geochronological control in these climate sensitive, near-coastal environments.

  13. Protective orders: questions and conundrums.

    PubMed

    Logan, T K; Shannon, Lisa; Walker, Robert; Faragher, Teri Marie

    2006-07-01

    Current media portrayal of protective orders is often negative, focusing on weaknesses in how protective orders are obtained and enforced. This review of research findings on protective orders examines issues and suggests areas in need of future research to clarify and improve public policy. More specifically, this review has five main objectives: (a) to provide background information about partner violence and the need for protective orders; (b) to describe what protective orders are, how many women obtain them, and the advantages and disadvantages of obtaining protective orders; (c) to examine characteristics of women who seek protective orders; (d) to explore research on whether protective orders actually increase women's safety; and (e) to highlight opportunities and gaps in the practice and research literature regarding the use of protective orders for women with violent partners or ex-partners.

  14. Combined magnitude and phase-based segmentation of the cerebral cortex in 7T MR images of the elderly.

    PubMed

    Doan, Nhat Trung; van Rooden, Sanneke; Versluis, Maarten J; Webb, Andrew G; van der Grond, Jeroen; van Buchem, Mark A; Reiber, Johan H C; Milles, Julien

    2012-07-01

    To propose a new method that integrates both magnitude and phase information obtained from magnetic resonance (MR) T*(2) -weighted scans for cerebral cortex segmentation of the elderly. This method makes use of K-means clustering on magnitude and phase images to compute an initial segmentation, which is further refined by means of transformation with reconstruction criteria. The method was evaluated against the manual segmentation of 7T in vivo MR data of 20 elderly subjects (age = 67.7 ± 10.9). The added value of combining magnitude and phase was also evaluated by comparing the performance of the proposed method with the results obtained when limiting the available data to either magnitude or phase. The proposed method shows good overlap agreement, as quantified by the Dice Index (0.79 ± 0.04), limited bias (average relative volume difference = 2.94%), and reasonable volumetric correlation (R = 0.555, p = 0.011). Using the combined magnitude and phase information significantly improves the segmentation accuracy compared with using either magnitude or phase. This study suggests that the proposed method is an accurate and robust approach for cerebral cortex segmentation in datasets presenting low gray/white matter contrast. Copyright © 2012 Wiley Periodicals, Inc.

  15. Magnitude processing of symbolic and non-symbolic proportions: an fMRI study.

    PubMed

    Mock, Julia; Huber, Stefan; Bloechle, Johannes; Dietrich, Julia F; Bahnmueller, Julia; Rennig, Johannes; Klein, Elise; Moeller, Korbinian

    2018-05-10

    Recent research indicates that processing proportion magnitude is associated with activation in the intraparietal sulcus. Thus, brain areas associated with the processing of numbers (i.e., absolute magnitude) were activated during processing symbolic fractions as well as non-symbolic proportions. Here, we investigated systematically the cognitive processing of symbolic (e.g., fractions and decimals) and non-symbolic proportions (e.g., dot patterns and pie charts) in a two-stage procedure. First, we investigated relative magnitude-related activations of proportion processing. Second, we evaluated whether symbolic and non-symbolic proportions share common neural substrates. We conducted an fMRI study using magnitude comparison tasks with symbolic and non-symbolic proportions, respectively. As an indicator for magnitude-related processing of proportions, the distance effect was evaluated. A conjunction analysis indicated joint activation of specific occipito-parietal areas including right intraparietal sulcus (IPS) during proportion magnitude processing. More specifically, results indicate that the IPS, which is commonly associated with absolute magnitude processing, is involved in processing relative magnitude information as well, irrespective of symbolic or non-symbolic presentation format. However, we also found distinct activation patterns for the magnitude processing of the different presentation formats. Our findings suggest that processing for the separate presentation formats is not only associated with magnitude manipulations in the IPS, but also increasing demands on executive functions and strategy use associated with frontal brain regions as well as visual attention and encoding in occipital regions. Thus, the magnitude processing of proportions may not exclusively reflect processing of number magnitude information but also rather domain-general processes.

  16. Increased seawater temperature increases the abundance and alters the structure of natural Vibrio populations associated with the coral Pocillopora damicornis

    PubMed Central

    Tout, Jessica; Siboni, Nachshon; Messer, Lauren F.; Garren, Melissa; Stocker, Roman; Webster, Nicole S.; Ralph, Peter J.; Seymour, Justin R.

    2015-01-01

    Rising seawater temperature associated with global climate change is a significant threat to coral health and is linked to increasing coral disease and pathogen-related bleaching events. We performed heat stress experiments with the coral Pocillopora damicornis, where temperature was increased to 31°C, consistent with the 2–3°C predicted increase in summer sea surface maxima. 16S rRNA amplicon sequencing revealed a large shift in the composition of the bacterial community at 31°C, with a notable increase in Vibrio, including known coral pathogens. To investigate the dynamics of the naturally occurring Vibrio community, we performed quantitative PCR targeting (i) the whole Vibrio community and (ii) the coral pathogen Vibrio coralliilyticus. At 31°C, Vibrio abundance increased by 2–3 orders of magnitude and V. coralliilyticus abundance increased by four orders of magnitude. Using a Vibrio-specific amplicon sequencing assay, we further demonstrated that the community composition shifted dramatically as a consequence of heat stress, with significant increases in the relative abundance of known coral pathogens. Our findings provide quantitative evidence that the abundance of potential coral pathogens increases within natural communities of coral-associated microbes as a consequence of rising seawater temperature and highlight the potential negative impacts of anthropogenic climate change on coral reef ecosystems. PMID:26042096

  17. The horizon line, linear perspective, interposition, and background brightness as determinants of the magnitude of the pictorial moon illusion.

    PubMed

    Jones, Stephanie A H; Wilson, Alexander E

    2009-01-01

    A total of 110 undergraduate students participated in a series of three experiments that explored the magnitude of the moon illusion in pictures. Experiment 1 examined the role of the number and salience of depth cues and background brightness. Experiment 2 examined the role of the horizon line, linear perspective, interposition, and background brightness. In Experiment 3, comparative distance judgments of the moon as a function of linear perspective, interposition, and the size of the standard moon were obtained. The magnitude of the moon illusion increased as a function of the number and salience of depth cues and changes in background brightness. Experiment 2 failed to support the role of the horizon line in affecting the illusion. Experiment 3 provided additional support for the illusory distance component of the moon illusion.

  18. Combining Earthquake Focal Mechanism Inversion and Coulomb Friction Law to Yield Tectonic Stress Magnitudes in Strike-slip Faulting Regime

    NASA Astrophysics Data System (ADS)

    Soh, I.; Chang, C.

    2017-12-01

    The techniques for estimating present-day stress states by inverting multiple earthquake focal mechanism solutions (FMS) provide orientations of the three principal stresses and their relative magnitudes. In order to estimate absolute magnitudes of the stresses that are generally required to analyze faulting mechanics, we combine the relative stress magnitude parameter (R-value) derived from the inversion process and the concept of frictional equilibrium of stress state defined by Coulomb friction law. The stress inversion in Korean Peninsula using 152 FMS data (magnitude≥2.5) conducted at regularly spaced grid points yields a consistent strike-slip faulting regime in which the maximum (S1) and the minimum (S3) principal stresses act in horizontal planes (with an S1 azimuth in ENE-WSW) and the intermediate principal stress (S2) close to vertical. However, R-value varies from 0.28 to 0.75 depending on locations, systematically increasing eastward. Based on the assumptions that the vertical stress is lithostatic, pore pressure is hydrostatic, and the maximum differential stress (S1-S3) is limited by Byerlee's friction of optimally oriented faults for slip, we estimate absolute magnitudes of the two horizontal principal stresses using R-value. As R-value increases, so do the magnitudes of the horizontal stresses. Our estimation of the stress magnitudes shows that the maximum horizontal principal stress (S1) normalized by vertical stress tends to increase from 1.3 in the west to 1.8 in the east. The estimated variation of stress magnitudes is compatible with distinct clustering of faulting types in different regions. Normal faulting events are densely populated in the west region where the horizontal stress is relatively low, whereas numerous reverse faulting events prevail in the east offshore where the horizontal stress is relatively high. Such a characteristic distribution of distinct faulting types in different regions can only be explained in terms of stress

  19. Effects of urban tree canopy loss on land surface temperature magnitude and timing

    NASA Astrophysics Data System (ADS)

    Elmes, Arthur; Rogan, John; Williams, Christopher; Ratick, Samuel; Nowak, David; Martin, Deborah

    2017-06-01

    Urban Tree Canopy (UTC) plays an important role in moderating the Surface Urban Heat Island (SUHI) effect, which poses threats to human health due to substantially increased temperatures relative to rural areas. UTC coverage is associated with reduced urban temperatures, and therefore benefits both human health and reducing energy use in cities. Measurement of this relationship relies on accurate, fine spatial resolution UTC mapping, and on time series analysis of Land Surface Temperatures (LST). The City of Worcester, Massachusetts underwent extensive UTC loss and gain during the relatively brief period from 2008 to 2015, providing a natural experiment to measure the UTC/LST relationship. This paper consists of two elements to this end. First, it presents methods to map UTC in urban and suburban locations at fine spatial resolution (∼0.5 m) using image segmentation of a fused Lidar/WorldView-2 dataset, in order to show UTC change over time. Second, the areas of UTC change are used to explore changes in LST magnitude and seasonal variability using a time series of all available Landsat data for the study area over the eight-year period from 2007 to 2015. Fractional UTC change per unit area was determined using fine resolution UTC maps for 2008, 2010, and 2015, covering the period of large-scale tree loss and subsequent planting. LST changes were measured across a series of net UTC change bins, providing a relationship between UTC net change and LST trend. LST was analyzed for both monotonic trends over time and changes to seasonal magnitude and timing, using Theil-Sen slopes and Seasonal Trend Analysis (STA), respectively. The largest magnitudes of UTC loss occurred in residential neighborhoods, causing increased exposure of impervious (road) and pervious (grass) surfaces. Net UTC loss showed higher monotonic increases in LST than persistence and gain areas. STA indicated that net UTC loss was associated greater difference between 2008 and 2015 seasonal

  20. Dynamic visual attention: motion direction versus motion magnitude

    NASA Astrophysics Data System (ADS)

    Bur, A.; Wurtz, P.; Müri, R. M.; Hügli, H.

    2008-02-01

    Defined as an attentive process in the context of visual sequences, dynamic visual attention refers to the selection of the most informative parts of video sequence. This paper investigates the contribution of motion in dynamic visual attention, and specifically compares computer models designed with the motion component expressed either as the speed magnitude or as the speed vector. Several computer models, including static features (color, intensity and orientation) and motion features (magnitude and vector) are considered. Qualitative and quantitative evaluations are performed by comparing the computer model output with human saliency maps obtained experimentally from eye movement recordings. The model suitability is evaluated in various situations (synthetic and real sequences, acquired with fixed and moving camera perspective), showing advantages and inconveniences of each method as well as preferred domain of application.

  1. Characteristics of North Korea nuclear test and KMA magnitude scale

    NASA Astrophysics Data System (ADS)

    Jeon, Y. S.; Lee, D.; Min, K.; Hwang, E. H.; Lee, J.; Park, E.; Jo, E.; Lee, M. S.

    2017-12-01

    Democratic People's Republic of Korea(DPRK) carried out 6th nuclear test on 3 Sep. 2017 at 03:30 UTC. Korea Meteorological Administration(KMA) announced to the public that the event took place in the DPRK's test site, Punggye-ri with the magnitude 5.7. This event is larger than previous one in terms of magnitude and showed that measured magnitude strongly depends on the frequency band of data. After we applied several magnitude scales such as Everdon(1967), Nuttli(1967), and Hong & Lee(2012) to this event, we found that magnitude ranges from 5.3 to 6.7 which depends on frequency band and epicentral distance of signal. 6th DPRK test experiment indicated that spectral amplitude ratio of 6th/5th near 2.37 Hz shows similar amplification compatible to relative spectral magnitude 5.7, while spectral amplitude ratio of 6th/5th near 1.0 Hz marks relative spectral magnitude about 6.1. Relative spectral magnitude varies with frequencies and decreases as frequency increase. We found that systematic non-linearity exists for spectral amplitude ratio of 6th/5th from 1.0 to 10.0 Hz, while it's characteristic is not found at 5th/4th and 4th/3th. A methodology is presented for determining mb(Pn) magnitude of underground nuclear explosions from local Pn phase. 582 waveforms from vertical component of broadband and acceleration seismographs at 120 stations in the epicenter distance from 340 to 800 km are used to calibrate mb(Pn) magnitude scaling for DPRK's nuclear tests. The mb(Pn) estimates of regional events for Korean Peninsula are determined to be mb(Pn) ? = log10(A) + 2.1164×log10(d) - 0.2721, where A is the peak-to-peak Pn amplitude in μm and d is the epicentral distance in km. Systematic non-linearity does not observed at frequency band from 0.1 to 1.0 Hz. The magnitude of 6th event is mb(Pn) 6.08 and mb(Pn) 4.52, 4.92, 4.84 and 5.03 for 2nd, 3rd, 4th and 5th respectively. Further research of applicable mb(Pn) magnitude scaling is required for all frequency band and

  2. An Equivalent Moment Magnitude Earthquake Catalogue for Western Turkey and its Quantitative Properties

    NASA Astrophysics Data System (ADS)

    Leptokaropoulos, Konstantinos; Vasilios, Karakostas; Eleftheria, Papadimitriou; Aggeliki, Adamaki; Onur, Tan; Zumer, Pabuçcu

    2013-04-01

    Earthquake catalogues consist a basic product of seismology, resulting from complex procedures and suffering from natural and man-made errors. The accumulation of these problems over space and time lead to inhomogeneous catalogues which in turn lead to significant uncertainties in many kinds of analyses, such as seismicity rate evaluation and seismic hazard assessment. A major source of catalogue inhomogeneity is the variety of magnitude scales (i.e. Mw, mb, MS, ML, Md), reported from different institutions and sources. Therefore an effort is made in this study to compile a catalogue as homogenous as possible regarding the magnitude scale for the region of Western Turkey (26oE - 32oE longitude, 35oN - 43oN latitude), one of the most rapidly deforming regions worldwide with intense seismic activity, complex fault systems and frequent strong earthquakes. For this purpose we established new relationships to transform as many as possible available magnitudes into equivalent moment magnitude scale, M*w. These relations yielded by the application of the General Orthogonal Regression method and the statistical significance of the results was quantified. The final equivalent moment magnitude was evaluated by taking into consideration all the available magnitudes for which a relation was obtained and also a weight inversely proportional to their standard deviation. Once the catalogue was compiled the magnitude of completeness, Mc, was investigated in both space and time regime. The b-values and their accuracy were also calculated by the maximum likelihood estimate. The spatial and temporal constraints were selected in respect to seismicity recording level, since the state and evolution of the local and regional seismic networks are unknown. We modified and applied the Goodness of Fit test of Wiemer and Wyss (2000) in order to be more effective in datasets that are characterized by smaller sample size and higher Mcthresholds. The compiled catalogue and the Mcevaluation

  3. Developmental Foundations of Children’s Fraction Magnitude Knowledge

    PubMed Central

    Mou, Yi; Li, Yaoran; Hoard, Mary K.; Nugent, Lara D.; Chu, Felicia W.; Rouder, Jeffrey N.; Geary, David C.

    2016-01-01

    The conceptual insight that fractions represent magnitudes is a critical yet daunting step in children’s mathematical development, and the knowledge of fraction magnitudes influences children’s later mathematics learning including algebra. In this study, longitudinal data were analyzed to identify the mathematical knowledge and domain-general competencies that predicted 8th and 9th graders’ (n=122) knowledge of fraction magnitudes and its cross-grade gains. Performance on the fraction magnitude measures predicted 9th grade algebra achievement. Understanding and fluently identifying the numerator-denominator relation in 7th grade emerged as the key predictor of later fraction magnitudes knowledge in both 8th and 9th grades. Competence at using fraction procedures, knowledge of whole number magnitudes, and the central executive contributed to 9th but not 8th graders’ fraction magnitude knowledge, and knowledge of whole number magnitude contributed to cross-grade gains. The key results suggest fluent processing of numerator-denominator relations presages students’ understanding of fractions as magnitudes and that the integration of whole number and fraction magnitudes occurs gradually. PMID:27773965

  4. Model for Increasing the Power Obtained from a Thermoelectric Generator Module

    NASA Astrophysics Data System (ADS)

    Huang, Gia-Yeh; Hsu, Cheng-Ting; Yao, Da-Jeng

    2014-06-01

    We have developed a model for finding the most efficient way of increasing the power obtained from a thermoelectric generator (TEG) module with a variety of operating conditions and limitations. The model is based on both thermoelectric principles and thermal resistance circuits, because a TEG converts heat into electricity consistent with these two theories. It is essential to take into account thermal contact resistance when estimating power generation. Thermal contact resistance causes overestimation of the measured temperature difference between the hot and cold sides of a TEG in calculation of the theoretical power generated, i.e. the theoretical power is larger than the experimental power. The ratio of the experimental open-loop voltage to the measured temperature difference, the effective Seebeck coefficient, can be used to estimate the thermal contact resistance in the model. The ratio of the effective Seebeck coefficient to the theoretical Seebeck coefficient, the Seebeck coefficient ratio, represents the contact conditions. From this ratio, a relationship between performance and different variables can be developed. The measured power generated by a TEG module (TMH400302055; Wise Life Technology, Taiwan) is consistent with the result obtained by use of the model; the relative deviation is 10%. Use of this model to evaluate the most efficient means of increasing the generated power reveals that the TEG module generates 0.14 W when the temperature difference is 25°C and the Seebeck coefficient ratio is 0.4. Several methods can be used triple the amount of power generated. For example, increasing the temperature difference to 43°C generates 0.41 W power; improving the Seebeck coefficient ratio to 0.65 increases the power to 0.39 W; simultaneously increasing the temperature difference to 34°C and improving the Seebeck coefficient ratio to 0.5 increases the power to 0.41 W. Choice of the appropriate method depends on the limitations of system, the cost, and

  5. Increasing the lensing figure of merit through higher order convergence moments

    NASA Astrophysics Data System (ADS)

    Vicinanza, Martina; Cardone, Vincenzo F.; Maoli, Roberto; Scaramella, Roberto; Er, Xinzhong

    2018-01-01

    The unprecedented quality, the increased data set, and the wide area of ongoing and near future weak lensing surveys allows one to move beyond the standard two points statistics, thus making it worthwhile to investigate higher order probes. As an interesting step toward this direction, we explore the use of higher order moments (HOM) of the convergence field as a way to increase the lensing figure of merit (FoM). To this end, we rely on simulated convergence to first show that HOM can be measured and calibrated so that it is indeed possible to predict them for a given cosmological model provided suitable nuisance parameters are introduced and then marginalized over. We then forecast the accuracy on cosmological parameters from the use of HOM alone and in combination with standard shear power spectra tomography. It turns out that HOM allow one to break some common degeneracies, thus significantly boosting the overall FoM. We also qualitatively discuss possible systematics and how they can be dealt with.

  6. 25 CFR 11.1206 - Obtaining a regular (non-emergency) order of protection.

    Code of Federal Regulations, 2010 CFR

    2010-04-01

    ... COURTS OF INDIAN OFFENSES AND LAW AND ORDER CODE Child Protection and Domestic Violence Procedures § 11... act of domestic violence occurred, the court may issue an order of protection. The order must meet the... committed the act of domestic violence to refrain from acts or threats of violence against the petitioner or...

  7. 25 CFR 11.1206 - Obtaining a regular (non-emergency) order of protection.

    Code of Federal Regulations, 2011 CFR

    2011-04-01

    ... COURTS OF INDIAN OFFENSES AND LAW AND ORDER CODE Child Protection and Domestic Violence Procedures § 11... act of domestic violence occurred, the court may issue an order of protection. The order must meet the... committed the act of domestic violence to refrain from acts or threats of violence against the petitioner or...

  8. Assessing the order of magnitude of outcomes in single-arm cohorts through systematic comparison with corresponding cohorts: An example from the AMOS study

    PubMed Central

    Hamre, Harald J; Glockmann, Anja; Tröger, Wilfried; Kienle, Gunver S; Kiene, Helmut

    2008-01-01

    Background When a therapy has been evaluated in the first clinical study, the outcome is often compared descriptively to outcomes in corresponding cohorts receiving other treatments. Such comparisons are often limited to selected studies, and often mix different outcomes and follow-up periods. Here we give an example of a systematic comparison to all cohorts with identical outcomes and follow-up periods. Methods The therapy to be compared (anthroposophic medicine, a complementary therapy system) had been evaluated in one single-arm cohort study: the Anthroposophic Medicine Outcomes Study (AMOS). The five largest AMOS diagnosis groups (A-cohorts: asthma, depression, low back pain, migraine, neck pain) were compared to all retrievable corresponding cohorts (C-cohorts) receiving other therapies with identical outcomes (SF-36 scales or summary measures) and identical follow-up periods (3, 6 or 12 months). Between-group differences (pre-post difference in an A-cohort minus pre-post difference in the respective C-cohort) were divided with the standard deviation (SD) of the baseline score of the A-cohort. Results A-cohorts (5 cohorts with 392 patients) were similar to C-cohorts (84 cohorts with 16,167 patients) regarding age, disease duration, baseline affection and follow-up rates. A-cohorts had ≥ 0.50 SD larger improvements than C-cohorts in 13.5% (70/517) of comparisons; improvements of the same order of magnitude (small or minimal differences: -0.49 to 0.49 SD) were found in 80.1% of comparisons; and C-cohorts had ≥ 0.50 SD larger improvements than A-cohorts in 6.4% of comparisons. Analyses stratified by diagnosis had similar results. Sensitivity analyses, restricting the comparisons to C-cohorts with similar study design (observational studies), setting (primary care) or interventions (drugs, physical therapies, mixed), or restricting comparisons to SF-36 scales with small baseline differences between A- and C-cohorts (-0.49 to 0.49 SD) also had similar results

  9. Maximum magnitude in the Lower Rhine Graben

    NASA Astrophysics Data System (ADS)

    Vanneste, Kris; Merino, Miguel; Stein, Seth; Vleminckx, Bart; Brooks, Eddie; Camelbeeck, Thierry

    2014-05-01

    Estimating Mmax, the assumed magnitude of the largest future earthquakes expected on a fault or in an area, involves large uncertainties. No theoretical basis exists to infer Mmax because even where we know the long-term rate of motion across a plate boundary fault, or the deformation rate across an intraplate zone, neither predict how strain will be released. As a result, quite different estimates can be made based on the assumptions used. All one can say with certainty is that Mmax is at least as large as the largest earthquake in the available record. However, because catalogs are often short relative to the average recurrence time of large earthquakes, larger earthquakes than anticipated often occur. Estimating Mmax is especially challenging within plates, where deformation rates are poorly constrained, large earthquakes are rarer and variable in space and time, and often occur on previously unrecognized faults. We explore this issue for the Lower Rhine Graben seismic zone where the largest known earthquake, the 1756 Düren earthquake, has magnitude 5.7 and should occur on average about every 400 years. However, paleoseismic studies suggest that earthquakes with magnitudes up to 6.7 occurred during the Late Pleistocene and Holocene. What to assume for Mmax is crucial for critical facilities like nuclear power plants that should be designed to withstand the maximum shaking in 10,000 years. Using the observed earthquake frequency-magnitude data, we generate synthetic earthquake histories, and sample them over shorter intervals corresponding to the real catalog's completeness. The maximum magnitudes appearing most often in the simulations tend to be those of earthquakes with mean recurrence time equal to the catalog length. Because catalogs are often short relative to the average recurrence time of large earthquakes, we expect larger earthquakes than observed to date to occur. In a next step, we will compute hazard maps for different return periods based on the

  10. Rapid determination of the energy magnitude Me

    NASA Astrophysics Data System (ADS)

    di Giacomo, D.; Parolai, S.; Bormann, P.; Saul, J.; Grosser, H.; Wang, R.; Zschau, J.

    2009-04-01

    The magnitude of an earthquake is one of the most used parameters to evaluate the earthquake's damage potential. However, many magnitude scales developed over the past years have different meanings. Among the non-saturating magnitude scales, the energy magnitude Me is related to a well defined physical parameter of the seismic source, that is the radiated seismic energy ES (e.g. Bormann et al., 2002): Me = 2/3(log10 ES - 4.4). Me is more suitable than the moment magnitude Mw in describing an earthquake's shaking potential (Choy and Kirby, 2004). Indeed, Me is calculated over a wide frequency range of the source spectrum and represents a better measure of the shaking potential, whereas Mw is related to the low-frequency asymptote of the source spectrum and is a good measure of the fault size and hence of the static (tectonic) effect of an earthquake. The calculation of ES requires the integration over frequency of the squared P-waves velocity spectrum corrected for the energy loss experienced by the seismic waves along the path from the source to the receivers. To accout for the frequency-dependent energy loss, we computed spectral amplitude decay functions for different frequenciesby using synthetic Green's functions (Wang, 1999) based on the reference Earth model AK135Q (Kennett et al., 1995; Montagner and Kennett, 1996). By means of these functions the correction for the various propagation effects of the recorded P-wave velocity spectra is performed in a rapid and robust way, and the calculation of ES, and hence of Me, can be computed at the single station. We analyse teleseismic broadband P-waves signals in the distance range 20°-98°. We show that our procedure is suitable for implementation in rapid response systems since it could provide stable Me determinations within 10-15 minutes after the earthquake's origin time. Indeed, we use time variable cumulative energy windows starting 4 s after the first P-wave arrival in order to include the earthquake rupture

  11. Magnitude and behavior of cross-talk effects in multichannel electrophysiology experiments.

    PubMed

    Nelson, Matthew J; Valtcheva, Silvana; Venance, Laurent

    2017-07-01

    Modern neurophysiological experiments frequently involve multiple channels separated by very small distances. A unique methodological concern for multiple-electrode experiments is that of capacitive coupling (cross-talk) between channels. Yet the nature of the cross-talk recording circuit is not well known in the field, and the extent to which it practically affects neurophysiology experiments has never been fully investigated. Here we describe a simple electrical circuit model of simultaneous recording and stimulation with two or more channels and experimentally verify the model using ex vivo brain slice and in vivo whole-brain preparations. In agreement with the model, we find that cross-talk amplitudes increase nearly linearly with the impedance of a recording electrode and are larger for higher frequencies. We demonstrate cross-talk contamination of action potential waveforms from intracellular to extracellular channels, which is observable in part because of the different orders of magnitude between the channels. This contamination is electrode impedance-dependent and matches predictions from the model. We use recently published parameters to simulate cross-talk in high-density multichannel extracellular recordings. Cross-talk effectively spatially smooths current source density (CSD) estimates in these recordings and induces artefactual phase shifts where underlying voltage gradients occur; however, these effects are modest. We show that the effects of cross-talk are unlikely to affect most conclusions inferred from neurophysiology experiments when both originating and receiving electrode record signals of similar magnitudes. We discuss other types of experiments and analyses that may be susceptible to cross-talk, techniques for detecting and experimentally reducing cross-talk, and implications for high-density probe design. NEW & NOTEWORTHY We develop and experimentally verify an electrical circuit model describing cross-talk that necessarily occurs between

  12. SELECTION DYNAMICS IN JOINT MATCHING TO RATE AND MAGNITUDE OF REINFORCEMENT

    PubMed Central

    McDowell, J. J; Popa, Andrei; Calvin, Nicholas T

    2012-01-01

    Virtual organisms animated by a selectionist theory of behavior dynamics worked on concurrent random interval schedules where both the rate and magnitude of reinforcement were varied. The selectionist theory consists of a set of simple rules of selection, recombination, and mutation that act on a population of potential behaviors by means of a genetic algorithm. An extension of the power function matching equation, which expresses behavior allocation as a joint function of exponentiated reinforcement rate and reinforcer magnitude ratios, was fitted to the virtual organisms' data, and over a range of moderate mutation rates was found to provide an excellent description of their behavior without residual trends. The mean exponents in this range of mutation rates were 0.83 for the reinforcement rate ratio and 0.68 for the reinforcer magnitude ratio, which are values that are comparable to those obtained in experiments with live organisms. These findings add to the evidence supporting the selectionist theory, which asserts that the world of behavior we observe and measure is created by evolutionary dynamics. PMID:23008523

  13. Corneal higher-order aberrations and higher-order Strehl ratio after aberration-free ablation profile to treat compound myopic astigmatism.

    PubMed

    Brenner, Luis F

    2015-12-01

    To evaluate the changes in corneal higher-order aberrations (HOAs) and their impact on corneal higher-order Strehl ratio after aberration-free ablation profile. Verter Institute, H. Olhos, São Paulo, Brazil. Prospective interventional study. Eyes that had aberration-free myopic ablation were divided into 3 groups, based on the spherical equivalent (SE). The corneal HOAs and higher-order Strehl ratios were calculated before surgery and 3 months after surgery. The postoperative uncorrected-distance visual acuity, corrected-distance visual acuity, and SE did not present statistical differences among groups (88 eyes, P > .05). For a 6 mm pupil, the corneal HOA showed a mean increase of 0.17 μm (range 0.39 to 0.56 μm) (P < .001) and the corneal higher-order Strehl ratio presented a reduction of 0.03 (from 0.25 to 0.22) (P = .001). The following consistent linear predictive model was obtained: corneal HOA induction = 1.474 - 0.032 × SE - 0.225 × OZ, where OZ is the optical zone (R(2) = 0.49, adjusted R(2) = 0.48, P < .001). The corneal HOAs and the higher-order Strehl ratios deteriorated after moderate and high myopic ablations. The worsening in corneal aberrations and optical quality were related to the magnitude of the intended correction and did not affect high-contrast visual performance. The OZ was the only modifiable parameter capable to restrain the optical quality loss. The author has no financial or proprietary interest in any material or method mentioned. Copyright © 2015 ASCRS and ESCRS. Published by Elsevier Inc. All rights reserved.

  14. Number magnitude to finger mapping is disembodied and topological.

    PubMed

    Plaisier, Myrthe A; Smeets, Jeroen B J

    2011-03-01

    It has been shown that humans associate fingers with numbers because finger counting strategies interact with numerical judgements. At the same time, there is evidence that there is a relation between number magnitude and space as small to large numbers seem to be represented from left to right. In the present study, we investigated whether number magnitude to finger mapping is embodied (related to the order of fingers on the hand) or disembodied (spatial). We let healthy human volunteers name random numbers between 1 and 30, while simultaneously tapping a random finger. Either the hands were placed directly next to each other, 30 cm apart, or the hands were crossed such that the left hand was on the right side of the body mid-line. The results show that naming a smaller number than the previous one was associated with tapping a finger to the left of the previously tapped finger. This shows that there is a spatial (disembodied) mapping between number magnitude and fingers. Furthermore, we show that this mapping is topological rather than metrically scaled.

  15. Research on temperature characteristics of laser energy meter absorber irradiated by ms magnitude long pulse laser

    NASA Astrophysics Data System (ADS)

    Li, Nan; Qiao, Chunhong; Fan, Chengyu; Zhang, Jinghui; Yang, Gaochao

    2017-10-01

    The research on temperature characteristics for large-energy laser energy meter absorber is about continuous wave (CW) laser before. For the measuring requirements of millisecond magnitude long pulse laser energy, the temperature characteristics for absorber are numerically calculated and analyzed. In calculation, the temperature field distributions are described by heat conduction equations, and the metal cylinder cavity is used for absorber model. The results show that, the temperature of absorber inwall appears periodic oscillation with pulse structure, the oscillation period and amplitude respectively relate to the pulse repetition frequency and single pulse energy. With the wall deep increasing, the oscillation amplitude decreases rapidly. The temperature of absorber outerwall is without periodism, and rises gradually with time. The factors to affect the temperature rise of absorber are single pulse energy, pulse width and repetition frequency. When the laser irradiation stops, the temperature between absorber inwall and outerwall will reach agreement rapidly. After special technology processing to enhance the capacity of resisting laser damage for absorber inwall, the ms magnitude long pulse laser energy can be obtained with the method of measuring the temperature of absorber outerwall. Meanwhile, by optimization design of absorber structure, when the repetition frequency of ms magnitude pulse laser is less than 10Hz, the energy of every pulse for low repetition frequency pulse sequence can be measured. The work offers valuable references for the design of ms magnitude large-energy pulse laser energy meter.

  16. Mathematical support for surveying measurements in order to obtain the draft tube three-dimensional model

    NASA Astrophysics Data System (ADS)

    Gridan, Maria-Roberta; Herban, Sorin; Grecea, Oana

    2017-07-01

    Nowadays, the engineering companies and contractors are facing challenges never experienced before. They are being charged with - and being held liable for - the health of the structures they create and maintain. To surmount these challenges, engineers need to be able to measure structural movements up to millimetre level accuracy. Accurate and timely information on the status of a structure is highly valuable to engineers. It enables them to compare the real world behaviour of a structure against the design and theoretical models. When empowered by such data, engineers can effectively and cost efficiently measure and maintain the health of vital infrastructure. This paper presents the interpretation of the draft tube topographical measurements in order to obtain its 3D model. Based on the documents made available by the beneficiary and the data obtained in situ, the modernization conclusions were presented.

  17. Some efficient methods for obtaining infinite series solutions of n-th order linear ordinary differential equations

    NASA Technical Reports Server (NTRS)

    Allen, G.

    1972-01-01

    The use of the theta-operator method and generalized hypergeometric functions in obtaining solutions to nth-order linear ordinary differential equations is explained. For completeness, the analysis of the differential equation to determine whether the point of expansion is an ordinary point or a regular singular point is included. The superiority of the two methods shown over the standard method is demonstrated by using all three of the methods to work out several examples. Also included is a compendium of formulae and properties of the theta operator and generalized hypergeometric functions which is complete enough to make the report self-contained.

  18. Structure of the Large Magellanic Cloud from near infrared magnitudes of red clump stars

    NASA Astrophysics Data System (ADS)

    Subramanian, S.; Subramaniam, A.

    2013-04-01

    Context. The structural parameters of the disk of the Large Magellanic Cloud (LMC) are estimated. Aims: We used the JH photometric data of red clump (RC) stars from the Magellanic Cloud Point Source Catalog (MCPSC) obtained from the InfraRed Survey Facility (IRSF) to estimate the structural parameters of the LMC disk, such as the inclination, i, and the position angle of the line of nodes (PAlon), φ. Methods: The observed LMC region is divided into several sub-regions, and stars in each region are cross-identified with the optically identified RC stars to obtain the near infrared magnitudes. The peak values of H magnitude and (J - H) colour of the observed RC distribution are obtained by fitting a profile to the distributions and by taking the average value of magnitude and colour of the RC stars in the bin with largest number. Then the dereddened peak H0 magnitude of the RC stars in each sub-region is obtained from the peak values of H magnitude and (J - H) colour of the observed RC distribution. The right ascension (RA), declination (Dec), and relative distance from the centre of each sub-region are converted into x,y, and z Cartesian coordinates. A weighted least square plane fitting method is applied to this x,y,z data to estimate the structural parameters of the LMC disk. Results: An intrinsic (J - H)0 colour of 0.40 ± 0.03 mag in the Simultaneous three-colour InfraRed Imager for Unbiased Survey (SIRIUS) IRSF filter system is estimated for the RC stars in the LMC and a reddening map based on (J - H) colour of the RC stars is presented. When the peaks of the RC distribution were identified by averaging, an inclination of 25°.7 ± 1°.6 and a PAlon = 141°.5 ± 4°.5 were obtained. We estimate a distance modulus, μ = 18.47 ± 0.1 mag to the LMC. Extra-planar features which are both in front and behind the fitted plane are identified. They match with the optically identified extra-planar features. The bar of the LMC is found to be part of the disk within 500

  19. Moment Magnitude discussion in Austria

    NASA Astrophysics Data System (ADS)

    Weginger, Stefan; Jia, Yan; Hausmann, Helmut; Lenhardt, Wolfgang

    2017-04-01

    We implemented and tested the Moment Magnitude estimation „dbmw" from the University of Trieste in our Antelope near real-time System. It is used to get a fast Moment Magnitude solutions and Ground Motion Parameter (PGA, PGV, PSA 0.3, PSA 1.0 and PSA 3.0) to calculate Shake and Interactive maps. A Moment Magnitude Catalogue was generated and compared with the Austrian Earthquake Catalogue and all available Magnitude solution of the neighbouring agencies. Relations of Mw to Ml and Ground Motion to Intensity are presented.

  20. Local magnitude scale for Valle Medio del Magdalena region, Colombia

    NASA Astrophysics Data System (ADS)

    Londoño, John Makario; Romero, Jaime A.

    2017-12-01

    A local Magnitude (ML) scale for Valle Medio del Magdalena (VMM) region was defined by using 514 high quality earthquakes located at VMM area and inversion of 2797 amplitude values of horizontal components of 17 stations seismic broad band stations, simulated in a Wood-Anderson seismograph. The derived local magnitude scale for VMM region was: ML =log(A) + 1.3744 ∗ log(r) + 0.0014776 ∗ r - 2.397 + S Where A is the zero-to-peak amplitude in nm in horizontal components, r is the hypocentral distance in km, and S is the station correction. Higher values of ML were obtained for VMM region compared with those obtained with the current formula used for ML determination, and with California formula. With this new scale ML values are adjusted to local conditions beneath VMM region leading to more realistic ML values. Moreover, with this new ML scale the seismicity caused by tectonic or fracking activity at VMM region can be monitored more accurately.

  1. A stress-controlled mechanism for the intensity of very large magnitude explosive eruptions

    NASA Astrophysics Data System (ADS)

    Costa, A.; Gottsmann, J.; Melnik, O.; Sparks, R. S. J.

    2011-10-01

    Large magnitude explosive eruptions are the result of the rapid and large-scale transport of silicic magma stored in the Earth's crust, but the mechanics of erupting teratonnes of silicic magma remain poorly understood. Here, we demonstrate that the combined effect of local crustal extension and magma chamber overpressure can sustain linear dyke-fed explosive eruptions with mass fluxes in excess of 10 10 kg/s from shallow-seated (4-6 km depth) chambers during moderate extensional stresses. Early eruption column collapse is facilitated with eruption duration of the order of few days with an intensity of at least one order of magnitude greater than the largest eruptions in the 20th century. The conditions explored in this study are one way in which high mass eruption rates can be achieved to feed large explosive eruptions. Our results corroborate geological and volcanological evidences from volcano-tectonic complexes such as the Sierra Madre Occidental (Mexico) and the Taupo Volcanic Zone (New Zealand).

  2. Natural time analysis of global seismicity: the identification of magnitude correlations.

    NASA Astrophysics Data System (ADS)

    Sarlis, N. V.; Christopoulos, S.-R. G.

    2012-04-01

    Natural time [1-6] can reveal novel dynamical features hidden behind the time series of complex systems, for a review see Ref.[7]. In a time series comprising N earthquakes, the natural time χk = k/N serves as an index for the occurrence of the k-th event[1, 5, 6], and is smaller than or equal to unity. In natural time analysis of seismicity, the evolution of the pair of two quantities (χk, Ek) is considered, where Ek denotes the energy emitted during the k-th earthquake. It has been proposed[5] that the variance κ1 of natural time can play the role of an order parameter for seismicity. Moreover, when using natural time the identification of temporal correlations -even in the presence of heavy tails in the data- becomes possible[6]. Thus, natural time analysis enables the identification of magnitude correlations between successive earthquakes[8]. By analyzing in natural time[9] the worldwide seismicity from the Harvard Global Centroid Moment Tensor Catalog as reported by the United States Geological Survey as well as the most recent version (1900-2007) of the Centennial earthquake Catalog[10], we find non-trivial magnitude correlations for earthquakes of magnitude greater than or equal to 7.

  3. The population, magnitudes, and sizes of Jupiter family comets

    NASA Astrophysics Data System (ADS)

    Fernández, J. A.; Tancredi, G.; Rickman, H.; Licandro, J.

    1999-12-01

    detected. A similar trend is noted for the corresponding absolute total magnitudes H_T taken from Kresák & Kresáková's (1994) catalog. By analyzing the H_N and H_T data, and trends in the discovery rate of JF comets as a function of their perihelion distances, the overall population of JF comets within Jupiter's region (q < 5.2 AU) up to an absolute nuclear magnitude H_N = 18.5 is estimated to be from several thousand to about 104 members. The q-distribution of JF comets shows a steep increase with q, which is consistent with JF comets coming from a flat intermediate source in the Jupiter-Saturn region.

  4. An Updated Catalog of Taiwan Earthquakes (1900-2011) with Homogenized Mw Magnitudes

    NASA Astrophysics Data System (ADS)

    Chen, K.; Tsai, Y.; Chang, W.

    2012-12-01

    A complete and consistent catalog of earthquakes can provide good data for studying the distribution of earthquakes in a region as function of space, time and magnitude. Therefore, it is a basic tool for studying seismic hazard and mitigating hazard, and we can get the seismicity with magnitude equal to or greater than Mw from the data set. In the article for completeness and consistence, we apply a catalog of earthquakes from 1900 to 2006 with homogenized magnitude (Mw) (Chen and Tsai, 2008) as a base, and we also refer to the Hsu (1989) to incorporate available supplementary data (total 188 data) for the period 1900-1935, the supplementary data lead the cutoff threshold magnitude to be from Mw 5.5 down to 5.0, this indicates that we add the additional data has enriched the magnitude > 5.0 content. For this study, the catalog has been updated to include earthquakes up to 2011, and it is complete for Mw > 5.0, this will increase the reliability for studying seismic hazard. It is found that it is saturated for original catalog of Taiwan earthquakes compared with Harvard Mw or USGS M for magnitude > 6.5. Although, we modified the original catalog into seismic moment magnitude Mw, it still does not overcome the drawback. But, it is found for Mw < 6.5, our unified Mw are most greater than Harvard Mw or USGS M, the phenomenon indicates our unified Mw to supplement the gap above magnitude > 6.0 and somewhere magnitude > 5.5 during the time period 1973-1991 for original catalog. Therefore, it is better with Mw to report the earthquake magnitude.

  5. Effects of pacing magnitudes and forms on bistability width in a modeled ventricular tissue

    NASA Astrophysics Data System (ADS)

    Huang, Xiaodong; Liu, Xuemei; Zheng, Lixian; Mi, Yuanyuan; Qian, Yu

    2013-07-01

    Bistability in periodically paced cardiac tissue is relevant to cardiac arrhythmias and its control. In the present paper, one-dimensional tissue of the phase I Luo-Rudy model is numerically investigated. The effects of various parameters of pacing signals on bistability width are studied. The following conclusions are obtained: (i) Pacing can be classified into two types: pulsatile and sinusoidal types. Pulsatile pacing reduces bistability width as its magnitude is increased. Sinusoidal pacing increases the width as its amplitude is increased. (ii) In a pacing period the hyperpolarizing part plays a more important role than the depolarizing part. Variations of the hyperpolarizing ratio in a period evidently change the width of bistability and its variation tendency. (iii) A dynamical mechanism is proposed to qualitatively explain the phenomena, which reveals the reason for the different effects of pulsatile and sinusoidal pacing on bistability. The methods for changing bistability width by external pacing may help control arrhythmias in cardiology.

  6. [Low magnitude whole-body vibration and postmenopausal osteoporosis].

    PubMed

    Li, Huiming; Li, Liang

    2018-04-01

    Postmenopausal osteoporosis is a type of osteoporosis with high bone transformation rate, caused by a decrease of estrogen in the body, which is a systemic bone disease characterized by decreased bone mass and increased risk of fracture. In recent years, as a kind of non-pharmacologic treatment of osteoporosis, defined by whole-body vibration less than 1 g ( g = 9.81 m/s 2 ), low magnitude whole-body vibration is widely concerned, mainly because of its small side effects, simple operation and relative safety. Studies have shown that low magnitude whole-body vibration can improve bone strength, bone volume and bone density. But a lot of research found that, the therapeutic effects of low magnitude whole-body vibration are different depending on ages and hormone levels of subjects for animal models or human patients. There has been no definite vibration therapy can be applied to each subject so far. Studies of whole-body and cellular level suggest that low magnitude whole-body vibration stimulation is likely to be associated with changes of hormone levels and directed differentiation of stem cells. Based on the analysis of related literature in recent years, this paper made a review from vibration parameters, vibration effects and the mechanisms, to provide scientific basis and clinical guidance for the treatment of postmenopausal osteoporosis with low magnitude whole-body vibration.

  7. Phytochemical Screening: Antioxidant and Antibacterial Properties of Potamogeton Species in Order to Obtain Valuable Feed Additives.

    PubMed

    Lupoae, Paul; Cristea, Victor; Borda, Daniela; Lupoae, Mariana; Gurau, Gabriela; Dinica, Rodica Mihaela

    2015-01-01

    The alcoholic extracts from three submerged perennial plants Potamogeton crispus L., P. pusillus L. and P. pectinatus L. were analyzed by gas chromatography-mass spectrometry coupled with solid phase microextraction (SPME-GC/MS) and by High Performance Liquid Chromatography (HPLC) and their volatile fingerprint and polyphenols composition was mutually compared. Twenty-nine chemical compounds were detected and identified in ethanolic and methanolic extracts; the highest abundance (over 5%) in descending order, was detected for 9,9-dimethyl-8,10- dioxapentacyclo (5,3,0(2,5) 0(3,5,)0 (3,6) decane (21.65%), phenol 2,6 bis (1,1 dimethyletyl) 4-1-methylpropil (20.8%), pentadecanoic acid (14.3%), 2-(5-chloro-2-Methoxyphenyl) pyrrole (8.66%), propanedioic (malonic) acid 2-(4-methylphenyl) sulfonyl ethylidene (5.77%), 2 hydroxy-3 tert butyl-5-isopropyl-6 methyl phenyl ketone (5.76%). The highest total polyphenols and flavonoids content was found in the methanolic extract of P. crispus (112.5±0.5 mg tannic acid/g dry extract; 64.2±1.2 mg quercitin/g dry extract). Antioxidant activities (2,2-difenil-1-picrilhidrazil, hydrogen peroxide and reducing power assays) of obtained extracts are comparable with the standard compounds, butylated hydroxytoluene, rutin and ascorbic acid. Antibacterial efficiency of methanolic extracts was notably demonstrated against Gram negative (Escherichia coli, Enterobacter hormaechei) and Gram positive bacteria (Enterococcus casseliflavus). The data reported for the first time for Romanian Potamogeton species, provides extensive support for the chemical investigations of these plants of the aquatic anthropogene ecosystems in order to obtain valuable bioadditives for animal feed and/or pharmaceutical/food industry.

  8. CALIBRATION OF THE MEARTH PHOTOMETRIC SYSTEM: OPTICAL MAGNITUDES AND PHOTOMETRIC METALLICITY ESTIMATES FOR 1802 NEARBY M-DWARFS

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Dittmann, Jason A.; Irwin, Jonathan M.; Charbonneau, David

    The MEarth Project is a photometric survey systematically searching the smallest stars near the Sun for transiting rocky planets. Since 2008, MEarth has taken approximately two million images of 1844 stars suspected to be mid-to-late M dwarfs. We have augmented this survey by taking nightly exposures of photometric standard stars and have utilized this data to photometrically calibrate the MEarth system, identify photometric nights, and obtain an optical magnitude with 1.5% precision for each M dwarf system. Each optical magnitude is an average over many years of data, and therefore should be largely immune to stellar variability and flaring. Wemore » combine this with trigonometric distance measurements, spectroscopic metallicity measurements, and 2MASS infrared magnitude measurements in order to derive a color–magnitude–metallicity relation across the mid-to-late M dwarf spectral sequence that can reproduce spectroscopic metallicity determinations to a precision of 0.1 dex. We release optical magnitudes and metallicity estimates for 1567 M dwarfs, many of which did not have an accurate determination of either prior to this work. For an additional 277 stars without a trigonometric parallax, we provide an estimate of the distance, assuming solar neighborhood metallicity. We find that the median metallicity for a volume-limited sample of stars within 20 pc of the Sun is [Fe/H] = −0.03 ± 0.008, and that 29/565 of these stars have a metallicity of [Fe/H] = −0.5 or lower, similar to the low-metallicity distribution of nearby G dwarfs. When combined with the results of ongoing and future planet surveys targeting these objects, the metallicity estimates presented here will be important for assessing the significance of any putative planet–metallicity correlation.« less

  9. Optical confirmation of Gaia18ayp brightness increase

    NASA Astrophysics Data System (ADS)

    Spano, M.; Blanco-Cuaresma, S.; Roelens, M.; Mowlavi, N.; Eyer, L.

    2018-04-01

    We report confirmation of Gaia_Science_Alerts, brightness increase of the QSO [VV2006] J233633.0-411547, Gaia18ayp . Images were obtained through modified Gunn R and V band filter of the ECAM instrument installed on the Swiss 1.2m Euler telescope at La Silla, on 2018 April 21- 22. Magnitudes according to the MJD of observations.

  10. Far-field tsunami magnitude determined from ocean-bottom pressure gauge data around Japan

    NASA Astrophysics Data System (ADS)

    Baba, T.; Hirata, K.; Kaneda, Y.

    2003-12-01

    \\hspace*{3mm}Tsunami magnitude is the most fundamental parameter to scale tsunamigenic earthquakes. According to Abe (1979), the tsunami magnitude, Mt, is empirically related to the crest to trough amplitude, H, of the far-field tsunami wave in meters (Mt = logH + 9.1). Here we investigate the far-field tsunami magnitude using ocean-bottom pressure gauge data. The recent ocean-bottom pressure measurements provide more precise tsunami data with a high signal-to-noise ratio. \\hspace*{3mm}Japan Marine Science and Technology Center is monitoring ocean bottom pressure fluctuations using two submarine cables of depths of 1500 - 2400 m. These geophysical observatory systems are located off Cape Muroto, Southwest Japan, and off Hokkaido, Northern Japan. The ocean-bottom pressure data recorded with the Muroto and Hokkaido systems have been collected continuously since March, 1997 and October, 1999, respectively. \\hspace*{3mm}Over the period from March 1997 to June 2003, we have observed four far-field tsunami signals, generated by earthquakes, on ocean-bottom pressure records. These far-field tsunamis were generated by the 1998 Papua New Guinea eq. (Mw 7.0), 1999 Vanuatu eq. (Mw 7.2), 2001 Peru eq. (Mw 8.4) and 2002 Papua New Guinea eq. (Mw 7.6). Maximum amplitude of about 30 mm was recorded by the tsunami from the 2001 Peru earthquake. \\hspace*{3mm}Direct application of the Abe's empirical relation to ocean-bottom pressure gauge data underestimates tsunami magnitudes by about an order of magnitude. This is because the Abe's empirical relation was derived only from tsunami amplitudes with coastal tide gauges where tsunami is amplified by the shoaling of topography and the reflection at the coastline. However, these effects do not work for offshore tsunami in deep oceans. In general, amplification due to shoaling near the coastline is governed by the Green's Law, in which the tsunami amplitude is proportional to h-1/4, where h is the water depth. Wave amplitude also is

  11. A Bayesian perspective on magnitude estimation.

    PubMed

    Petzschner, Frederike H; Glasauer, Stefan; Stephan, Klaas E

    2015-05-01

    Our representation of the physical world requires judgments of magnitudes, such as loudness, distance, or time. Interestingly, magnitude estimates are often not veridical but subject to characteristic biases. These biases are strikingly similar across different sensory modalities, suggesting common processing mechanisms that are shared by different sensory systems. However, the search for universal neurobiological principles of magnitude judgments requires guidance by formal theories. Here, we discuss a unifying Bayesian framework for understanding biases in magnitude estimation. This Bayesian perspective enables a re-interpretation of a range of established psychophysical findings, reconciles seemingly incompatible classical views on magnitude estimation, and can guide future investigations of magnitude estimation and its neurobiological mechanisms in health and in psychiatric diseases, such as schizophrenia. Copyright © 2015 Elsevier Ltd. All rights reserved.

  12. Development of magnitude scaling relationship for earthquake early warning system in South Korea

    NASA Astrophysics Data System (ADS)

    Sheen, D.

    2011-12-01

    Seismicity in South Korea is low and magnitudes of recent earthquakes are mostly less than 4.0. However, historical earthquakes of South Korea reveal that many damaging earthquakes had occurred in the Korean Peninsula. To mitigate potential seismic hazard in the Korean Peninsula, earthquake early warning (EEW) system is being installed and will be operated in South Korea in the near future. In order to deliver early warnings successfully, it is very important to develop stable magnitude scaling relationships. In this study, two empirical magnitude relationships are developed from 350 events ranging in magnitude from 2.0 to 5.0 recorded by the KMA and the KIGAM. 1606 vertical component seismograms whose epicentral distances are within 100 km are chosen. The peak amplitude and the maximum predominant period of the initial P wave are used for finding magnitude relationships. The peak displacement of seismogram recorded at a broadband seismometer shows less scatter than the peak velocity of that. The scatters of the peak displacement and the peak velocity of accelerogram are similar to each other. The peak displacement of seismogram differs from that of accelerogram, which means that two different magnitude relationships for each type of data should be developed. The maximum predominant period of the initial P wave is estimated after using two low-pass filters, 3 Hz and 10 Hz, and 10 Hz low-pass filter yields better estimate than 3 Hz. It is found that most of the peak amplitude and the maximum predominant period are estimated within 1 sec after triggering.

  13. The birth order puzzle.

    PubMed

    Zajonc, R B; Markus, H; Markus, G B

    1979-08-01

    Studies relating intellectual performance to birth order report conflicting results, some finding intellectual scores to increase, others to decrease with birth order. In contrast, the relationship between intellectual performance and family size is stable and consistently replicable. Why do these two highly related variables generate such divergent results? This birth order puzzle is resolved by means of the confluence model that quantifies the influences upon intellectual growth arising within the family context. At the time of a new birth, two opposing influences act upon intellectual growth of the elder sibling: (a) his or her intellectual environment is "diluted" and (b) he or she loses the "last-born's handicap" and begins serving as an intellectual resource to the younger sibling. Since these opposite effects are not equal in magnitude, the differences in intellectual performance among birth ranks are shown to be age dependent. While elder children may surpass their younger siblings in intellectual performance at some ages, they may be overtaken by them at others. Thus when age is taken into consideration, the birth order literature loses its chaotic character and an orderly pattern of results emerges.

  14. Calibration of the local magnitude scale ( M L ) for Peru

    NASA Astrophysics Data System (ADS)

    Condori, Cristobal; Tavera, Hernando; Marotta, Giuliano Sant'Anna; Rocha, Marcelo Peres; França, George Sand

    2017-07-01

    We propose a local magnitude scale ( M L ) for Peru, based on the original Richter definition, using 210 seismic events between 2011 and 2014, recorded by 35 broadband stations of the National Seismic Network operated by the Geophysical Institute of Peru. In the solution model, we considered 1057 traces of maximum amplitude records on the vertical channel from simulated Wood-Anderson seismograms of shallow events (depths between 0 and 60 km) and hypocentral distances less than 600 km. The attenuation factor has been evaluated in terms of geometrical spreading and anelastic attenuation coefficients. The magnitude M L was defined as M L = L o g 10 A W A +1.5855 L o g 10( R/100)+0.0008( R-100)+3± S, where, A W A is the displacement amplitude in millimeters (Wood-Anderson), R is the hypocentral distance (km), and S is the station correction. The results obtained for M L have good correlation with the m b , M s and M w values reported the ISC and NEIC. The anelastic attenuation curve obtained has a similar behavior to that other highly seismic regions. Station corrections were determined for all stations during the regression analysis resulting in values ranging between -0.97 and +0.73, suggesting a strong influence of local site effects on amplitude.

  15. Has the magnitude of floods across the USA changed with global CO2 levels?

    USGS Publications Warehouse

    Hirsch, Robert M.; Ryberg, Karen R.

    2012-01-01

    Statistical relationships between annual floods at 200 long-term (85–127 years of record) streamgauges in the coterminous United States and the global mean carbon dioxide concentration (GMCO2) record are explored. The streamgauge locations are limited to those with little or no regulation or urban development. The coterminous US is divided into four large regions and stationary bootstrapping is used to evaluate if the patterns of these statistical associations are significantly different from what would be expected under the null hypothesis that flood magnitudes are independent of GMCO2. In none of the four regions defined in this study is there strong statistical evidence for flood magnitudes increasing with increasing GMCO2. One region, the southwest, showed a statistically significant negative relationship between GMCO2 and flood magnitudes. The statistical methods applied compensate both for the inter-site correlation of flood magnitudes and the shorter-term (up to a few decades) serial correlation of floods.

  16. Has the magnitude of floods across the USA changed with global CO 2 levels?

    USGS Publications Warehouse

    Hirsch, R.M.; Ryberg, K.R.

    2012-01-01

    Statistical relationships between annual floods at 200 long-term (85-127 years of record) streamgauges in the coterminous United States and the global mean carbon dioxide concentration (GMCO2) record are explored. The streamgauge locations are limited to those with little or no regulation or urban development. The coterminous US is divided into four large regions and stationary bootstrapping is used to evaluate if the patterns of these statistical associations are significantly different from what would be expected under the null hypothesis that flood magnitudes are independent of GMCO2. In none of the four regions defined in this study is there strong statistical evidence for flood magnitudes increasing with increasing GMCO2. One region, the southwest, showed a statistically significant negative relationship between GMCO2 and flood magnitudes. The statistical methods applied compensate both for the inter-site correlation of flood magnitudes and the shorter-term (up to a few decades) serial correlation of floods.

  17. Deformation mechanisms of bent Si nanowires governed by the sign and magnitude of strain

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Wang, Lihua, E-mail: wlh@bjut.edu.cn, E-mail: xdhan@bjut.edu.cn, E-mail: j.zou@uq.edu.au; Materials Engineering, The University of Queensland, Brisbane, QLD 4072; Kong, Deli

    2016-04-11

    In this study, the deformation mechanisms of bent Si nanowires are investigated at the atomic scale with bending strain up to 12.8%. The sign and magnitude of the applied strain are found to govern their deformation mechanisms, in which the dislocation types (full or partial dislocations) can be affected by the sign (tensile or compressive) and magnitude of the applied strain. In the early stages of bending, plastic deformation is controlled by 60° full dislocations. As the bending increases, Lomer dislocations can be frequently observed. When the strain increases to a significant level, 90° partial dislocations induced from the tensilemore » surfaces of the bent nanowires are observed. This study provides a deeper understanding of the effect of the sign and magnitude of the bending strain on the deformation mechanisms in bent Si nanowires.« less

  18. A new dataset of Wood Anderson magnitude from the Trieste (Italy) seismic station

    NASA Astrophysics Data System (ADS)

    Sandron, Denis; Gentile, G. Francesco; Gentili, Stefania; Rebez, Alessandro; Santulin, Marco; Slejko, Dario

    2014-05-01

    The standard torsion Wood Anderson (WA) seismograph owes its fame to the fact that historically it has been used for the definition of the magnitude of an earthquake (Richter, 1935). With the progress of the technology, digital broadband (BB) seismographs replaced it. However, for historical consistency and homogeneity with the old seismic catalogues, it is still important continuing to compute the so called Wood Anderson magnitude. In order to evaluate WA magnitude, the synthetic seismograms WA equivalent are simulated convolving the waveforms recorded by a BB instrument with a suitable transfer function. The value of static magnification that should be applied in order to simulate correctly the WA instrument is debated. The original WA instrument in Trieste operated from 1971 to 1992 and the WA magnitude (MAW) estimates were regularly reported in the seismic station bulletins. The calculation of the local magnitude was performed following the Richter's formula (Richter, 1935), using the table of corrections factor unmodified from those calibrated for California and without station correction applied (Finetti, 1972). However, the WA amplitudes were computed as vector sum rather than arithmetic average of the horizontal components, resulting in a systematic overestimation of approximately 0.25, depending on the azimuth. In this work, we have retrieved the E-W and N-S components of the original recordings and re-computed MAW according to the original Richter (1935) formula. In 1992, the WA recording were stopped, due to the long time required for the daily development of the photographic paper, the costs of the photographic paper and the progress of the technology. After a decade of interruption, the WA was recovered and modernized by replacing the recording on photographic paper with an electronic device and it continues presently to record earthquakes. The E-W and N-S components records were memorized, but not published till now. Since 2004, next to the WA (few

  19. Previous Cocaine Exposure Makes Rats Hypersensitive to Both Delay and Reward Magnitude

    PubMed Central

    Roesch, Matthew R.; Takahashi, Yuji; Gugsa, Nishan; Bissonette, Gregory B.; Schoenbaum, Geoffrey

    2008-01-01

    Animals prefer an immediate over a delayed reward, just as they prefer a large over a small reward. Exposure to psychostimulants causes long-lasting changes in structures critical for this behavior and might disrupt normal time-discounting performance. To test this hypothesis, we exposed rats to cocaine daily for 2 weeks (30 mg/kg, i.p.). Approximately 6 weeks later, we tested them on a variant of a time-discounting task, in which the rats responded to one of two locations to obtain reward while we independently manipulated the delay to reward and reward magnitude. Performance did not differ between cocaine-treated and saline-treated (control) rats when delay lengths and reward magnitudes were equal at the two locations. However, cocaine-treated rats were significantly more likely to shift their responding when we increased the delay or reward size asymmetrically. Furthermore, they were slower to respond and made more errors when forced to the side associated with the lower value. We conclude that previous exposure to cocaine makes choice behavior hypersensitive to differences in the time to and size of available rewards, consistent with a general effect of cocaine exposure on reward valuation mechanisms. PMID:17202492

  20. Previous cocaine exposure makes rats hypersensitive to both delay and reward magnitude.

    PubMed

    Roesch, Matthew R; Takahashi, Yuji; Gugsa, Nishan; Bissonette, Gregory B; Schoenbaum, Geoffrey

    2007-01-03

    Animals prefer an immediate over a delayed reward, just as they prefer a large over a small reward. Exposure to psychostimulants causes long-lasting changes in structures critical for this behavior and might disrupt normal time-discounting performance. To test this hypothesis, we exposed rats to cocaine daily for 2 weeks (30 mg/kg, i.p.). Approximately 6 weeks later, we tested them on a variant of a time-discounting task, in which the rats responded to one of two locations to obtain reward while we independently manipulated the delay to reward and reward magnitude. Performance did not differ between cocaine-treated and saline-treated (control) rats when delay lengths and reward magnitudes were equal at the two locations. However, cocaine-treated rats were significantly more likely to shift their responding when we increased the delay or reward size asymmetrically. Furthermore, they were slower to respond and made more errors when forced to the side associated with the lower value. We conclude that previous exposure to cocaine makes choice behavior hypersensitive to differences in the time to and size of available rewards, consistent with a general effect of cocaine exposure on reward valuation mechanisms.

  1. Outcome Probability versus Magnitude: When Waiting Benefits One at the Cost of the Other

    PubMed Central

    Young, Michael E.; Webb, Tara L.; Rung, Jillian M.; McCoy, Anthony W.

    2014-01-01

    Using a continuous impulsivity and risk platform (CIRP) that was constructed using a video game engine, choice was assessed under conditions in which waiting produced a continuously increasing probability of an outcome with a continuously decreasing magnitude (Experiment 1) or a continuously increasing magnitude of an outcome with a continuously decreasing probability (Experiment 2). Performance in both experiments reflected a greater desire for a higher probability even though the corresponding wait times produced substantive decreases in overall performance. These tendencies are considered to principally reflect hyperbolic discounting of probability, power discounting of magnitude, and the mathematical consequences of different response rates. Behavior in the CIRP is compared and contrasted with that in the Balloon Analogue Risk Task (BART). PMID:24892657

  2. A moment-tensor catalog for intermediate magnitude earthquakes in Mexico

    NASA Astrophysics Data System (ADS)

    Rodríguez Cardozo, Félix; Hjörleifsdóttir, Vala; Martínez-Peláez, Liliana; Franco, Sara; Iglesias Mendoza, Arturo

    2016-04-01

    Located among five tectonic plates, Mexico is one of the world's most seismically active regions. The earthquake focal mechanisms provide important information on the active tectonics. A widespread technique for estimating the earthquake magnitud and focal mechanism is the inversion for the moment tensor, obtained by minimizing a misfit function that estimates the difference between synthetic and observed seismograms. An important element in the estimation of the moment tensor is an appropriate velocity model, which allows for the calculation of accurate Green's Functions so that the differences between observed and synthetics seismograms are due to the source of the earthquake rather than the velocity model. However, calculating accurate synthetic seismograms gets progressively more difficult as the magnitude of the earthquakes decreases. Large earthquakes (M>5.0) excite waves of longer periods that interact weakly with lateral heterogeneities in the crust. For these events, using 1D velocity models to compute Greens functions works well and they are well characterized by seismic moment tensors reported in global catalogs (eg. USGS fast moment tensor solutions and GCMT). The opposite occurs for small and intermediate sized events, where the relatively shorter periods excited interact strongly with lateral heterogeneities in the crust and upper mantle. To accurately model the Green's functions for the smaller events in a large heterogeneous area, requires 3D or regionalized 1D models. To obtain a rapid estimate of earthquake magnitude, the National Seismological Survey in Mexico (Servicio Sismológico Nacional, SSN) automatically calculates seismic moment tensors for events in the Mexican Territory (Franco et al., 2002; Nolasco-Carteño, 2006). However, for intermediate-magnitude and small earthquakes the signal-to-noise ratio could is low for many of the seismic stations, and without careful selection and filtering of the data, obtaining a stable focal mechanism

  3. Regional Triggering of Volcanic Activity Following Large Magnitude Earthquakes

    NASA Astrophysics Data System (ADS)

    Hill-Butler, Charley; Blackett, Matthew; Wright, Robert

    2015-04-01

    There are numerous reports of a spatial and temporal link between volcanic activity and high magnitude seismic events. In fact, since 1950, all large magnitude earthquakes have been followed by volcanic eruptions in the following year - 1952 Kamchatka M9.2, 1960 Chile M9.5, 1964 Alaska M9.2, 2004 & 2005 Sumatra-Andaman M9.3 & M8.7 and 2011 Japan M9.0. While at a global scale, 56% of all large earthquakes (M≥8.0) in the 21st century were followed by increases in thermal activity. The most significant change in volcanic activity occurred between December 2004 and April 2005 following the M9.1 December 2004 earthquake after which new eruptions were detected at 10 volcanoes and global volcanic flux doubled over 52 days (Hill-Butler et al. 2014). The ability to determine a volcano's activity or 'response', however, has resulted in a number of disparities with <50% of all volcanoes being monitored by ground-based instruments. The advent of satellite remote sensing for volcanology has, therefore, provided researchers with an opportunity to quantify the timing, magnitude and character of volcanic events. Using data acquired from the MODVOLC algorithm, this research examines a globally comparable database of satellite-derived radiant flux alongside USGS NEIC data to identify changes in volcanic activity following an earthquake, February 2000 - December 2012. Using an estimate of background temperature obtained from the MODIS Land Surface Temperature (LST) product (Wright et al. 2014), thermal radiance was converted to radiant flux following the method of Kaufman et al. (1998). The resulting heat flux inventory was then compared to all seismic events (M≥6.0) within 1000 km of each volcano to evaluate if changes in volcanic heat flux correlate with regional earthquakes. This presentation will first identify relationships at the temporal and spatial scale, more complex relationships obtained by machine learning algorithms will then be examined to establish favourable

  4. Reduced-order modeling of piezoelectric energy harvesters with nonlinear circuits under complex conditions

    NASA Astrophysics Data System (ADS)

    Xiang, Hong-Jun; Zhang, Zhi-Wei; Shi, Zhi-Fei; Li, Hong

    2018-04-01

    A fully coupled modeling approach is developed for piezoelectric energy harvesters in this work based on the use of available robust finite element packages and efficient reducing order modeling techniques. At first, the harvester is modeled using finite element packages. The dynamic equilibrium equations of harvesters are rebuilt by extracting system matrices from the finite element model using built-in commands without any additional tools. A Krylov subspace-based scheme is then applied to obtain a reduced-order model for improving simulation efficiency but preserving the key features of harvesters. Co-simulation of the reduced-order model with nonlinear energy harvesting circuits is achieved in a system level. Several examples in both cases of harmonic response and transient response analysis are conducted to validate the present approach. The proposed approach allows to improve the simulation efficiency by several orders of magnitude. Moreover, the parameters used in the equivalent circuit model can be conveniently obtained by the proposed eigenvector-based model order reduction technique. More importantly, this work establishes a methodology for modeling of piezoelectric energy harvesters with any complicated mechanical geometries and nonlinear circuits. The input load may be more complex also. The method can be employed by harvester designers to optimal mechanical structures or by circuit designers to develop novel energy harvesting circuits.

  5. The structure of first-ranked cluster galaxies and the radius-magnitude relation

    NASA Astrophysics Data System (ADS)

    Lugger, P. M.

    1984-11-01

    To investigate theoretical predictions for the dynamical evolution of first-ranked galaxies, a quantitative study of their properties, as a function of cluster morphology, has been carried out using photographic plates obtained with the Palomar 48 inch (1.2 m) Schmidt telescope. Surface brightness profiles to radii of several hundred kpc for 35 first-ranked cluster galaxies have been analyzed. The dispersion in the metric magnitudes of first-ranked galaxies is quite small (about 0.4 mag), which is consistent with the results of Kristian, Sandage, and Westphal (1978) as well as those of Hoessel, Gunn, and Thuan (1980) and the recent work of Schneider, Gunn, and Hoessel (1983). For the cD (supergiant elliptical) galaxy sample, the mean metric magnitude is about 0.5 mag brighter than for the non-cD galaxies. The mean de Vaucouleurs effective radius for the cD galaxy sample is 80 percent larger than that of the non-cD sample. The relation between de Vaucouleurs effective radius and magnitude determined in the present study for first-ranked galaxies, log r(e) equal to about -0.26 M + constant is consistent with the relations found for fainter galaxies by Strom and Strom (1978) as well as Wirth (1982). The residuals in radius from the mean radius-magnitude relation for first-ranked galaxies do not correlate with the Bautz-Morgan (1970) type of the cluster.

  6. Effects of different magnitudes of mechanical strain on Osteoblasts in vitro

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Tang Lin; Lin Zhu; Li Yongming

    2006-05-26

    In addition to systemic and local factors, mechanical strain plays a crucial role in bone remodeling during growth, development, and fracture healing, and especially in orthodontic tooth movement. Although many papers have been published on the effects of mechanical stress on osteoblasts or osteoblastic cells, little is known about the effects of different magnitudes of mechanical strain on such cells. In the present study, we investigated how different magnitudes of cyclic tensile strain affected osteoblasts. MC3T3-E1 osteoblastic cells were subjected to 0%, 6%, 12% or 18% elongation for 24 h using a Flexercell Strain Unit, and then the mRNA andmore » protein expressions of osteoprotegerin (OPG) and receptor activator of nuclear factor-{kappa}B ligand (RANKL) were examined. The results showed that cyclic tensile strain induced a magnitude-dependent increase (0%, 6%, 12%, and 18%) in OPG synthesis and a concomitant decrease in RANKL mRNA expression and sRANKL release from the osteoblasts. Furthermore, the induction of OPG mRNA expression by stretching was inhibited by indomethacin or genistein, and the stretch-induced reduction of RANKL mRNA was inhibited by PD098059. These results indicate that different magnitudes of cyclic tensile strain influence the biological behavior of osteoblasts, which profoundly affects bone remodeling.« less

  7. Does the Direction and Magnitude of Cognitive Change Depend on Initial Level of ability?

    ERIC Educational Resources Information Center

    Salthouse, Timothy A.

    2012-01-01

    Longitudinal change in five cognitive abilities was investigated to determine if the direction or magnitude of change was related to the individual's ability level. Adults between 18 and 97 years of age performed three versions of 16 cognitive tests on two occasions separated by an average of 2.7 years. In order to control for influences…

  8. First-order ferromagnetic to helimagnetic transition in MgMn6Ge6

    NASA Astrophysics Data System (ADS)

    Mazet, T.; Ihou-Mouko, H.; Malaman, B.

    2008-02-01

    The magnetic and magnetocaloric properties of the new HfFe6Ge6-type (P6/mmm) MgMn6Ge6 compound have been studied by magnetic measurements and powder neutron diffraction experiments. MgMn6Ge6 magnetically orders at TC˜345 K in a ferromagnetic easy-plane arrangement. At TAF˜235 K, it undergoes a first-order transition to a helical structure, characterized by a temperature dependent propagation vector k =⟨0,0,qz⟩ (qz˜0.116 reciprocal lattice units at 1.4 K), without structural modification. The Mn atoms carry a magnetic moment of about 2 μB. A metamagnetic transition with a low critical field (Hcr<1 T) is observed below TAF. At low temperature, both magnetic and magnetocaloric data strongly suggest that some kinds of intermediate noncollinear ferromagnetic arrangements are stabilized above the critical field while the pure ferromagnetic state is obtained for significantly higher magnetic fields (H >5 T). The magnitude of the magnetic entropy change at TC (-ΔSM˜20.5 mJ cm-3 K-1 for ΔH =5 T) is about 25% that of Gd metal. The magnetocaloric effect at the order-order transition is of opposite sign and of lower magnitude.

  9. Resurgence and alternative-reinforcer magnitude.

    PubMed

    Craig, Andrew R; Browning, Kaitlyn O; Nall, Rusty W; Marshall, Ciara M; Shahan, Timothy A

    2017-03-01

    Resurgence is defined as an increase in the frequency of a previously reinforced target response when an alternative source of reinforcement is suspended. Despite an extensive body of research examining factors that affect resurgence, the effects of alternative-reinforcer magnitude have not been examined. Thus, the present experiments aimed to fill this gap in the literature. In Experiment 1, rats pressed levers for single-pellet reinforcers during Phase 1. In Phase 2, target-lever pressing was extinguished, and alternative-lever pressing produced either five-pellet, one-pellet, or no alternative reinforcement. In Phase 3, alternative reinforcement was suspended to test for resurgence. Five-pellet alternative reinforcement produced faster elimination and greater resurgence of target-lever pressing than one-pellet alternative reinforcement. In Experiment 2, effects of decreasing alternative-reinforcer magnitude on resurgence were examined. Rats pressed levers and pulled chains for six-pellet reinforcers during Phases 1 and 2, respectively. In Phase 3, alternative reinforcement was decreased to three pellets for one group, one pellet for a second group, and suspended altogether for a third group. Shifting from six-pellet to one-pellet alternative reinforcement produced as much resurgence as suspending alternative reinforcement altogether, while shifting from six pellets to three pellets did not produce resurgence. These results suggest that alternative-reinforcer magnitude has effects on elimination and resurgence of target behavior that are similar to those of alternative-reinforcer rate. Thus, both suppression of target behavior during alternative reinforcement and resurgence when conditions of alternative reinforcement are altered may be related to variables that affect the value of the alternative-reinforcement source. © 2017 Society for the Experimental Analysis of Behavior.

  10. Moment Magnitudes and Local Magnitudes for Small Earthquakes: Implications for Ground-Motion Prediction and b-values

    NASA Astrophysics Data System (ADS)

    Baltay, A.; Hanks, T. C.; Vernon, F.

    2016-12-01

    We illustrate two essential consequences of the systematic difference between moment magnitude and local magnitude for small earthquakes, illuminating the underlying earthquake physics. Moment magnitude, M 2/3 log M0, is uniformly valid for all earthquake sizes [Hanks and Kanamori, 1979]. However, the relationship between local magnitude ML and moment is itself magnitude dependent. For moderate events, 3< M < 7, M and M­L are coincident; for earthquakes smaller than M3, ML log M0 [Hanks and Boore, 1984]. This is a consequence of the saturation of the apparent corner frequency fc as it becoming greater than the largest observable frequency, fmax; In this regime, stress drop no longer controls ground motion. This implies that ML and M differ by a factor of 1.5 for these small events. While this idea is not new, its implications are important as more small-magnitude data are incorporated into earthquake hazard research. With a large dataset of M<3 earthquakes recorded on the ANZA network, we demonstrate striking consequences of the difference between M and ML. ML scales as the log peak ground motions (e.g., PGA or PGV) for these small earthquakes, which yields log PGA log M0 [Boore, 1986]. We plot nearly 15,000 records of PGA and PGV at close stations, adjusted for site conditions and for geometrical spreading to 10 km. The slope of the log of ground motion is 1.0*ML­, or 1.5*M, confirming the relationship, and that fc >> fmax. Just as importantly, if this relation is overlooked, prediction of large-magnitude ground motion from small earthquakes will be misguided. We also consider the effect of this magnitude scale difference on b-value. The oft-cited b-value of 1 should hold for small magnitudes, given M. Use of ML necessitates b=2/3 for the same data set; use of mixed, or unknown, magnitudes complicates the matter further. This is of particular import when estimating the rate of large earthquakes when one has limited data on their recurrence, as is the case for

  11. Resurgence and Alternative-Reinforcer Magnitude

    PubMed Central

    Craig, Andrew R.; Browning, Kaitlyn O.; Nall, Rusty W.; Marshall, Ciara M.; Shahan, Timothy A.

    2017-01-01

    Resurgence is defined as an increase in the frequency of a previously reinforced target response when an alternative source of reinforcement is suspended. Despite an extensive body of research examining factors that affect resurgence, the effects of alternative-reinforcer magnitude have not been examined. Thus, the present experiments aimed to fill this gap in the literature. In Experiment 1, rats pressed levers for single-pellet reinforcers during Phase 1. In Phase 2, target-lever pressing was extinguished, and alternative-lever pressing produced either five-pellet, one-pellet, or no alternative reinforcement. In Phase 3, alternative reinforcement was suspended to test for resurgence. Five-pellet alternative reinforcement produced faster elimination and greater resurgence of target-lever pressing than one-pellet alternative reinforcement. In Experiment 2, effects of decreasing alternative-reinforcer magnitude on resurgence were examined. Rats pressed levers and pulled chains for six-pellet reinforcers during Phases 1 and 2, respectively. In Phase 3, alternative reinforcement was decreased to three pellets for one group, one pellet for a second group, and suspended altogether for a third group. Shifting from six-pellet to one-pellet alternative reinforcement produced as much resurgence as suspending alternative reinforcement altogether, while shifting from six pellets to three pellets did not produce resurgence. These results suggest that alternative-reinforcer magnitude has effects on elimination and resurgence of target behavior that are similar to those of alternative-reinforcer rate. Thus, both suppression of target behavior during alternative reinforcement and resurgence when conditions of alternative reinforcement are altered may be related to variables that affect the value of the alternative-reinforcement source. PMID:28194793

  12. The Influence of the Aerodynamic Span Effect on the Magnitude of the Torsional-divergence Velocity and on the Shape of the Corresponding Deflection Mode

    NASA Technical Reports Server (NTRS)

    Hildebrand, Francis B; Reissner, Eric

    1944-01-01

    A procedure which takes into account the aerodynamic span effect is given for the determination of the torsional-divergence velocities of monoplanes. The explicit solutions obtained in several cases indicate that the aerodynamic span effect may increase the divergence velocities found by means of the section-force theory by as much as 17 to 40 percent. It is found that the magnitude of the effect increases with increasing degree of stiffness taper and decreases with increasing degree of chord taper. By a slight extension of the present method it is possible to analyze the elastic deformations of wings, and the resultant lift distributions, before torsional divergence occurs.

  13. Alfred binet and the concept of heterogeneous orders.

    PubMed

    Michell, Joel

    2012-01-01

    In a comment, hitherto unremarked upon, Alfred Binet, well known for constructing the first intelligence scale, claimed that his scale did not measure intelligence, but only enabled classification with respect to a hierarchy of intellectual qualities. Attempting to understand the reasoning behind this comment leads to an historical excursion, beginning with the ancient mathematician, Euclid and ending with the modern French philosopher, Henri Bergson. As Euclid explained (Heath, 1908), magnitudes constituting a given quantitative attribute are all of the same kind (i.e., homogeneous), but his criterion covered only extensive magnitudes. Duns Scotus (Cross, 1998) included intensive magnitudes by considering differences, which raised the possibility (later considered by Sutherland, 2004) of ordered attributes with heterogeneous differences between degrees ("heterogeneous orders"). Of necessity, such attributes are non-measurable. Subsequently, this became a basis for the "quantity objection" to psychological measurement, as developed first by Tannery (1875a,b) and then by Bergson (1889). It follows that for attributes investigated in science, there are three structural possibilities: (1) classificatory attributes (with heterogeneous differences between categories); (2) heterogeneous orders (with heterogeneous differences between degrees); and (3) quantitative attributes (with thoroughly homogeneous differences between magnitudes). Measurement is possible only with attributes of kind (3) and, as far as we know, psychological attributes are exclusively of kinds (1) or (2). However, contrary to the known facts, psychometricians, for their own special reasons insist that test scores provide measurements.

  14. Defining Tsunami Magnitude as Measure of Potential Impact

    NASA Astrophysics Data System (ADS)

    Titov, V. V.; Tang, L.

    2016-12-01

    The goal of tsunami forecast, as a system for predicting potential impact of a tsunami at coastlines, requires quick estimate of a tsunami magnitude. This goal has been recognized since the beginning of tsunami research. The work of Kajiura, Soloviev, Abe, Murty, and many others discussed several scales for tsunami magnitude based on estimates of tsunami energy. However, difficulties of estimating tsunami energy based on available tsunami measurements at coastal sea-level stations has carried significant uncertainties and has been virtually impossible in real time, before tsunami impacts coastlines. The slow process of tsunami magnitude estimates, including collection of vast amount of available coastal sea-level data from affected coastlines, made it impractical to use any tsunami magnitude scales in tsunami warning operations. Uncertainties of estimates made tsunami magnitudes difficult to use as universal scale for tsunami analysis. Historically, the earthquake magnitude has been used as a proxy of tsunami impact estimates, since real-time seismic data is available of real-time processing and ample amount of seismic data is available for an elaborate post event analysis. This measure of tsunami impact carries significant uncertainties in quantitative tsunami impact estimates, since the relation between the earthquake and generated tsunami energy varies from case to case. In this work, we argue that current tsunami measurement capabilities and real-time modeling tools allow for establishing robust tsunami magnitude that will be useful for tsunami warning as a quick estimate for tsunami impact and for post-event analysis as a universal scale for tsunamis inter-comparison. We present a method for estimating the tsunami magnitude based on tsunami energy and present application of the magnitude analysis for several historical events for inter-comparison with existing methods.

  15. Rockfall magnitude-frequency estimation: how data acquistion strategies influence methodological results

    NASA Astrophysics Data System (ADS)

    Guerin, Antoine; Abellán, Antonio; Jesús Royán, Manuel; Carrea, Dario; Vilaplana, Joan Manuel; Jaboyedoff, Michel

    2014-05-01

    The modelling of rock cliff erosion rates through rockfall magnitude-frequency is a well-known technique extensively carried out before by many authors (e.g. Barlow et al., 2012; Guerin et al., 2014). These studies show how the relation between frequency (F) and magnitude (M) of rockfalls is well fitted by a negative power law [F = a*M ^ (-b)], the value of its parameters varying considerably according to differences in type of material, structural settings, climate, etc. Nevertheless, little insight is given into how methodological and instrumental issues influence power law, typically into how data acquisition accuracy, minimum level of detection and spatio-temporal resolution influence this relationship. Extensive Terrestrial Laser Scanner (TLS) campaigns were carried out during more than six years (from Nov.2007 to Dec.2013) in order to monitor a semi-circular rock wall of 150 m width and 25 m height, situated in Puigcercós (Pallars Jussà, Catalonia, Spain). The analysed cliff represents the main outcrop of a landslide that took place in 1881, the scarp being affected by a high number of rockfalls per year (Royan et al., 2013). The spatial-temporal rockfall frequency is determined by comparison of very dense point clouds (about 500 points/m2) acquired in 22 fieldwork campaigns at different dates. The TLS data processing (data filtering, alignment, georeferencing, meshing and comparison) was carried out with the ImInspect module of Polyworks software. The analysis of the magnitude-frequency parameters was carried out for each period of comparison using a script specifically developed in Matlab software. We used the image processing toolbox aiming to extract rockfall areas (number of pixels) and centroids for each event. We carried out an exploratory analysis in order to investigate how certain parameters linked to data acquisition -spatial and temporal resolution, level of detection, etc.- influence the complementary cumulative distributions of the rockfall

  16. The Populations of Carina. I. Decoding the Color-Magnitude Diagram

    NASA Astrophysics Data System (ADS)

    Norris, John E.; Yong, David; Venn, Kim A.; Dotter, Aaron; Casagrande, Luca; Gilmore, Gerard

    2017-06-01

    We investigate the color-magnitude diagram (CMD) of the Carina dwarf spheroidal galaxy using data of Stetson et al. and synthetic CMDs based on isochrones of Dotter et al., in terms of the parameters [Fe/H], age, and [α/Fe], for the cases when (I) [α/Fe] is held constant and (II) [α/Fe] is varied. The data are well described by four basic epochs of star formation, having [Fe/H] = -1.85, -1.5, -1.2, and ˜-1.15 and ages ˜13, 7, ˜3.5, and ˜1.5 Gyr, respectively (for [α/Fe] = 0.1, constant [α/Fe], and [α/Fe] = 0.2, 0.1, -0.2, -0.2, variable [α/Fe]), with small spreads in [Fe/H] and age of order 0.1 dex and 1-3 Gyr. Within an elliptical radius 13.‧1, the mass fractions of the populations, at their times of formation, were (in decreasing age order) 0.34, 0.39, 0.23, and 0.04. This formalism reproduces five observed CMD features (two distinct subgiant branches of old and intermediate-age populations, two younger, main-sequence components, and the small color dispersion on the red giant branch (RGB). The parameters of the youngest population are less certain than those of the others, and given it is less centrally concentrated, it may not be directly related to them. High-resolution spectroscopically analyzed RGB samples appear statistically incomplete compared with those selected using radial velocity, which contain bluer stars comprising ˜5%-10% of the samples. We conjecture these objects may, at least in part, be members of the youngest population. We use the CMD simulations to obtain insight into the population structure of Carina's upper RGB.

  17. Integrated Circuit Stellar Magnitude Simulator

    ERIC Educational Resources Information Center

    Blackburn, James A.

    1978-01-01

    Describes an electronic circuit which can be used to demonstrate the stellar magnitude scale. Six rectangular light-emitting diodes with independently adjustable duty cycles represent stars of magnitudes 1 through 6. Experimentally verifies the logarithmic response of the eye. (Author/GA)

  18. A first-order seismotectonic regionalization of Mexico for seismic hazard and risk estimation

    NASA Astrophysics Data System (ADS)

    Zúñiga, F. Ramón; Suárez, Gerardo; Figueroa-Soto, Ángel; Mendoza, Avith

    2017-11-01

    The purpose of this work is to define a seismic regionalization of Mexico for seismic hazard and risk analyses. This seismic regionalization is based on seismic, geologic, and tectonic characteristics. To this end, a seismic catalog was compiled using the more reliable sources available. The catalog was made homogeneous in magnitude in order to avoid the differences in the way this parameter is reported by various agencies. Instead of using a linear regression to converts from m b and M d to M s or M w , using only events for which estimates of both magnitudes are available (i.e., paired data), we used the frequency-magnitude relations relying on the a and b values of the Gutenberg-Richter relation. The seismic regions are divided into three main categories: seismicity associated with the subduction process along the Pacific coast of Mexico, in-slab events within the down-going COC and RIV plates, and crustal seismicity associated to various geologic and tectonic regions. In total, 18 seismic regions were identified and delimited. For each, the a and b values of the Gutenberg-Richter relation were determined using a maximum likelihood estimation. The a and b parameters were repeatedly estimated as a function of time for each region, in order to confirm their reliability and stability. The recurrence times predicted by the resulting Gutenberg-Richter relations obtained are compared with the observed recurrence times of the larger events in each region of both historical and instrumental earthquakes.

  19. Emotion recognition based on multiple order features using fractional Fourier transform

    NASA Astrophysics Data System (ADS)

    Ren, Bo; Liu, Deyin; Qi, Lin

    2017-07-01

    In order to deal with the insufficiency of recently algorithms based on Two Dimensions Fractional Fourier Transform (2D-FrFT), this paper proposes a multiple order features based method for emotion recognition. Most existing methods utilize the feature of single order or a couple of orders of 2D-FrFT. However, different orders of 2D-FrFT have different contributions on the feature extraction of emotion recognition. Combination of these features can enhance the performance of an emotion recognition system. The proposed approach obtains numerous features that extracted in different orders of 2D-FrFT in the directions of x-axis and y-axis, and uses the statistical magnitudes as the final feature vectors for recognition. The Support Vector Machine (SVM) is utilized for the classification and RML Emotion database and Cohn-Kanade (CK) database are used for the experiment. The experimental results demonstrate the effectiveness of the proposed method.

  20. Magnitude and intensity: Measures of earthquake size and severity

    USGS Publications Warehouse

    Spall, Henry

    1982-01-01

    Earthquakes can be measured in terms of either the amount of energy they release (magnitude) or the degree of ground shaking they cause at a particular locality (intensity).  Although magnitude and intensity are basically different measures of an earthquake, they are frequently confused by the public and new reports of earthquakes.  Part of the confusion probably arises from the general similarity of scales used express these quantities.  The various magnitude scales represent logarithmic expressions of the energy released by an earthquake.  Magnitude is calculated from the record made by an earthquake on a calibrated seismograph.  There are no upper or lower limits to magnitude, although no measured earthquakes have exceeded magnitude 8.9.

  1. Increasing the Value of an Alternative Monetary Reinforcer Reduces Cigarette Choice in Adolescents

    PubMed Central

    Tidey, Jennifer W.; Kahler, Christopher W.; Wray, Tyler B.; Colby, Suzanne M.

    2015-01-01

    Introduction: Smoking can be conceptualized as an operant behavior maintained by the reinforcing effects of cigarettes. Changing the magnitude and availability of alternative reinforcers should shift behavior away from smoking. Adults’ smoking behavior is sensitive to the magnitude and availability of alternative reinforcers; however, the extent to which the same is true for adolescents has not yet been shown in the laboratory. Methods: To test the sensitivity of adolescent smoking behavior to changes in the magnitude of alternative reinforcement, we gave adolescents who abstained overnight the opportunity to make 20 choices between receiving two puffs of their usual-brand cigarette or money. The magnitude of the monetary reinforcer was varied across sessions in counterbalanced order ($0.00, $0.10, and $0.50). Results: Results indicated that adolescents’ choices for puffs decreased as a function of increasing monetary reinforcer magnitude, while money choices increased. This effect was moderated by baseline smoking level and by gender, such that heavier-smoking participants and males made more cigarette choices when the alternative monetary value was zero, and decreased their choices more steeply in response to increasing monetary value. Conclusions: The current study validates a laboratory choice procedure for studying smoking in adolescents, and demonstrates that adolescent smoking behavior is sensitive to changes in the magnitude of concurrently available monetary reinforcers. The current paradigm can be adapted and applied to explore the effects of other variables that may affect cigarette choice in adolescents. PMID:25666814

  2. Estimating earthquake location and magnitude from seismic intensity data

    USGS Publications Warehouse

    Bakun, W.H.; Wentworth, C.M.

    1997-01-01

    Analysis of Modified Mercalli intensity (MMI) observations for a training set of 22 California earthquakes suggests a strategy for bounding the epicentral region and moment magnitude M from MMI observations only. We define an intensity magnitude MI that is calibrated to be equal in the mean to M. MI = mean (Mi), where Mi = (MMIi + 3.29 + 0.0206 * ??i)/1.68 and ??i is the epicentral distance (km) of observation MMIi. The epicentral region is bounded by contours of rms [MI] = rms (MI - Mi) - rms0 (MI - Mi-), where rms is the root mean square, rms0 (MI - Mi) is the minimum rms over a grid of assumed epicenters, and empirical site corrections and a distance weighting function are used. Empirical contour values for bounding the epicenter location and empirical bounds for M estimated from MI appropriate for different levels of confidence and different quantities of intensity observations are tabulated. The epicentral region bounds and MI obtained for an independent test set of western California earthquakes are consistent with the instrumental epicenters and moment magnitudes of these earthquakes. The analysis strategy is particularly appropriate for the evaluation of pre-1900 earthquakes for which the only available data are a sparse set of intensity observations.

  3. Increases in flood magnitudes in California under warming climates

    USGS Publications Warehouse

    Das, Tapash; Maurer, Edwin P.; Pierce, David W.; Dettinger, Michael D.; Cayah, Daniel R.

    2013-01-01

    Downscaled and hydrologically modeled projections from an ensemble of 16 Global Climate Models suggest that flooding may become more intense on the western slopes of the Sierra Nevada mountains, the primary source for California’s managed water system. By the end of the 21st century, all 16 climate projections for the high greenhouse-gas emission SRES A2 scenario yield larger floods with return periods ranging 2–50 years for both the Northern Sierra Nevada and Southern Sierra Nevada, regardless of the direction of change in mean precipitation. By end of century, discharges from the Northern Sierra Nevada with 50-year return periods increase by 30–90% depending on climate model, compared to historical values. Corresponding flood flows from the Southern Sierra increase by 50–100%. The increases in simulated 50 year flood flows are larger (at 95% confidence level) than would be expected due to natural variability by as early as 2035 for the SRES A2 scenario.

  4. 77 FR 21843 - Mango Promotion, Research, and Information Order; Assessment Increase

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-04-12

    ...-0021] Mango Promotion, Research, and Information Order; Assessment Increase AGENCY: Agricultural Marketing Service, USDA. ACTION: Final rule. SUMMARY: This rule amends the Mango Promotion, Research, and..., which is authorized by the Commodity Promotion, Research, and Information Act of 1996 (Act). The...

  5. Rapid determination of the energy magnitude Me

    NASA Astrophysics Data System (ADS)

    di Giacomo, D.; Parolai, S.; Bormann, P.; Grosser, H.; Saul, J.; Wang, R.; Zschau, J.

    2009-12-01

    The magnitude of an earthquake is one of the most used parameters to evaluate the earthquake’s damage potential. Among the non-saturating magnitude scales, the energy magnitude Me is related to a well defined physical parameter of the seismic source, that is the radiated seismic energy Es (e.g. Bormann et al., 2002): Me = 2/3(log10 Es - 4.4). Me is more suitable than the moment magnitude Mw in describing an earthquake's shaking potential (Choy and Kirby, 2004). Indeed, Me is calculated over a wide frequency range of the source spectrum and represents a better measure of the shaking potential, whereas Mw is related to the low-frequency asymptote of the source spectrum and is a good measure of the fault size and hence of the static (tectonic) effect of an earthquake. We analyse teleseismic broadband P-waves signals in the distance range 20°-98° to calculate Es. To correct the frequency-dependent energy loss experienced by the P-waves during the propagation path, we use pre-calculated spectral amplitude decay functions for different frequencies obtained from numerical simulations of Green’s functions (Wang, 1999) given the reference Earth model AK135Q (Kennett et al., 1995; Montagner and Kennett, 1996). By means of these functions the correction for the various propagation effects of the recorded P-wave velocity spectra is performed in a rapid and robust way, and the calculation of ES, and hence of Me, can be computed at the single station. We show that our procedure is suitable for implementation in rapid response systems since it could provide stable Me determinations within 10-15 minutes after the earthquake’s origin time, even in case of great earthquakes. We tested our procedure for a large dataset composed by about 770 earthquakes globally distributed in the Mw range 5.5-9.3 recorded at the broadband stations managed by the IRIS, GEOFON, and GEOSCOPE global networks, as well as other regional seismic networks. Me and Mw express two different aspects of

  6. Sign-And-Magnitude Up/Down Counter

    NASA Technical Reports Server (NTRS)

    Cole, Steven W.

    1991-01-01

    Magnitude-and-sign counter includes conventional up/down counter for magnitude part and special additional circuitry for sign part. Negative numbers indicated more directly. Counter implemented by programming erasable programmable logic device (EPLD) or programmable logic array (PLA). Used in place of conventional up/down counter to provide sign and magnitude values directly to other circuits.

  7. Second-order Kinetics of DTPA and Plutonium in Rat Plasma

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Miller, Guthrie; Poudel, Deepesh; Klumpp, John Allan

    We report that in 2008, Serandour et al. reported on their in vitro experiment involving rat plasma samples obtained after an intravenous intake of plutonium citrate. Different amounts of DTPA were added to the plasma samples and the percentage of low-molecular-weight plutonium measured. Only when the DTPA dosage was three orders of magnitude greater than the recommended 30 μmol/kg was 100% of the plutonium apparently in the form of chelate. These data were modeled assuming three competing chemical reactions with other molecules that bind with plutonium. Here, time-dependent second-order kinetics of these reactions are calculated, intended eventually to become partmore » of a complete biokinetic model of DTPA action on actinides in laboratory animals or humans. The probability distribution of the ratio of stability constants for the reactants was calculated using Markov Chain Monte Carlo. In conclusion, these calculations substantiate that the inclusion of more reactions is needed in order to be in agreement with known stability constants.« less

  8. Second-order Kinetics of DTPA and Plutonium in Rat Plasma

    DOE PAGES

    Miller, Guthrie; Poudel, Deepesh; Klumpp, John Allan; ...

    2017-11-15

    We report that in 2008, Serandour et al. reported on their in vitro experiment involving rat plasma samples obtained after an intravenous intake of plutonium citrate. Different amounts of DTPA were added to the plasma samples and the percentage of low-molecular-weight plutonium measured. Only when the DTPA dosage was three orders of magnitude greater than the recommended 30 μmol/kg was 100% of the plutonium apparently in the form of chelate. These data were modeled assuming three competing chemical reactions with other molecules that bind with plutonium. Here, time-dependent second-order kinetics of these reactions are calculated, intended eventually to become partmore » of a complete biokinetic model of DTPA action on actinides in laboratory animals or humans. The probability distribution of the ratio of stability constants for the reactants was calculated using Markov Chain Monte Carlo. In conclusion, these calculations substantiate that the inclusion of more reactions is needed in order to be in agreement with known stability constants.« less

  9. Suitability of rapid energy magnitude determinations for emergency response purposes

    NASA Astrophysics Data System (ADS)

    Di Giacomo, Domenico; Parolai, Stefano; Bormann, Peter; Grosser, Helmut; Saul, Joachim; Wang, Rongjiang; Zschau, Jochen

    2010-01-01

    It is common practice in the seismological community to use, especially for large earthquakes, the moment magnitude Mw as a unique magnitude parameter to evaluate the earthquake's damage potential. However, as a static measure of earthquake size, Mw does not provide direct information about the released seismic wave energy and its high frequency content, which is the more interesting information both for engineering purposes and for a rapid assessment of the earthquake's shaking potential. Therefore, we recommend to provide to disaster management organizations besides Mw also sufficiently accurate energy magnitude determinations as soon as possible after large earthquakes. We developed and extensively tested a rapid method for calculating the energy magnitude Me within about 10-15 min after an earthquake's occurrence. The method is based on pre-calculated spectral amplitude decay functions obtained from numerical simulations of Green's functions. After empirical validation, the procedure has been applied offline to a large data set of 767 shallow earthquakes that have been grouped according to their type of mechanism (strike-slip, normal faulting, thrust faulting, etc.). The suitability of the proposed approach is discussed by comparing our rapid Me estimates with Mw published by GCMT as well as with Mw and Me reported by the USGS. Mw is on average slightly larger than our Me for all types of mechanisms. No clear dependence on source mechanism is observed for our Me estimates. In contrast, Me from the USGS is generally larger than Mw for strike-slip earthquakes and generally smaller for the other source types. For ~67 per cent of the event data set our Me differs <= +/-0.3 magnitude units (m.u.) from the respective Me values published by the USGS. However, larger discrepancies (up to 0.8 m.u.) may occur for strike-slip events. A reason of that may be the overcorrection of the energy flux applied by the USGS for this type of earthquakes. We follow the original

  10. On the impact of the magnitude of interstellar pressure on physical properties of molecular cloud

    NASA Astrophysics Data System (ADS)

    Anathpindika, S.; Burkert, A.; Kuiper, R.

    2017-04-01

    Recently reported variations in the typical physical properties of Galactic and extra-Galactic molecular clouds (MCs), and, in their star-forming ability, have been attributed to local variations in the magnitude of interstellar pressure. Inferences from these surveys have called into question two long-standing beliefs that: (1) MCs are virialized and (2) they obey the Larson's third law. Here we invoked the framework of cloud formation via collision between warm gas-flows to examine if these latest observational inferences can be reconciled. To this end, we traced the temporal evolution of the gas surface density, the fraction of dense gas, the distribution of gas column density (N-PDF) and the virial nature of the assembled clouds. We conclude that these physical properties exhibit temporal variation and their respective peak magnitude also increases in proportion with the magnitude of external pressure, Pext. The velocity dispersion in assembled clouds appears to follow the power law, σ _{gas}∝ P_{ext}^{0.23}. The power-law tail of the N-PDFs at higher densities becomes shallower with increasing magnitude of external pressure for Pext/kB ≲ 107 K cm-3; at higher magnitudes such as those typically found in the Galactic Central Molecular Zone (Pext/kB > 107 K cm-3), the power-law shows significant steepening. While our results are broadly consistent with inferences from various recent observational surveys, it appears that MCs do not exhibit a unique set of properties, but rather a wide variety that can be reconciled with a range of magnitudes of pressure between 104 and 108 K cm-3.

  11. Studies on third-order nonlinear optical properties of chalcone derivatives in polymer host

    NASA Astrophysics Data System (ADS)

    Shettigar, Seetharam; Umesh, G.; Chandrasekharan, K.; Sarojini, B. K.; Narayana, B.

    2008-04-01

    In this paper we present the experimental study of the third-order nonlinear optical properties of two chalcone derivatives, viz., 1-(4-methoxyphenyl)-3-(4-butyloxyphenyl)-prop-2-en-1-one and 1-(4-methoxyphenyl)-3-(4-propyloxyphenyl)-prop-2-en-1-one in PMMA host, with the prospective of reaching a compromise between good processability and high nonlinear optical properties. The nonlinear optical properties have been investigated by Z-scan technique using 7 ns laser pulses at 532 nm. The nonlinear refractive index, nonlinear absorption coefficient, magnitude of third-order susceptibility and the coupling factor have been determined. The values obtained are of the order of 10 -14 cm 2/W, 1 cm/GW, 10 -13 esu and 0.2, respectively. The molecular second hyperpolarizability for the chalcone derivatives in polymer is of the order of 10 -31 esu. Different guest/host concentrations have also been studied. The results suggest that the nonlinear properties of the chalcones have been improved when they are used as dopants in polymer matrix. The nonlinear parameters obtained are comparable with the reported values of II-VI compound semiconductors. Hence, these chalcons are a promising class of nonlinear optical dopant materials for optical device applications.

  12. A high-order time-accurate interrogation method for time-resolved PIV

    NASA Astrophysics Data System (ADS)

    Lynch, Kyle; Scarano, Fulvio

    2013-03-01

    A novel method is introduced for increasing the accuracy and extending the dynamic range of time-resolved particle image velocimetry (PIV). The approach extends the concept of particle tracking velocimetry by multiple frames to the pattern tracking by cross-correlation analysis as employed in PIV. The working principle is based on tracking the patterned fluid element, within a chosen interrogation window, along its individual trajectory throughout an image sequence. In contrast to image-pair interrogation methods, the fluid trajectory correlation concept deals with variable velocity along curved trajectories and non-zero tangential acceleration during the observed time interval. As a result, the velocity magnitude and its direction are allowed to evolve in a nonlinear fashion along the fluid element trajectory. The continuum deformation (namely spatial derivatives of the velocity vector) is accounted for by adopting local image deformation. The principle offers important reductions of the measurement error based on three main points: by enlarging the temporal measurement interval, the relative error becomes reduced; secondly, the random and peak-locking errors are reduced by the use of least-squares polynomial fits to individual trajectories; finally, the introduction of high-order (nonlinear) fitting functions provides the basis for reducing the truncation error. Lastly, the instantaneous velocity is evaluated as the temporal derivative of the polynomial representation of the fluid parcel position in time. The principal features of this algorithm are compared with a single-pair iterative image deformation method. Synthetic image sequences are considered with steady flow (translation, shear and rotation) illustrating the increase of measurement precision. An experimental data set obtained by time-resolved PIV measurements of a circular jet is used to verify the robustness of the method on image sequences affected by camera noise and three-dimensional motions. In

  13. Mapping of forest disturbance magnitudes across the US National Forest System

    NASA Astrophysics Data System (ADS)

    Hernandez, A. J.; Healey, S. P.; Ramsey, R. D.; McGinty, C.; Garrard, C.; Lu, N.; Huang, C.

    2013-12-01

    A precise record in conjunction with ongoing monitoring of carbon pools constitutes essentials inputs for the continuous modernization of an ever- dynamic science such as climate change. This is particularly important in forested ecosystems for which accurate field archives are available and can be used in combination with historic satellite imagery to obtain spatially explicit estimates of several indicators that can be used in the assessment of said carbon pools. Many forest disturbance processes limit storage of carbon in forested ecosystems and thereby reduce those systems' capacity to mitigate changes in the global climate system. A component of the US National Forest System's (NFS) comprehensive plan for carbon monitoring includes accounting for mapped disturbances, such as fires, harvests, and insect activity. A long-term time series of maps that show the timing, extent, type, and magnitude of disturbances going back to 1990 has been prepared for the United States Forest Service (USFS) Northern Region, and is currently under preparation for the rest of the NFS regions covering more than 75 million hectares. Our mapping approach starts with an automated initial detection of annual disturbances using imagery captured within the growing season from the Landsat archive. Through a meticulous process, the initial detections are then visually inspected, manually corrected and labeled using various USFS ancillary datasets and Google Earth high-resolution historic imagery. We prepared multitemporal models of percent canopy cover and live tree carbon (T/ha) that were calibrated with extensive (in excess of 2000 locations) field data from the US Forest Service Forest Inventory and Analysis program (FIA). The models were then applied to all the years of the radiometrically corrected and normalized Landsat time series in order to provide annual spatially explicit estimates of the magnitude of change in terms of these two attributes. Our results provide objective, widely

  14. Does the Measurement or Magnitude of Academic Entitlement Change over Time?

    ERIC Educational Resources Information Center

    Sessoms, John; Finney, Sara J.; Kopp, Jason P.

    2016-01-01

    Academic entitlement (AE) characterizes students who believe they deserve positive academic outcomes independent of performance. Using the Academic Entitlement Questionnaire, we evaluated the longitudinal stability of the measurement and magnitude of AE. Results indicated partial measurement invariance, slight average increase in AE, and…

  15. Electrical properties of Si-Si interfaces obtained by room temperature covalent wafer bonding

    NASA Astrophysics Data System (ADS)

    Jung, A.; Zhang, Y.; Arroyo Rojas Dasilva, Y.; Isa, F.; von Känel, H.

    2018-02-01

    We study covalent bonds between p-doped Si wafers (resistivity ˜10 Ω cm) fabricated on a recently developed 200 mm high-vacuum system. Oxide- and void free interfaces were obtained by argon (Ar) or neon (Ne) sputtering prior to wafer bonding at room temperature. The influence of the sputter induced amorphous Si layer at the bonding interface on the electrical behavior is accessed with temperature-dependent current-voltage measurements. In as-bonded structures, charge transport is impeded by a potential barrier of 0.7 V at the interface with thermionic emission being the dominant charge transport mechanism. Current-voltage characteristics are found to be asymmetric which can tentatively be attributed to electric dipole formation at the interface as a result of the time delay between the surface preparation of the two bonding partners. Electron beam induced current measurements confirm the corresponding asymmetric double Schottky barrier like band-alignment. Moreover, we demonstrate that defect annihilation at a low temperature of 400 °C increases the electrical conductivity by up to three orders of magnitude despite the lack of recrystallization of the amorphous layer. This effect is found to be more pronounced for Ne sputtered surfaces which is attributed to the lighter atomic mass compared to Ar, inducing weaker lattice distortions during the sputtering.

  16. Reconstruction of in-situ porosity and porewater compositions of low-permeability crystalline rocks: Magnitude of artefacts induced by drilling and sample recovery

    NASA Astrophysics Data System (ADS)

    Meier, D. B.; Waber, H. N.; Gimmi, T.; Eichinger, F.; Diamond, L. W.

    2015-12-01

    Geological site characterisation programmes typically rely on drill cores for direct information on subsurface rocks. However, porosity, transport properties and porewater composition measured on drill cores can deviate from in-situ values due to two main artefacts caused by drilling and sample recovery: (1) mechanical disruption that increases porosity and (2) contamination of the porewater by drilling fluid. We investigated the effect and magnitude of these perturbations on large drill core samples (12-20 cm long, 5 cm diameter) of high-grade, granitic gneisses obtained from 350 to 600 m depth in a borehole on Olkiluoto Island (SW Finland). The drilling fluid was traced with sodium-iodide. By combining out-diffusion experiments, gravimetry, UV-microscopy and iodide mass balance calculations, we successfully quantified the magnitudes of the artefacts: 2-6% increase in porosity relative to the bulk connected porosity and 0.9 to 8.9 vol.% contamination by drilling fluid. The spatial distribution of the drilling-induced perturbations was revealed by numerical simulations of 2D diffusion matched to the experimental data. This showed that the rims of the samples have a mechanically disrupted zone 0.04 to 0.22 cm wide, characterised by faster transport properties compared to the undisturbed centre (1.8 to 7.7 times higher pore diffusion coefficient). Chemical contamination was shown to affect an even wider zone in all samples, ranging from 0.15 to 0.60 cm, in which iodide enrichment was up to 180 mg/kgwater, compared to 0.5 mg/kgwater in the uncontaminated centre. For all samples in the present case study, it turned out that the magnitude of the artefacts caused by drilling and sample recovery is so small that no correction is required for their effects. Therefore, the standard laboratory measurements of porosity, transport properties and porewater composition can be taken as valid in-situ estimates. However, it is clear that the magnitudes strongly depend on site- and

  17. Reconstruction of in-situ porosity and porewater compositions of low-permeability crystalline rocks: Magnitude of artefacts induced by drilling and sample recovery.

    PubMed

    Meier, D B; Waber, H N; Gimmi, T; Eichinger, F; Diamond, L W

    2015-12-01

    Geological site characterisation programmes typically rely on drill cores for direct information on subsurface rocks. However, porosity, transport properties and porewater composition measured on drill cores can deviate from in-situ values due to two main artefacts caused by drilling and sample recovery: (1) mechanical disruption that increases porosity and (2) contamination of the porewater by drilling fluid. We investigated the effect and magnitude of these perturbations on large drill core samples (12-20 cm long, 5 cm diameter) of high-grade, granitic gneisses obtained from 350 to 600 m depth in a borehole on Olkiluoto Island (SW Finland). The drilling fluid was traced with sodium-iodide. By combining out-diffusion experiments, gravimetry, UV-microscopy and iodide mass balance calculations, we successfully quantified the magnitudes of the artefacts: 2-6% increase in porosity relative to the bulk connected porosity and 0.9 to 8.9 vol.% contamination by drilling fluid. The spatial distribution of the drilling-induced perturbations was revealed by numerical simulations of 2D diffusion matched to the experimental data. This showed that the rims of the samples have a mechanically disrupted zone 0.04 to 0.22 cm wide, characterised by faster transport properties compared to the undisturbed centre (1.8 to 7.7 times higher pore diffusion coefficient). Chemical contamination was shown to affect an even wider zone in all samples, ranging from 0.15 to 0.60 cm, in which iodide enrichment was up to 180 mg/kg water, compared to 0.5 mg/kg water in the uncontaminated centre. For all samples in the present case study, it turned out that the magnitude of the artefacts caused by drilling and sample recovery is so small that no correction is required for their effects. Therefore, the standard laboratory measurements of porosity, transport properties and porewater composition can be taken as valid in-situ estimates. However, it is clear that the magnitudes strongly depend on site

  18. Estimating earthquake magnitudes from reported intensities in the central and eastern United States

    USGS Publications Warehouse

    Boyd, Oliver; Cramer, Chris H.

    2014-01-01

    A new macroseismic intensity prediction equation is derived for the central and eastern United States and is used to estimate the magnitudes of the 1811–1812 New Madrid, Missouri, and 1886 Charleston, South Carolina, earthquakes. This work improves upon previous derivations of intensity prediction equations by including additional intensity data, correcting magnitudes in the intensity datasets to moment magnitude, and accounting for the spatial and temporal population distributions. The new relation leads to moment magnitude estimates for the New Madrid earthquakes that are toward the lower range of previous studies. Depending on the intensity dataset to which the new macroseismic intensity prediction equation is applied, mean estimates for the 16 December 1811, 23 January 1812, and 7 February 1812 mainshocks, and 16 December 1811 dawn aftershock range from 6.9 to 7.1, 6.8 to 7.1, 7.3 to 7.6, and 6.3 to 6.5, respectively. One‐sigma uncertainties on any given estimate could be as high as 0.3–0.4 magnitude units. We also estimate a magnitude of 6.9±0.3 for the 1886 Charleston, South Carolina, earthquake. We find a greater range of magnitude estimates when also accounting for multiple macroseismic intensity prediction equations. The inability to accurately and precisely ascertain magnitude from intensities increases the uncertainty of the central United States earthquake hazard by nearly a factor of two. Relative to the 2008 national seismic hazard maps, our range of possible 1811–1812 New Madrid earthquake magnitudes increases the coefficient of variation of seismic hazard estimates for Memphis, Tennessee, by 35%–42% for ground motions expected to be exceeded with a 2% probability in 50 years and by 27%–35% for ground motions expected to be exceeded with a 10% probability in 50 years.

  19. Bone strain magnitude is correlated with bone strain rate in tetrapods: implications for models of mechanotransduction

    PubMed Central

    Aiello, B. R.; Iriarte-Diaz, J.; Blob, R. W.; Butcher, M. T.; Carrano, M. T.; Espinoza, N. R.; Main, R. P.; Ross, C. F.

    2015-01-01

    Hypotheses suggest that structural integrity of vertebrate bones is maintained by controlling bone strain magnitude via adaptive modelling in response to mechanical stimuli. Increased tissue-level strain magnitude and rate have both been identified as potent stimuli leading to increased bone formation. Mechanotransduction models hypothesize that osteocytes sense bone deformation by detecting fluid flow-induced drag in the bone's lacunar–canalicular porosity. This model suggests that the osteocyte's intracellular response depends on fluid-flow rate, a product of bone strain rate and gradient, but does not provide a mechanism for detection of strain magnitude. Such a mechanism is necessary for bone modelling to adapt to loads, because strain magnitude is an important determinant of skeletal fracture. Using strain gauge data from the limb bones of amphibians, reptiles, birds and mammals, we identified strong correlations between strain rate and magnitude across clades employing diverse locomotor styles and degrees of rhythmicity. The breadth of our sample suggests that this pattern is likely to be a common feature of tetrapod bone loading. Moreover, finding that bone strain magnitude is encoded in strain rate at the tissue level is consistent with the hypothesis that it might be encoded in fluid-flow rate at the cellular level, facilitating bone adaptation via mechanotransduction. PMID:26063842

  20. Study of the global and regional climatic impacts of ENSO magnitude using SPEEDY AGCM

    NASA Astrophysics Data System (ADS)

    Dogar, Muhammad Mubashar; Kucharski, Fred; Azharuddin, Syed

    2017-03-01

    ENSO is considered as a strong atmospheric teleconnection that has pronounced global and regional circulation effects. It modifies global monsoon system, especially, Asian and African monsoons. Previous studies suggest that both the frequency and magnitude of ENSO events have increased over the last few decades resulting in a need to study climatic impacts of ENSO magnitude both at global and regional scales. Hence, to better understand the impact of ENSO amplitude over the tropical and extratropical regions focussing on the Asian and African domains, ENSO sensitivity experiments are conducted using ICTPAGCM (`SPEEDY'). It is anticipated that the tropical Pacific SST forcing will be enough to produce ENSO-induced teleconnection patterns; therefore, the model is forced using NINO3.4 regressed SST anomalies over the tropical Pacific only. SPEEDY reproduces the impact of ENSO over the Pacific, North and South America and African regions very well. However, it underestimates ENSO teleconnection patterns and associated changes over South Asia, particularly in the Indian region, which suggests that the tropical Pacific SST forcing is not sufficient to represent ENSO-induced teleconnection patterns over South Asia. Therefore, SST forcing over the tropical Indian Ocean together with air-sea coupling is also required for better representation of ENSO-induced changes in these regions. Moreover, results obtained by this pacemaker experiment show that ENSO impacts are relatively stronger over the Inter-Tropical Convergence Zone (ITCZ) compared to extratropics and high latitude regions. The positive phase of ENSO causes weakening in rainfall activity over African tropical rain belt, parts of South and Southeast Asia, whereas, the La Niña phase produces more rain over these regions during the summer season. Model results further reveal that ENSO magnitude has a stronger impact over African Sahel and South Asia, especially over the Indian region because of its significant impact

  1. Combining spatial domain multiplexing and orbital angular momentum of photon-based multiplexing to increase the bandwidth of optical fiber communication systems

    NASA Astrophysics Data System (ADS)

    Murshid, Syed; Alanzi, Saud; Hridoy, Arnob; Lovell, Gregory L.; Parhar, Gurinder; Chakravarty, Abhijit; Chowdhury, Bilas

    2016-06-01

    Spatial domain multiplexing/space division multiplexing (SDM) can increase the bandwidth of existing and futuristic optical fibers by an order of magnitude or more. In the SDM technique, we launch multiple single-mode pigtail laser sources of the same wavelength into a carrier multimode fiber at different angles. The launching angles decide the output of the carrier fiber by allocating separate spatial locations for each channel. Each channel follows a helical trajectory while traversing the length of the carrier fiber, thereby allowing spatial reuse of optical frequencies. We launch light from five different single-mode pigtail laser sources (of same wavelength) at different angles (with respect to the axis of the carrier fiber) into the carrier fiber. Owing to helical propagation, five distinct concentric donut-shaped rings with negligible crosstalk at the output end of the fiber were obtained. These SDM channels also exhibit orbital angular momentum (OAM), thereby adding an extradegree of photon freedom. We present the experimental data of five spatially multiplexed channels and compare them with simulated results to show that this technique can potentially improve the data capacity of optical fibers by an order of magnitude: A factor of five using SDM and another factor of two using OAM.

  2. Millisecond ordering of block-copolymer films via photo-thermal gradients

    DOE PAGES

    Majewski, Pawel W.; Yager, Kevin G.

    2015-03-12

    For the promise of self-assembly to be realized, processing techniques must be developed that simultaneously enable control of the nanoscale morphology, rapid assembly, and, ideally, the ability to pattern the nanostructure. Here, we demonstrate how photo-thermal gradients can be used to control the ordering of block-copolymer thin films. Highly localized laser heating leads to intense thermal gradients, which induce a thermophoretic force on morphological defects. This increases the ordering kinetics by at least 3 orders-of-magnitude, compared to conventional oven annealing. By simultaneously exploiting the thermal gradients to induce shear fields, we demonstrate uniaxial alignment of a block-copolymer film in lessmore » than a second. Finally, we provide examples of how control of the incident light-field can be used to generate prescribed configurations of block-copolymer nanoscale patterns.« less

  3. Rockfall hazard assessment by means of the magnitude-frequency curves in the Montserrat Massif (central Catalonia, Spain): first insights

    NASA Astrophysics Data System (ADS)

    Janeras, Marc; Domènech, Guillem; Pons, Judit; Prat, Elisabet; Buxó, Pere

    2016-04-01

    between 1 and 1000 m3. For the Monastery area, one event of a volume equal or higher than 1 m3 is expected within 6 years; for the parking area, a similar return period corresponds to a volume of 10 m3. These spatial differences detected between areas of the Montserrat massif (up to one order of magnitude) must be further explored. Extrapolation of these results to the whole massif leads to 9 events per year equal or larger than 10 m3. Finally, results have been compared with those obtained by TLS campaigns, in two pilot zones, capable of detecting small-sized rockfalls activity (Janeras et al. 2015), as well as by photointerpretation of noticeable events (Royán & Vilaplana, 2012) obtaining a satisfactory agreement. References: Janeras, Jara, López, Marturià, Royán, Vilaplana, Aguasca, Fàbregas, Cabranes, Gili; 2015. Using several monitoring techniques to measure the rock mass deformation in the Montserrat Massif. ISGG2015: Earth and Environmental Science 26 (2015) 012030. Royán & Vilaplana; 2012. Distribución espacio-temporal de los desprendimientos de rocas en la montaña de Montserrat. Cuaternario y Geomorfología (2012), 26 (1-2), 151-170.

  4. Reflection magnitude as a predictor of mortality: the Multi-Ethnic Study of Atherosclerosis.

    PubMed

    Zamani, Payman; Jacobs, David R; Segers, Patrick; Duprez, Daniel A; Brumback, Lyndia; Kronmal, Richard A; Lilly, Scott M; Townsend, Raymond R; Budoff, Matthew; Lima, Joao A; Hannan, Peter; Chirinos, Julio A

    2014-11-01

    Arterial wave reflections have been associated with mortality in an ethnically homogenous Asian population. It is unknown whether this association is present in a multiethnic population or whether it is independent of subclinical atherosclerosis. We hypothesized that reflection magnitude (defined as the ratio of the amplitude of the backward wave [Pb] to that of the forward wave [Pf]) is associated with all-cause mortality in a large multiethnic adult community-based sample. We studied 5984 participants enrolled in the Multi-Ethnic Study of Atherosclerosis who had analyzable arterial tonometry waveforms. During 9.8±1.7 years of follow-up, 617 deaths occurred, of which 134 (22%) were adjudicated cardiovascular deaths. In Cox proportional hazards models, each 10% increase in reflection magnitude was associated with a 31% increased risk for all-cause mortality (hazard ratio [HR]=1.31; 95% confidence interval [CI]=1.11-1.55; P=0.001). This relationship persisted after adjustment for various confounders and for markers of subclinical atherosclerosis (HR=1.23; 95% CI=1.01-1.51; P=0.04), including the coronary calcium score, ankle-brachial index, common carotid intima-media thickness, and ascending thoracic aortic Agatston score. Pb was independently associated with all-cause mortality in a similarly adjusted model (HR per 10 mm Hg increase in P(b)=2.18; 95% CI=1.21-3.92; P=0.009). Reflection magnitude (HR=1.71; 95% CI=1.06-2.77; P=0.03) and P(b) (HR=5.02; 95% CI=1.29-19.42; P=0.02) were mainly associated with cardiovascular mortality. In conclusion, reflection magnitude is independently associated with all-cause mortality in a multiethnic population initially free of clinically evident cardiovascular disease. This relationship persists after adjustment for a comprehensive set of markers of subclinical atherosclerosis. © 2014 American Heart Association, Inc.

  5. 75 FR 55292 - Amendment to Egg Research and Promotion Order and Regulations To Increase the Rate of Assessment...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-09-10

    ...] Amendment to Egg Research and Promotion Order and Regulations To Increase the Rate of Assessment and.... SUMMARY: This proposed rule would amend the Egg Research and Promotion Order (Order) to increase the assessment rate on egg producers paying assessments to the American Egg Board (AEB) from 10 cents to 15 cents...

  6. Differential startle magnitude in mice selected for high and low swim analgesia is not related to difference in nociception.

    PubMed

    Blaszczyk, Janusz W; Lapo, Iwona B; Werka, Tomasz; Sadowski, Bogdan

    2010-01-01

    The acoustic startle response (ASR) elicited by 110 dB 10-ms pulses was studied in relation to pain sensitivity in mouse lines selectively bred for high (HA) and for low (LA) swim analgesia. The magnitudes of ASR, similarly as hot-plate latencies, differed between the lines in the rank order HA is greater than unselected controls (C) greater than LA. The animals' nociception did not change after the ASR session consisting of a sequence of 20 acoustic stimuli. Morphine hydrochloride (5 and 10 mg per kg i.p.) increased hot-plate latencies in the order of HA greater than C greater than LA, and was not effective on ASR magnitude in HA as well as in C mice. In the LA line, 10 mg per kg of morphine slightly attenuated ASR, but caused only a little analgesia. We conclude that (1) the difference in ASR between the selected lines is inversely correlated with the difference in pain sensitivity; (2) the magnitude of ASR is not altered by morphine analgesia; (3) the procedure of ASR using brief acoustic pulses is not stressful enough to elicit a form of stress analgesia. The lack of a direct relationship between the readiness to startle and pain sensation may be beneficial for an animal's survival in dangerous situations. It is beneficial when the startle to a warning signal precedes defensive behaviors and it often must be effectuated in a state of decreased nociception.

  7. Reinforcement magnitude: an evaluation of preference and reinforcer efficacy.

    PubMed

    Trosclair-Lasserre, Nicole M; Lerman, Dorothea C; Call, Nathan A; Addison, Laura R; Kodak, Tiffany

    2008-01-01

    Consideration of reinforcer magnitude may be important for maximizing the efficacy of treatment for problem behavior. Nonetheless, relatively little is known about children's preferences for different magnitudes of social reinforcement or the extent to which preference is related to differences in reinforcer efficacy. The purpose of the current study was to evaluate the relations among reinforcer magnitude, preference, and efficacy by drawing on the procedures and results of basic experimentation in this area. Three children who engaged in problem behavior that was maintained by social positive reinforcement (attention, access to tangible items) participated. Results indicated that preference for different magnitudes of social reinforcement may predict reinforcer efficacy and that magnitude effects may be mediated by the schedule requirement.

  8. Accuracy increase of self-compensator

    NASA Astrophysics Data System (ADS)

    Zhambalova, S. Ts; Vinogradova, A. A.

    2018-03-01

    In this paper, the authors consider a self-compensation system and a method for increasing its accuracy, without compromising the condition of the information theory of measuring devices. The result can be achieved using the pulse control of the tracking system in the dead zone (the zone of the proportional section of the amplifier's characteristic). Pulse control allows one to increase the control power, but the input signal of the amplifier is infinitesimal. To do this, the authors use the conversion scheme for the input quantity. It is also possible to reduce the dead band, but the system becomes unstable. The amount of information received from the instrument, correcting circuits complicates the system, and, reducing the feedback coefficient dramatically, reduces the speed. Thanks to this, without compromising the measurement condition, the authors increase the accuracy of the self-compensation system. The implementation technique allows increasing the power of the input signal by many orders of magnitude.

  9. Reinforcer magnitude and demand under fixed-ratio schedules with domestic hens.

    PubMed

    Grant, Amber A; Foster, T Mary; Temple, William; Jackson, Surrey; Kinloch, Jennifer; Poling, Alan

    2014-03-01

    This study compared three methods of normalizing demand functions to allow comparison of demand for different commodities and examined how varying reinforcer magnitudes affected these analyses. Hens responded under fixed-ratio schedules in 40-min sessions with response requirement doubling each session and with 2-s, 8-s, and 12-s access to wheat. Over the smaller fixed ratios overall response rates generally increased and were higher the shorter the magazine duration. The logarithms of the number of reinforcers obtained (consumption) and the fixed ratio (price) were well fitted by curvilinear demand functions (Hursh et al., 1988. Journal of the Experimental Analysis of Behavior 50, 419-440) that were inelastic (b negative) over small fixed-ratios. The fixed ratio with maximal response rate (Pmax) increased, and the rate of change of elasticity (a) and initial consumption (L) decreased with increased magazine duration. Normalizing consumption using measures of preference for various magazine durations (3-s vs. 3-s, 2-s vs. 8-s, and 2-s vs. 12-s), obtained using concurrent schedules, gave useful results as it removed the differences in L. Normalizing consumption and price (Hursh and Winger, 1995. Journal of the Experimental Analysis of Behavior 64, 373-384) unified the data functions as intended by that analysis. The exponential function (Hursh and Silberberg, 2008. Psychological Review, 115, 186-198) gave an essential value that increased (i.e., α decreased significantly) as magazine duration decreased. This was not as predicted, since α should be constant over variations in magazine duration, but is similar to previous findings using a similar procedure with different food qualities (hens) and food quantities (rats). Copyright © 2014 Elsevier B.V. All rights reserved.

  10. High-magnitude flooding across Britain since AD 1750

    NASA Astrophysics Data System (ADS)

    Macdonald, Neil; Sangster, Heather

    2017-03-01

    The last decade has witnessed severe flooding across much of the globe, but have these floods really been exceptional? Globally, relatively few instrumental river flow series extend beyond 50 years, with short records presenting significant challenges in determining flood risk from high-magnitude floods. A perceived increase in extreme floods in recent years has decreased public confidence in conventional flood risk estimates; the results affect society (insurance costs), individuals (personal vulnerability) and companies (e.g. water resource managers). Here, we show how historical records from Britain have improved understanding of high-magnitude floods, by examining past spatial and temporal variability. The findings identify that whilst recent floods are notable, several comparable periods of increased flooding are identifiable historically, with periods of greater frequency (flood-rich periods). Statistically significant relationships between the British flood index, the Atlantic Meridional Oscillation and the North Atlantic Oscillation Index are identified. The use of historical records identifies that the largest floods often transcend single catchments affecting regions and that the current flood-rich period is not unprecedented.

  11. Anisotropic Brownian motion in ordered phases of DNA fragments.

    PubMed

    Dobrindt, J; Rodrigo Teixeira da Silva, E; Alves, C; Oliveira, C L P; Nallet, F; Andreoli de Oliveira, E; Navailles, L

    2012-01-01

    Using Fluorescence Recovery After Photobleaching, we investigate the Brownian motion of DNA rod-like fragments in two distinct anisotropic phases with a local nematic symmetry. The height of the measurement volume ensures the averaging of the anisotropy of the in-plane diffusive motion parallel or perpendicular to the local nematic director in aligned domains. Still, as shown in using a model specifically designed to handle such a situation and predicting a non-Gaussian shape for the bleached spot as fluorescence recovery proceeds, the two distinct diffusion coefficients of the DNA particles can be retrieved from data analysis. In the first system investigated (a ternary DNA-lipid lamellar complex), the magnitude and anisotropy of the diffusion coefficient of the DNA fragments confined by the lipid bilayers are obtained for the first time. In the second, binary DNA-solvent system, the magnitude of the diffusion coefficient is found to decrease markedly as DNA concentration is increased from isotropic to cholesteric phase. In addition, the diffusion coefficient anisotropy measured within cholesteric domains in the phase coexistence region increases with concentration, and eventually reaches a high value in the cholesteric phase.

  12. Removal of intensity bias in magnitude spin-echo MRI images by nonlinear diffusion filtering

    NASA Astrophysics Data System (ADS)

    Samsonov, Alexei A.; Johnson, Chris R.

    2004-05-01

    MRI data analysis is routinely done on the magnitude part of complex images. While both real and imaginary image channels contain Gaussian noise, magnitude MRI data are characterized by Rice distribution. However, conventional filtering methods often assume image noise to be zero mean and Gaussian distributed. Estimation of an underlying image using magnitude data produces biased result. The bias may lead to significant image errors, especially in areas of low signal-to-noise ratio (SNR). The incorporation of the Rice PDF into a noise filtering procedure can significantly complicate the method both algorithmically and computationally. In this paper, we demonstrate that inherent image phase smoothness of spin-echo MRI images could be utilized for separate filtering of real and imaginary complex image channels to achieve unbiased image denoising. The concept is demonstrated with a novel nonlinear diffusion filtering scheme developed for complex image filtering. In our proposed method, the separate diffusion processes are coupled through combined diffusion coefficients determined from the image magnitude. The new method has been validated with simulated and real MRI data. The new method has provided efficient denoising and bias removal in conventional and black-blood angiography MRI images obtained using fast spin echo acquisition protocols.

  13. Reinforcement Magnitude: An Evaluation of Preference and Reinforcer Efficacy

    PubMed Central

    Trosclair-Lasserre, Nicole M; Lerman, Dorothea C; Call, Nathan A; Addison, Laura R; Kodak, Tiffany

    2008-01-01

    Consideration of reinforcer magnitude may be important for maximizing the efficacy of treatment for problem behavior. Nonetheless, relatively little is known about children's preferences for different magnitudes of social reinforcement or the extent to which preference is related to differences in reinforcer efficacy. The purpose of the current study was to evaluate the relations among reinforcer magnitude, preference, and efficacy by drawing on the procedures and results of basic experimentation in this area. Three children who engaged in problem behavior that was maintained by social positive reinforcement (attention, access to tangible items) participated. Results indicated that preference for different magnitudes of social reinforcement may predict reinforcer efficacy and that magnitude effects may be mediated by the schedule requirement. PMID:18595284

  14. Valence and magnitude ambiguity in feedback processing.

    PubMed

    Gu, Ruolei; Feng, Xue; Broster, Lucas S; Yuan, Lu; Xu, Pengfei; Luo, Yue-Jia

    2017-05-01

    Outcome feedback which indicates behavioral consequences are crucial for reinforcement learning and environmental adaptation. Nevertheless, outcome information in daily life is often totally or partially ambiguous. Studying how people interpret this kind of information would provide important knowledge about the human evaluative system. This study concentrates on the neural processing of partially ambiguous feedback, that is, either its valence or magnitude is unknown to participants. To address this topic, we sequentially presented valence and magnitude information; electroencephalography (EEG) response to each kind of presentation was recorded and analyzed. The event-related potential components feedback-related negativity (FRN) and P3 were used as indices of neural activity. Consistent with previous literature, the FRN elicited by ambiguous valence was not significantly different from that elicited by negative valence. On the other hand, the FRN elicited by ambiguous magnitude was larger than both the large and small magnitude, indicating the motivation to seek unambiguous magnitude information. The P3 elicited by ambiguous valence and ambiguous magnitude was not significantly different from that elicited by negative valence and small magnitude, respectively, indicating the emotional significance of feedback ambiguity. Finally, the aforementioned effects also manifested in the stage of information integration. These findings indicate both similarities and discrepancies between the processing of valence ambiguity and that of magnitude ambiguity, which may help understand the mechanisms of ambiguous information processing.

  15. Developmental Dyscalculia and Automatic Magnitudes Processing: Investigating Interference Effects between Area and Perimeter.

    PubMed

    Eidlin-Levy, Hili; Rubinsten, Orly

    2017-01-01

    The relationship between numbers and other magnitudes has been extensively investigated in the scientific literature. Here, the objectives were to examine whether two continuous magnitudes, area and perimeter, are automatically processed and whether adults with developmental dyscalculia (DD) are deficient in their ability to automatically process one or both of these magnitudes. Fifty-seven students (30 with DD and 27 with typical development) performed a novel Stroop-like task requiring estimation of one aspect (area or perimeter) while ignoring the other. In order to track possible changes in automaticity due to practice, we measured performance after initial and continuous exposure to stimuli. Similar to previous findings, current results show a significant group × congruency interaction, evident beyond exposure level or magnitude type. That is, the DD group systematically showed larger Stroop effects. However, analysis of each exposure period showed that during initial exposure to stimuli the DD group showed larger Stroop effects in the perimeter and not in the area task. In contrast, during continuous exposure to stimuli no triple interaction was evident. It is concluded that both magnitudes are automatically processed. Nevertheless, individuals with DD are deficient in inhibiting irrelevant magnitude information in general and, specifically, struggle to inhibit salient area information after initial exposure to a perimeter comparison task. Accordingly, the findings support the assumption that DD involves a deficiency in multiple cognitive components, which include domain-specific and domain-general cognitive functions.

  16. Developmental Dyscalculia and Automatic Magnitudes Processing: Investigating Interference Effects between Area and Perimeter

    PubMed Central

    Eidlin-Levy, Hili; Rubinsten, Orly

    2017-01-01

    The relationship between numbers and other magnitudes has been extensively investigated in the scientific literature. Here, the objectives were to examine whether two continuous magnitudes, area and perimeter, are automatically processed and whether adults with developmental dyscalculia (DD) are deficient in their ability to automatically process one or both of these magnitudes. Fifty-seven students (30 with DD and 27 with typical development) performed a novel Stroop-like task requiring estimation of one aspect (area or perimeter) while ignoring the other. In order to track possible changes in automaticity due to practice, we measured performance after initial and continuous exposure to stimuli. Similar to previous findings, current results show a significant group × congruency interaction, evident beyond exposure level or magnitude type. That is, the DD group systematically showed larger Stroop effects. However, analysis of each exposure period showed that during initial exposure to stimuli the DD group showed larger Stroop effects in the perimeter and not in the area task. In contrast, during continuous exposure to stimuli no triple interaction was evident. It is concluded that both magnitudes are automatically processed. Nevertheless, individuals with DD are deficient in inhibiting irrelevant magnitude information in general and, specifically, struggle to inhibit salient area information after initial exposure to a perimeter comparison task. Accordingly, the findings support the assumption that DD involves a deficiency in multiple cognitive components, which include domain-specific and domain-general cognitive functions. PMID:29312066

  17. Substituent Dependence of Third-Order Optical Nonlinearity in Chalcone Derivatives

    NASA Astrophysics Data System (ADS)

    Kiran, Anthony John; Satheesh Rai, Nooji; Chandrasekharan, Keloth; Kalluraya, Balakrishna; Rotermund, Fabian

    2008-08-01

    The third-order nonlinear optical properties of derivatives of dibenzylideneacetone were investigated using the single beam z-scan technique at 532 nm. A strong dependence of third-order optical nonlinearity on electron donor and acceptor type of substituents was observed. An enhancement in χ(3)-value of one order of magnitude was achieved upon the substitution of strong electron donors compared to that of the molecule substituted with an electron acceptor. The magnitude of nonlinear refractive index of these chalcones is as high as of 10-11 esu. Their nonlinear optical coefficients are larger than those of widely used thiophene oligomers and trans-1-[p-(p-dimethylaminobenzyl-azo)-benzyl]-2-(N-methyl-4-pyridinium)-ethene iodide (DABA-PEI) organic compounds.

  18. Magnitude scale for the Central American tsunamis

    NASA Astrophysics Data System (ADS)

    Hatori, Tokutaro

    1995-09-01

    Based on the tsunami data in the Central American region, the regional characteristic of tsunami magnitude scales is discussed in relation to earthquake magnitudes during the period from 1900 to 1993. Tsunami magnitudes on the Imamura-Iida scale of the 1985 Mexico and 1992 Nicaragua tsunamis are determined to be m=2.5, judging from the tsunami height-distance diagram. The magnitude values of the Central American tsunamis are relatively small compared to earthquakes with similar size in other regions. However, there are a few large tsunamis generated by low-frequency earthquakes such as the 1992 Nicaragua earthquake. Inundation heights of these unusual tsunamis are about 10 times higher than those of normal tsunamis for the same earthquake magnitude ( M s =6.9 7.2). The Central American tsunamis having magnitude m>1 have been observed by the Japanese tide stations, but the effect of directivity toward Japan is very small compared to that of the South American tsunamis.

  19. Terminal hospitalizations of nursing home residents: does facility increasing the rate of do not resuscitate orders reduce them?

    PubMed

    Teno, Joan M; Gozalo, Pedro; Mitchell, Susan L; Bynum, Julie P W; Dosa, David; Mor, Vincent

    2011-06-01

    Terminal hospitalizations are costly and often avoidable with appropriate advance care planning. This study examined the association between advance care planning, as measured by facility rate of do not resuscitate (DNR) orders in U.S. nursing homes (NHs) and changes in terminal hospitalization rates. Retrospective cohort study of the changing prevalence of DNR orders in U.S. NHs. Using a fixed effect multivariate model, we examined whether increasing facility rate of DNR orders correlates with reductions in terminal hospitalizations in the last week of life, controlling for changes in facility characteristics (staffing, use of NP/PA, case mix of nursing residents, admission volume, racial composition, payer mix). The average facility rate of terminal hospitalizations was 15.5%, fluctuating between 1999 (15.0%) and 2007 (14.8%). NHs starting with low rates of DNR orders that increased their rates had fewer terminal hospital admissions in 2007 (11.2%) than facilities with continuously low DNR usage. Even after applying a multivariate fixed effect model, the effect of changes in facility DNR order rate on terminal hospitalization was -0.056 (95% confidence interval: -0.061, -0.050), indicating that for every 10% increase in DNR orders there was 0.56% decrease in terminal hospitalizations. This rate can be compared with the increase of 0.70% in the terminal hospitalization rate when an NH became disproportionately dependent on Medicaid funding or the 0.40% decrease in terminal hospitalization rate associated with adding a nurse practitioner to the clinical staff complement. NHs that changed their culture of decision making by increasing their facility rate of DNR orders decreased their rate of terminal hospitalizations. Copyright © 2011 U.S. Cancer Pain Relief Committee. Published by Elsevier Inc. All rights reserved.

  20. Fast Moment Magnitude Determination from P-wave Trains for Bucharest Rapid Early Warning System (BREWS)

    NASA Astrophysics Data System (ADS)

    Lizurek, Grzegorz; Marmureanu, Alexandru; Wiszniowski, Jan

    2017-03-01

    Bucharest, with a population of approximately 2 million people, has suffered damage from earthquakes in the Vrancea seismic zone, which is located about 170 km from Bucharest, at a depth of 80-200 km. Consequently, an earthquake early warning system (Bucharest Rapid earthquake Early Warning System or BREWS) was constructed to provide some warning about impending shaking from large earthquakes in the Vrancea zone. In order to provide quick estimates of magnitude, seismic moment was first determined from P-waves and then a moment magnitude was determined from the moment. However, this magnitude may not be consistent with previous estimates of magnitude from the Romanian Seismic Network. This paper introduces the algorithm using P-wave spectral levels and compares them with catalog estimates. The testing procedure used waveforms from about 90 events with catalog magnitudes from 3.5 to 5.4. Corrections to the P-wave determined magnitudes according to dominant intermediate depth events mechanism were tested for November 22, 2014, M5.6 and October 17, M6 events. The corrections worked well, but unveiled overestimation of the average magnitude result of about 0.2 magnitude unit in the case of shallow depth event ( H < 60 km). The P-wave spectral approach allows for the relatively fast estimates of magnitude for use in BREWS. The average correction taking into account the most common focal mechanism for radiation pattern coefficient may lead to overestimation of the magnitude for shallow events of about 0.2 magnitude unit. However, in case of events of intermediate depth of M6 the resulting M w is underestimated at about 0.1-0.2. We conclude that our P-wave spectral approach is sufficiently robust for the needs of BREWS for both shallow and intermediate depth events.

  1. Effect of Maturation of the Magnitude of Mechanosensitive and Chemosensitive Reflexes in the Premature Human Esophagus

    PubMed Central

    Jadcherla, Sudarshan Rao; Hoffmann, Raymond G.; Shaker, Reza

    2014-01-01

    Objectives To investigate the effect of esophageal mechanosensitive and chemosensitive stimulation on the magnitude and recruitment of peristaltic reflexes and upper esophageal sphincter (UES)-contractile reflex in premature infants. Study design Esophageal manometry and provocation testing were performed in the same 18 neonates at 33 and 36 weeks postmenstrual age (PMA). Mechanoreceptor and chemoreceptor stimulation were performed using graded volumes of air, water, and apple juice (pH 3.7), respectively. The frequency and magnitude of the resulting esophago-deglutition response (EDR) or secondary peristalsis (SP), and esophago-UES-contractile reflex (EUCR) were quantified. Results Threshold volumes to evoke EDR, SP, or EUCR were similar. The recruitment and magnitude of SP and EUCR increased with volume increments of air and water in either study (P < .05). However, apple juice infusions resulted in increased recruitment of EDR in the 33 weeks group (P < .05), and SP in the 36 weeks group (P < .05). The magnitude of EUCR was also volume responsive (all media, P < .05), and significant differences between media were noted (P < .05). At maximal stimulation (1 mL, all media), sensory-motor characteristics of peristaltic and EUCR reflexes were different (P < .05) between media and groups. Conclusions Mechano- and chemosensitive stimuli evoke volume-dependent specific peristaltic and UES reflexes at 33 and 36 weeks PMA. The recruitment and magnitude of these reflexes are dependent on the physicochemical properties of the stimuli in healthy premature infants. PMID:16860132

  2. Climate change impacts on the temperature and magnitude of groundwater discharge from shallow, unconfined aquifers

    USGS Publications Warehouse

    Kurylyk, Barret L.; MacQuarrie, Kerry T.B; Voss, Clifford I.

    2014-01-01

    Cold groundwater discharge to streams and rivers can provide critical thermal refuge for threatened salmonids and other aquatic species during warm summer periods. Climate change may influence groundwater temperature and flow rates, which may in turn impact riverine ecosystems. This study evaluates the potential impact of climate change on the timing, magnitude, and temperature of groundwater discharge from small, unconfined aquifers that undergo seasonal freezing and thawing. Seven downscaled climate scenarios for 2046–2065 were utilized to drive surficial water and energy balance models (HELP3 and ForHyM2) to obtain future projections for daily ground surface temperature and groundwater recharge. These future surface conditions were then applied as boundary conditions to drive subsurface simulations of variably saturated groundwater flow and energy transport. The subsurface simulations were performed with the U.S. Geological Survey finite element model SUTRA that was recently modified to include the dynamic freeze-thaw process. The SUTRA simulations indicate a potential rise in the magnitude (up to 34%) and temperature (up to 3.6°C) of groundwater discharge to the adjacent river during the summer months due to projected increases in air temperature and precipitation. The thermal response of groundwater to climate change is shown to be strongly dependent on the aquifer dimensions. Thus, the simulations demonstrate that the thermal sensitivity of aquifers and baseflow-dominated streams to decadal climate change may be more complex than previously thought. Furthermore, the results indicate that the probability of exceeding critical temperature thresholds within groundwater-sourced thermal refugia may significantly increase under the most extreme climate scenarios.

  3. The influence of cross-order terms in interface mobilities for structure-borne sound source characterization

    NASA Astrophysics Data System (ADS)

    Bonhoff, H. A.; Petersson, B. A. T.

    2010-08-01

    For the characterization of structure-borne sound sources with multi-point or continuous interfaces, substantial simplifications and physical insight can be obtained by incorporating the concept of interface mobilities. The applicability of interface mobilities, however, relies upon the admissibility of neglecting the so-called cross-order terms. Hence, the objective of the present paper is to clarify the importance and significance of cross-order terms for the characterization of vibrational sources. From previous studies, four conditions have been identified for which the cross-order terms can become more influential. Such are non-circular interface geometries, structures with distinctively differing transfer paths as well as a suppression of the zero-order motion and cases where the contact forces are either in phase or out of phase. In a theoretical study, the former four conditions are investigated regarding the frequency range and magnitude of a possible strengthening of the cross-order terms. For an experimental analysis, two source-receiver installations are selected, suitably designed to obtain strong cross-order terms. The transmitted power and the source descriptors are predicted by the approximations of the interface mobility approach and compared with the complete calculations. Neglecting the cross-order terms can result in large misinterpretations at certain frequencies. On average, however, the cross-order terms are found to be insignificant and can be neglected with good approximation. The general applicability of interface mobilities for structure-borne sound source characterization and the description of the transmission process thereby is confirmed.

  4. [Increase in orders for specific IgE tests and more positive results in children in 1985-2003].

    PubMed

    Baatenburg de Jong, A; Dikkeschei, L D; Brand, P L P

    2008-08-09

    To describe changes over time in the number of allergy tests for specific IgE ordered and outcomes in children, to help address the question whether the increase in allergies is due to an actual increase in sensitisation or an increase in diagnostic awareness of allergies among physicians. Retrospective and descriptive. We reviewed the results of all specific IgE tests performed in our hospital's laboratory for children 0-18 years of age in the period 1985-2003. This included tests ordered by both general practitioners and hospital-based specialists. We analysed trends over time in the number of tests ordered (as an indicator ofdiagnostic awareness) and test results (as an indicator ofsensitisation). Between 1989 and 1995, the annual number of tests ordered increased from 1 per 10,000 children to 95 per 10,000 children and remained stable thereafter. Before 1990, more than 90% of tests were ordered by hospital-based specialists; after 1990, approximately 70% of the tests were ordered by general practitioners (p < 0.001). The proportion of positive tests remained stable at approximately 27% until 1991, after which it increased to more than 45% (p < 0.001). The increase in the proportion of positive tests suggests an increase in atopic sensitization between 1985 and 2000 which has stabilized since.

  5. Increasing the Value of an Alternative Monetary Reinforcer Reduces Cigarette Choice in Adolescents.

    PubMed

    Cassidy, Rachel N; Tidey, Jennifer W; Kahler, Christopher W; Wray, Tyler B; Colby, Suzanne M

    2015-12-01

    Smoking can be conceptualized as an operant behavior maintained by the reinforcing effects of cigarettes. Changing the magnitude and availability of alternative reinforcers should shift behavior away from smoking. Adults' smoking behavior is sensitive to the magnitude and availability of alternative reinforcers; however, the extent to which the same is true for adolescents has not yet been shown in the laboratory. To test the sensitivity of adolescent smoking behavior to changes in the magnitude of alternative reinforcement, we gave adolescents who abstained overnight the opportunity to make 20 choices between receiving two puffs of their usual-brand cigarette or money. The magnitude of the monetary reinforcer was varied across sessions in counterbalanced order ($0.00, $0.10, and $0.50). Results indicated that adolescents' choices for puffs decreased as a function of increasing monetary reinforcer magnitude, while money choices increased. This effect was moderated by baseline smoking level and by gender, such that heavier-smoking participants and males made more cigarette choices when the alternative monetary value was zero, and decreased their choices more steeply in response to increasing monetary value. The current study validates a laboratory choice procedure for studying smoking in adolescents, and demonstrates that adolescent smoking behavior is sensitive to changes in the magnitude of concurrently available monetary reinforcers. The current paradigm can be adapted and applied to explore the effects of other variables that may affect cigarette choice in adolescents. © The Author 2015. Published by Oxford University Press on behalf of the Society for Research on Nicotine and Tobacco. All rights reserved. For permissions, please e-mail: journals.permissions@oup.com.

  6. Statistical relations among earthquake magnitude, surface rupture length, and surface fault displacement

    USGS Publications Warehouse

    Bonilla, Manuel G.; Mark, Robert K.; Lienkaemper, James J.

    1984-01-01

    In order to refine correlations of surface-wave magnitude, fault rupture length at the ground surface, and fault displacement at the surface by including the uncertainties in these variables, the existing data were critically reviewed and a new data base was compiled. Earthquake magnitudes were redetermined as necessary to make them as consistent as possible with the Gutenberg methods and results, which make up much of the data base. Measurement errors were estimated for the three variables for 58 moderate to large shallow-focus earthquakes. Regression analyses were then made utilizing the estimated measurement errors.The regression analysis demonstrates that the relations among the variables magnitude, length, and displacement are stochastic in nature. The stochastic variance, introduced in part by incomplete surface expression of seismogenic faulting, variation in shear modulus, and regional factors, dominates the estimated measurement errors. Thus, it is appropriate to use ordinary least squares for the regression models, rather than regression models based upon an underlying deterministic relation in which the variance results primarily from measurement errors.Significant differences exist in correlations of certain combinations of length, displacement, and magnitude when events are grouped by fault type or by region, including attenuation regions delineated by Evernden and others.Estimates of the magnitude and the standard deviation of the magnitude of a prehistoric or future earthquake associated with a fault can be made by correlating Ms with the logarithms of rupture length, fault displacement, or the product of length and displacement.Fault rupture area could be reliably estimated for about 20 of the events in the data set. Regression of Ms on rupture area did not result in a marked improvement over regressions that did not involve rupture area. Because no subduction-zone earthquakes are included in this study, the reported results do not apply to such

  7. First-principles studies of chromium line-ordered alloys in a molybdenum disulfide monolayer

    NASA Astrophysics Data System (ADS)

    Andriambelaza, N. F.; Mapasha, R. E.; Chetty, N.

    2017-08-01

    Density functional theory calculations have been performed to study the thermodynamic stability, structural and electronic properties of various chromium (Cr) line-ordered alloy configurations in a molybdenum disulfide (MoS2) hexagonal monolayer for band gap engineering. Only the molybdenum (Mo) sites were substituted at each concentration in this study. For comparison purposes, different Cr line-ordered alloy and random alloy configurations were studied and the most thermodynamically stable ones at each concentration were identified. The configurations formed by the nearest neighbor pair of Cr atoms are energetically most favorable. The line-ordered alloys are constantly lower in formation energy than the random alloys at each concentration. An increase in Cr concentration reduces the lattice constant of the MoS2 system following the Vegard’s law. From density of states analysis, we found that the MoS2 band gap is tunable by both the Cr line-ordered alloys and random alloys with the same magnitudes. The reduction of the band gap is mainly due to the hybridization of the Cr 3d and Mo 4d orbitals at the vicinity of the band edges. The band gap engineering and magnitudes (1.65 eV to 0.86 eV) suggest that the Cr alloys in a MoS2 monolayer are good candidates for nanotechnology devices.

  8. The magnitude and variability of soil-surface CO2 efflux increase with temperature in Hawaiian tropical montane wet forests

    Treesearch

    Creighton M. Litton; Christian P. Giardina; Jeremy K. Albano; Michael S. Long; Gregory P. Asner

    2011-01-01

    Soil-surface CO2 efflux (FS; ‘soil respiration’) accounts for 50% of the CO2 released annually by the terrestrial biosphere to the atmosphere, and the magnitude and variability of this flux are likely to be sensitive to climate change. We measured FS in nine permanent plots along a 5.2C mean annual...

  9. Line tension controls liquid-disordered + liquid-ordered domain size transition in lipid bilayers

    DOE PAGES

    Usery, Rebecca D.; Enoki, Thais A.; Wickramasinghe, Sanjula P.; ...

    2017-04-11

    To better understand animal cell plasma membranes, we studied simplified models, namely four-component lipid bilayer mixtures. Here we describe the domain size transition in the region of coexisting liquid-disordered (Ld) + liquid-ordered (Lo) phases. This transition occurs abruptly in composition space with domains increasing in size by two orders of magnitude, from tens of nanometers to microns. We measured the line tension between coexisting Ld and Lo domains close to the domain size transition for a variety of lipid mixtures, finding that in every case the transition occurs at a line tension of ~0.3 pN. A computational model incorporating linemore » tension and dipole repulsion indicated that even small changes in line tension can result in domains growing in size by several orders of magnitude, consistent with experimental observations. Lastly, we find that other properties of the coexisting Ld and Lo phases do not change significantly in the vicinity of the abrupt domain size transition.« less

  10. Line tension controls liquid-disordered + liquid-ordered domain size transition in lipid bilayers

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Usery, Rebecca D.; Enoki, Thais A.; Wickramasinghe, Sanjula P.

    To better understand animal cell plasma membranes, we studied simplified models, namely four-component lipid bilayer mixtures. Here we describe the domain size transition in the region of coexisting liquid-disordered (Ld) + liquid-ordered (Lo) phases. This transition occurs abruptly in composition space with domains increasing in size by two orders of magnitude, from tens of nanometers to microns. We measured the line tension between coexisting Ld and Lo domains close to the domain size transition for a variety of lipid mixtures, finding that in every case the transition occurs at a line tension of ~0.3 pN. A computational model incorporating linemore » tension and dipole repulsion indicated that even small changes in line tension can result in domains growing in size by several orders of magnitude, consistent with experimental observations. Lastly, we find that other properties of the coexisting Ld and Lo phases do not change significantly in the vicinity of the abrupt domain size transition.« less

  11. Continuous estimates on the earthquake early warning magnitude by use of the near-field acceleration records

    NASA Astrophysics Data System (ADS)

    Li, Jun; Jin, Xing; Wei, Yongxiang; Zhang, Hongcai

    2013-10-01

    In this article, the seismic records of Japan's Kik-net are selected to measure the acceleration, displacement, and effective peak acceleration of each seismic record within a certain time after P wave, then a continuous estimation is given on earthquake early warning magnitude through statistical analysis method, and Wenchuan earthquake record is utilized to check the method. The results show that the reliability of earthquake early warning magnitude continuously increases with the increase of the seismic information, the biggest residual happens if the acceleration is adopted to fit earthquake magnitude, which may be caused by rich high-frequency components and large dispersion of peak value in acceleration record, the influence caused by the high-frequency components can be effectively reduced if the effective peak acceleration and peak displacement is adopted, it is estimated that the dispersion of earthquake magnitude obviously reduces, but it is easy for peak displacement to be affected by long-period drifting. In various components, the residual enlargement phenomenon at vertical direction is almost unobvious, thus it is recommended in this article that the effective peak acceleration at vertical direction is preferred to estimate earthquake early warning magnitude. Through adopting Wenchuan strong earthquake record to check the method mentioned in this article, it is found that this method can be used to quickly, stably, and accurately estimate the early warning magnitude of this earthquake, which shows that this method is completely applicable for earthquake early warning.

  12. Relationship Between Magnitude of Applied Spin Recovery Moment and Ensuing Number of Recovery Turns

    NASA Technical Reports Server (NTRS)

    Anglin, Ernie L.

    1967-01-01

    An analytical study has been made to investigate the relationship between the magnitude of the applied spin recovery moment and the ensuing number of turns made during recovery from a developed spin with a view toward determining how to interpolate or extrapolate spin recovery results with regard to determining the amount of control required for a satisfactory recovery. Five configurations were used which are considered to be representative of modern airplanes: a delta-wing fighter, a stub-wing research vehicle, a boostglide configuration, a supersonic trainer, and a sweptback-wing fighter. The results obtained indicate that there is a direct relationship between the magnitude of the applied spin recovery moments and the ensuing number of recovery turns made and that this relationship can be expressed in either simple multiplicative or exponential form. Either type of relationship was adequate for interpolating or extrapolating to predict turns required for recovery with satisfactory accuracy for configurations having relatively steady recovery motions. Any two recoveries from the same developed spin condition can be used as a basis for the predicted results provided these recoveries are obtained with the same ratio of recovery control deflections. No such predictive method can be expected to give satisfactory results for oscillatory recoveries.

  13. Third-order nonlinear optical properties of methylammonium lead halide perovskite films

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Johnson, Justin C.; Li, Zhen; Ndione, Paul F.

    2016-01-01

    We report third-order nonlinear coefficient values and decay time kinetics vs. halide composition (CH3NH3PbBr3 and CH3NH3PbBr2I), temperature, and excitation wavelength. The maximum values of the third-order nonlinear susceptibility X(3) (-1.6 x 10-6 esu) are similar to or larger than many common third-order materials. The source of the nonlinearity is shown to be primarily excitonic in the tribromide film by virtue of its strong enhancement near the exciton resonance. Nonresonant excitation reduces the nonlinearity significantly, as does increasing the temperature. Substitution of one I for one Br also reduces the nonlinearity by at least one order of magnitude, presumably due tomore » the lack of strong exciton resonance in the substituted form. The thin films are stable, highly homogenous (lacking significant light scattering), and simple and inexpensive to fabricate, making them potentially useful in a variety of optoelectronic applications in which wavelength selectivity is important.« less

  14. Achieving continuity: a story of stellar magnitude

    NASA Astrophysics Data System (ADS)

    Evans, Michael S.

    2010-03-01

    Scientists tell a story of 2,000 years of stellar magnitude research that traces back to Hipparchus. This story of continuity in practices serves an important role in scientific education and outreach. STS scholars point out many ways that stories of continuity, like many narratives about science, are disconnected from practices. Yet the story of continuity in stellar magnitude is a powerful scientific achievement precisely because of its connection to practice. The historical development of star catalogues shows how specific recording practices connected past and present in a useful way. The narrative of continuity in stellar magnitude, however else it might be subject to STS critique of narrative, maintains its power because of its connection to practice. I suggest that more attention be paid to connections between practice and narrative in STS, and in particular to the ways that historical practices sustain narratives by connecting past and present.

  15. Electrical conductivity of oxidized-graphenic nanoplatelets obtained from bamboo: effect of the oxygen content

    NASA Astrophysics Data System (ADS)

    Gross, K.; Prías Barragán, J. J.; Sangiao, S.; De Teresa, J. M.; Lajaunie, L.; Arenal, R.; Ariza Calderón, H.; Prieto, P.

    2016-09-01

    The large-scale production of graphene and reduced-graphene oxide (rGO) requires low-cost and eco-friendly synthesis methods. We employed a new, simple, cost-effective pyrolytic method to synthetize oxidized-graphenic nanoplatelets (OGNP) using bamboo pyroligneous acid (BPA) as a source. Thorough analyses via high-resolution transmission electron microscopy and electron energy-loss spectroscopy provides a complete structural and chemical description at the local scale of these samples. In particular, we found that at the highest carbonization temperature the OGNP-BPA are mainly in a sp2 bonding configuration (sp2 fraction of 87%). To determine the electrical properties of single nanoplatelets, these were contacted by Pt nanowires deposited through focused-ion-beam-induced deposition techniques. Increased conductivity by two orders of magnitude is observed as oxygen content decreases from 17% to 5%, reaching a value of 2.3 × 103 S m-1 at the lowest oxygen content. Temperature-dependent conductivity reveals a semiconductor transport behavior, described by the Mott three-dimensional variable range hopping mechanism. From the localization length, we estimate a band-gap value of 0.22(2) eV for an oxygen content of 5%. This investigation demonstrates the great potential of the OGNP-BPA for technological applications, given that their structural and electrical behavior is similar to the highly reduced rGO sheets obtained by more sophisticated conventional synthesis methods.

  16. Microscopic cascading of second-order molecular nonlinearity: New design principles for enhancing third-order nonlinearity.

    PubMed

    Baev, Alexander; Autschbach, Jochen; Boyd, Robert W; Prasad, Paras N

    2010-04-12

    Herein, we develop a phenomenological model for microscopic cascading and substantiate it with ab initio calculations. It is shown that the concept of local microscopic cascading of a second-order nonlinearity can lead to a third-order nonlinearity, without introducing any new loss mechanisms that could limit the usefulness of our approach. This approach provides a new molecular design protocol, in which the current great successes achieved in producing molecules with extremely large second-order nonlinearity can be used in a supra molecular organization in a preferred orientation to generate very large third-order response magnitudes. The results of density functional calculations for a well-known second-order molecule, (para)nitroaniline, show that a head-to-tail dimer configuration exhibits enhanced third-order nonlinearity, in agreement with the phenomenological model which suggests that such an arrangement will produce cascading due to local field effects.

  17. Maternal body condition influences magnitude of anti-predator response in offspring.

    PubMed

    Bennett, Amanda M; Murray, Dennis L

    2014-11-07

    Organisms exhibit plasticity in response to their environment, but there is large variation even within populations in the expression and magnitude of response. Maternal influence alters offspring survival through size advantages in growth and development. However, the relationship between maternal influence and variation in plasticity in response to predation risk is unknown. We hypothesized that variation in the magnitude of plastic responses between families is at least partly due to maternal provisioning and examined the relationship between maternal condition, egg provisioning and magnitude of plastic response to perceived predation risk (by dragonfly larvae: Aeshna spp.) in northern leopard frogs (Lithobates pipiens). Females in better body condition tended to lay more (clutch size) larger (egg diameter) eggs. Tadpoles responded to predation risk by increasing relative tail depth (morphology) and decreasing activity (behaviour). We found a positive relationship between morphological effect size and maternal condition, but no relationship between behavioural effect size and maternal condition. These novel findings suggest that limitations imposed by maternal condition can constrain phenotypic variation, ultimately influencing the capacity of populations to respond to environmental change. © 2014 The Author(s) Published by the Royal Society. All rights reserved.

  18. Rapid Earthquake Magnitude Estimation for Early Warning Applications

    NASA Astrophysics Data System (ADS)

    Goldberg, Dara; Bock, Yehuda; Melgar, Diego

    2017-04-01

    Earthquake magnitude is a concise metric that provides invaluable information about the destructive potential of a seismic event. Rapid estimation of magnitude for earthquake and tsunami early warning purposes requires reliance on near-field instrumentation. For large magnitude events, ground motions can exceed the dynamic range of near-field broadband seismic instrumentation (clipping). Strong motion accelerometers are designed with low gains to better capture strong shaking. Estimating earthquake magnitude rapidly from near-source strong-motion data requires integration of acceleration waveforms to displacement. However, integration amplifies small errors, creating unphysical drift that must be eliminated with a high pass filter. The loss of the long period information due to filtering is an impediment to magnitude estimation in real-time; the relation between ground motion measured with strong-motion instrumentation and magnitude saturates, leading to underestimation of earthquake magnitude. Using station displacements from Global Navigation Satellite System (GNSS) observations, we can supplement the high frequency information recorded by traditional seismic systems with long-period observations to better inform rapid response. Unlike seismic-only instrumentation, ground motions measured with GNSS scale with magnitude without saturation [Crowell et al., 2013; Melgar et al., 2015]. We refine the current magnitude scaling relations using peak ground displacement (PGD) by adding a large GNSS dataset of earthquakes in Japan. Because it does not suffer from saturation, GNSS alone has significant advantages over seismic-only instrumentation for rapid magnitude estimation of large events. The earthquake's magnitude can be estimated within 2-3 minutes of earthquake onset time [Melgar et al., 2013]. We demonstrate that seismogeodesy, the optimal combination of GNSS and seismic data at collocated stations, provides the added benefit of improving the sensitivity of

  19. The effect of scopolamine on matching behavior and the estimation of relative reward magnitude.

    PubMed

    Leon, Matthew I; Rodriguez-Barrera, Vanessa; Amaya, Aldo

    2017-10-01

    We investigated the behavioral effects of scopolamine on rats that bar pressed for trains of electrically stimulating pulses under concurrent variable interval schedules of reward. For the first half of the session (30 min) a 1:4 ratio in the programmed number of stimulation trains delivered at each option was in effect. At the start of the second half of the session, an unsignaled reversal in the relative train number (4:1) occurred. We tracked the relative magnitude of reward estimated for each contiguous pair of reinforced visits to competing options. Scopolamine hydrobromide led to a reduction in the relative magnitude of reward. A similar result was obtained in a follow-up test in which relative magnitude was manipulated by varying the pulse frequency of stimulation, while equating the train number at each option. The effect of scopolamine hydrobromide could not be attributed to undermatching, side bias, nor to an effect of scopolamine on the reward integration process. When the same rats were treated with scopolamine methylbromide, no effects on matching behavior were observed. Our results suggest a cholinergic basis for the computation of choice variables related to matching behavior. (PsycINFO Database Record (c) 2017 APA, all rights reserved).

  20. Monetary reward magnitude effects on behavior and brain function during goal-directed behavior.

    PubMed

    Rosell-Negre, P; Bustamante, J C; Fuentes-Claramonte, P; Costumero, V; Benabarre, S; Barrós-Loscertales, A

    2017-08-01

    Reward may modulate the cognitive processes required for goal achievement, while individual differences in personality may affect reward modulation. Our aim was to test how different monetary reward magnitudes modulate brain activation and performance during goal-directed behavior, and whether individual differences in reward sensitivity affect this modulation. For this purpose, we scanned 37 subjects with a parametric design in which we varied the magnitude of monetary rewards (€0, €0.01, €0.5, €1 or €1.5) in a blocked fashion while participants performed an interference counting-Stroop condition. The results showed that the brain activity of left dorsolateral prefrontal cortex (DLPFC) and the striatum were modulated by increasing and decreasing reward magnitudes, respectively. Behavioral performance improved as the magnitude of monetary reward increased while comparing the non reward (€0) condition to any other reward condition, or the lower €0.01 to any other reward condition, and this improvement was related with individual differences in reward sensitivity. In conclusion, the locus of influence of monetary incentives overlaps the activity of the regions commonly involved in cognitive control.

  1. 49 CFR 39.37 - May PVOs require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2010 CFR

    2010-10-01

    ... provide advance notice in order to obtain particular auxiliary aids and services or to arrange group... aids and services or to arrange group travel? (a) Except as provided in this section, as a PVO you must... particular auxiliary aids and services, you may request reasonable advance notice to guarantee the...

  2. 49 CFR 39.37 - May PVOs require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2012 CFR

    2012-10-01

    ... provide advance notice in order to obtain particular auxiliary aids and services or to arrange group... aids and services or to arrange group travel? (a) Except as provided in this section, as a PVO you must... particular auxiliary aids and services, you may request reasonable advance notice to guarantee the...

  3. 49 CFR 39.37 - May PVOs require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2014 CFR

    2014-10-01

    ... provide advance notice in order to obtain particular auxiliary aids and services or to arrange group... aids and services or to arrange group travel? (a) Except as provided in this section, as a PVO you must... particular auxiliary aids and services, you may request reasonable advance notice to guarantee the...

  4. 49 CFR 39.37 - May PVOs require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2011 CFR

    2011-10-01

    ... provide advance notice in order to obtain particular auxiliary aids and services or to arrange group... aids and services or to arrange group travel? (a) Except as provided in this section, as a PVO you must... particular auxiliary aids and services, you may request reasonable advance notice to guarantee the...

  5. 49 CFR 39.37 - May PVOs require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2013 CFR

    2013-10-01

    ... provide advance notice in order to obtain particular auxiliary aids and services or to arrange group... aids and services or to arrange group travel? (a) Except as provided in this section, as a PVO you must... particular auxiliary aids and services, you may request reasonable advance notice to guarantee the...

  6. Magnitude of income-related disparities in adverse perinatal outcomes.

    PubMed

    Shankardass, Ketan; O'Campo, Patricia; Dodds, Linda; Fahey, John; Joseph, Ks; Morinis, Julia; Allen, Victoria M

    2014-03-04

    To assess and compare multiple measurements of socioeconomic position (SEP) in order to determine the relationship with adverse perinatal outcomes across various contexts. A birth registry, the Nova Scotia Atlee Perinatal Database, was confidentially linked to income tax and related information for the year in which delivery occurred. Multiple logistic regression was used to examine odds ratios between multiple indicators of SEP and multiple adverse perinatal outcomes in 117734 singleton births between 1988 and 2003. Models for after tax family income were also adjusted for neighborhood deprivation to gauge the relative magnitude of effects related to SEP at both levels. Effects of SEP were stratified by single- versus multiple-parent family composition, and by urban versus rural location of residence. The risk of small for gestational age and spontaneous preterm birth was higher across all the indicators of lower SEP, while risk for large for gestational age was lower across indicators of lower SEP. Higher risk of postneonatal death was demonstrated for several measures of lower SEP. Higher material deprivation in the neighborhood of residence was associated with increased risk for perinatal death, small for gestational age birth, and iatrogenic and spontaneous preterm birth. Family composition and urbanicity were shown to modify the association between income and some perinatal outcomes. This study highlights the importance of understanding the definitions of SEP and the mechanisms that lead to the association between income and poor perinatal outcomes, and broadening the types of SEP measures used in some cases.

  7. Relationship between isoseismal area and magnitude of historical earthquakes in Greece by a hybrid fuzzy neural network method

    NASA Astrophysics Data System (ADS)

    Tselentis, G.-A.; Sokos, E.

    2012-01-01

    In this paper we suggest the use of diffusion-neural-networks, (neural networks with intrinsic fuzzy logic abilities) to assess the relationship between isoseismal area and earthquake magnitude for the region of Greece. It is of particular importance to study historical earthquakes for which we often have macroseismic information in the form of isoseisms but it is statistically incomplete to assess magnitudes from an isoseismal area or to train conventional artificial neural networks for magnitude estimation. Fuzzy relationships are developed and used to train a feed forward neural network with a back propagation algorithm to obtain the final relationships. Seismic intensity data from 24 earthquakes in Greece have been used. Special attention is being paid to the incompleteness and contradictory patterns in scanty historical earthquake records. The results show that the proposed processing model is very effective, better than applying classical artificial neural networks since the magnitude macroseismic intensity target function has a strong nonlinearity and in most cases the macroseismic datasets are very small.

  8. Joint maximum-likelihood magnitudes of presumed underground nuclear test explosions

    NASA Astrophysics Data System (ADS)

    Peacock, Sheila; Douglas, Alan; Bowers, David

    2017-08-01

    Body-wave magnitudes (mb) of 606 seismic disturbances caused by presumed underground nuclear test explosions at specific test sites between 1964 and 1996 have been derived from station amplitudes collected by the International Seismological Centre (ISC), by a joint inversion for mb and station-specific magnitude corrections. A maximum-likelihood method was used to reduce the upward bias of network mean magnitudes caused by data censoring, where arrivals at stations that do not report arrivals are assumed to be hidden by the ambient noise at the time. Threshold noise levels at each station were derived from the ISC amplitudes using the method of Kelly and Lacoss, which fits to the observed magnitude-frequency distribution a Gutenberg-Richter exponential decay truncated at low magnitudes by an error function representing the low-magnitude threshold of the station. The joint maximum-likelihood inversion is applied to arrivals from the sites: Semipalatinsk (Kazakhstan) and Novaya Zemlya, former Soviet Union; Singer (Lop Nor), China; Mururoa and Fangataufa, French Polynesia; and Nevada, USA. At sites where eight or more arrivals could be used to derive magnitudes and station terms for 25 or more explosions (Nevada, Semipalatinsk and Mururoa), the resulting magnitudes and station terms were fixed and a second inversion carried out to derive magnitudes for additional explosions with three or more arrivals. 93 more magnitudes were thus derived. During processing for station thresholds, many stations were rejected for sparsity of data, obvious errors in reported amplitude, or great departure of the reported amplitude-frequency distribution from the expected left-truncated exponential decay. Abrupt changes in monthly mean amplitude at a station apparently coincide with changes in recording equipment and/or analysis method at the station.

  9. Temperature, ordering, and equilibrium with time-dependent confining forces

    PubMed Central

    Schiffer, J. P.; Drewsen, M.; Hangst, J. S.; Hornekær, L.

    2000-01-01

    The concepts of temperature and equilibrium are not well defined in systems of particles with time-varying external forces. An example is a radio frequency ion trap, with the ions laser cooled into an ordered solid, characteristic of sub-mK temperatures, whereas the kinetic energies associated with the fast coherent motion in the trap are up to 7 orders of magnitude higher. Simulations with 1,000 ions reach equilibrium between the degrees of freedom when only aperiodic displacements (secular motion) are considered. The coupling of the periodic driven motion associated with the confinement to the nonperiodic random motion of the ions is very small at low temperatures and increases quadratically with temperature. PMID:10995471

  10. Improving Children’s Knowledge of Fraction Magnitudes

    PubMed Central

    Fazio, Lisa K.; Kennedy, Casey A.; Siegler, Robert S.

    2016-01-01

    We examined whether playing a computerized fraction game, based on the integrated theory of numerical development and on the Common Core State Standards’ suggestions for teaching fractions, would improve children’s fraction magnitude understanding. Fourth and fifth-graders were given brief instruction about unit fractions and played Catch the Monster with Fractions, a game in which they estimated fraction locations on a number line and received feedback on the accuracy of their estimates. The intervention lasted less than 15 minutes. In our initial study, children showed large gains from pretest to posttest in their fraction number line estimates, magnitude comparisons, and recall accuracy. In a more rigorous second study, the experimental group showed similarly large improvements, whereas a control group showed no improvement from practicing fraction number line estimates without feedback. The results provide evidence for the effectiveness of interventions emphasizing fraction magnitudes and indicate how psychological theories and research can be used to evaluate specific recommendations of the Common Core State Standards. PMID:27768756

  11. Maximum magnitude earthquakes induced by fluid injection

    USGS Publications Warehouse

    McGarr, Arthur F.

    2014-01-01

    Analysis of numerous case histories of earthquake sequences induced by fluid injection at depth reveals that the maximum magnitude appears to be limited according to the total volume of fluid injected. Similarly, the maximum seismic moment seems to have an upper bound proportional to the total volume of injected fluid. Activities involving fluid injection include (1) hydraulic fracturing of shale formations or coal seams to extract gas and oil, (2) disposal of wastewater from these gas and oil activities by injection into deep aquifers, and (3) the development of enhanced geothermal systems by injecting water into hot, low-permeability rock. Of these three operations, wastewater disposal is observed to be associated with the largest earthquakes, with maximum magnitudes sometimes exceeding 5. To estimate the maximum earthquake that could be induced by a given fluid injection project, the rock mass is assumed to be fully saturated, brittle, to respond to injection with a sequence of earthquakes localized to the region weakened by the pore pressure increase of the injection operation and to have a Gutenberg-Richter magnitude distribution with a b value of 1. If these assumptions correctly describe the circumstances of the largest earthquake, then the maximum seismic moment is limited to the volume of injected liquid times the modulus of rigidity. Observations from the available case histories of earthquakes induced by fluid injection are consistent with this bound on seismic moment. In view of the uncertainties in this analysis, however, this should not be regarded as an absolute physical limit.

  12. Representation of numerical magnitude in math-anxious individuals.

    PubMed

    Colomé, Àngels

    2018-01-01

    Larger distance effects in high math-anxious individuals (HMA) performing comparison tasks have previously been interpreted as indicating less precise magnitude representation in this population. A recent study by Dietrich, Huber, Moeller, and Klein limited the effects of math anxiety to symbolic comparison, in which they found larger distance effects for HMA, despite equivalent size effects. However, the question of whether distance effects in symbolic comparison reflect the properties of the magnitude representation or decisional processes is currently under debate. This study was designed to further explore the relation between math anxiety and magnitude representation through three different tasks. HMA and low math-anxious individuals (LMA) performed a non-symbolic comparison, in which no group differences were found. Furthermore, we did not replicate previous findings in an Arabic digit comparison, in which HMA individuals showed equivalent distance effects to their LMA peers. Lastly, there were no group differences in a counting Stroop task. Altogether, an explanation of math anxiety differences in terms of less precise magnitude representation is not supported.

  13. Less precise representation of numerical magnitude in high math-anxious individuals: an ERP study of the size and distance effects.

    PubMed

    Núñez-Peña, M Isabel; Suárez-Pellicioni, Macarena

    2014-12-01

    Numerical comparison tasks are widely used to study the mental representation of numerical magnitude. In study, event-related brain potentials (ERPs) were recorded while 26 high math-anxious (HMA) and 27 low math-anxious (LMA) individuals were presented with pairs of single-digit Arabic numbers and were asked to decide which one had the larger numerical magnitude. The size of the numbers and the distance between them were manipulated in order to study the size and the distance effects. The results showed that both distance and size effects were larger for the HMA group. As for ERPs, results showed that the ERP distance effect had larger amplitude for both the size and distance effects in the HMA group than among their LMA counterparts. Since this component has been taken as a marker of the processing of numerical magnitude, this result suggests that HMA individuals have a less precise representation of numerical magnitude. Copyright © 2014 Elsevier B.V. All rights reserved.

  14. Low-magnitude mechanical vibration regulates expression of osteogenic proteins in ovariectomized rats.

    PubMed

    Li, Ming; Wu, Wei; Tan, Lei; Mu, Degong; Zhu, Dong; Wang, Jian; Zhao, Bin

    2015-09-25

    The present study aimed to investigate the impact of low-magnitude and high-frequency mechanical vibration with various lengths of resting period incorporated between loading cycles on the expression of osteogenesis-related proteins in a rat model of osteoporosis. The rats in the mechanical loading groups received low-magnitude and high-frequency vibration (35 Hz and acceleration of 0.25 g, 15 min/day) for 8 weeks. Bilateral humeral heads and femoral heads were then isolated, and protein levels of bone morphogenetic protein 2 (BMP-2), extracellular signal-regulated kinase 1/2 (ERK1/2), phosphorylated ERK1/2 (p-ERK1/2), runt-related transcription factor 2 (Runx2) and osteocalcin (OCN) were determined by Western blotting. Increased levels of BMP-2, Runx2 and OCN were observed in rats receiving mechanical vibration. Total ERK1/2 protein remained unchanged, whereas the level of activated ERK1/2 (p-ERK1/2) increased after mechanical vibration. Vibration with incorporated resting period, regardless of length, was more effective in inducing expression of these osteogenic proteins, and the vibration with 7-day resting period had the most profound impact. Signals from low-magnitude and high-frequency mechanical vibration upregulated the expression of BMP-2 and Runx2, activated the ERK1/2 signaling pathway, and consequently led to increased expression of OCN. The anabolic effect of mechanical stimulation was enhanced with incorporation of resting period between loadings, and the one with 7-day resting period exhibited the strongest effect among all. Our results could provide a reference for development of mechanical stimulation as a non-pharmacological intervention for osteoporosis. Copyright © 2015 Elsevier Inc. All rights reserved.

  15. Asymmetry in power-law magnitude correlations.

    PubMed

    Podobnik, Boris; Horvatić, Davor; Tenenbaum, Joel N; Stanley, H Eugene

    2009-07-01

    Time series of increments can be created in a number of different ways from a variety of physical phenomena. For example, in the phenomenon of volatility clustering-well-known in finance-magnitudes of adjacent increments are correlated. Moreover, in some time series, magnitude correlations display asymmetry with respect to an increment's sign: the magnitude of |x_{i}| depends on the sign of the previous increment x_{i-1} . Here we define a model-independent test to measure the statistical significance of any observed asymmetry. We propose a simple stochastic process characterized by a an asymmetry parameter lambda and a method for estimating lambda . We illustrate both the test and process by analyzing physiological data.

  16. Evaluation of the magnitude of EBT Gafchromic film polarization effects.

    PubMed

    Butson, M J; Cheung, T; Yu, P K N

    2009-03-01

    Gafchromic EBT film, has become a main dosimetric tools for quantitative evaluation of radiation doses in radiation therapy application. One aspect of variability using EBT Gafchromic film is the magnitude of the orientation effect when analysing the film in landscape or portrait mode. This work has utilized a > 99% plane polarized light source and a non-polarized diffuse light source to investigate the absolute magnitude of EBT Gafchromic films polarization or orientation effects. Results have shown that using a non-polarized light source produces a negligible orientation effect for EBT Gafchromic film and thus the angle of orientation is not important. However, the film exhibits a significant variation in transmitted optical density with angle of orientation to polarized light producing more than 100% increase, or over a doubling of measured OD for films irradiated with x-rays up to dose levels of 5 Gy. The maximum optical density was found to be in a plane at an angle of 14 degrees +/- 7 degrees (2 SD) when the polarizing sheet is turned clockwise with respect to the film. As the magnitude of the orientation effect follows a sinusoidal shape it becomes more critical for alignment accuracy of the film with respect to the polarizing direction in the anticlockwise direction as this will place the alignment of the polarizing axes on the steeper gradient section of the sinusoidal pattern. An average change of 4.5% per 5 degrees is seen for an anticlockwise polarizer rotation where as the effect is 1.2% per 5 degrees for an clockwise polarizer rotation. This may have consequences to the positional accuracy of placement of the EBT Gafchromic film on a scanner as even a 1 degree alignment error can cause an approximate 1% error in analysis. The magnitude of the orientation effect is therefore dependant on the degree of polarization of the scanning light source and can range from negligible (diffuse LED light source) through to more than 100% or doubling of OD variation

  17. Reward Magnitude Effects on Temporal Discrimination

    ERIC Educational Resources Information Center

    Galtress, Tiffany; Kirkpatrick, Kimberly

    2010-01-01

    Changes in reward magnitude or value have been reported to produce effects on timing behavior, which have been attributed to changes in the speed of an internal pacemaker in some instances and to attentional factors in other cases. The present experiments therefore aimed to clarify the effects of reward magnitude on timing processes. In Experiment…

  18. Increasing accuracy in the interval analysis by the improved format of interval extension based on the first order Taylor series

    NASA Astrophysics Data System (ADS)

    Li, Yi; Xu, Yan Long

    2018-05-01

    When the dependence of the function on uncertain variables is non-monotonic in interval, the interval of function obtained by the classic interval extension based on the first order Taylor series will exhibit significant errors. In order to reduce theses errors, the improved format of the interval extension with the first order Taylor series is developed here considering the monotonicity of function. Two typical mathematic examples are given to illustrate this methodology. The vibration of a beam with lumped masses is studied to demonstrate the usefulness of this method in the practical application, and the necessary input data of which are only the function value at the central point of interval, sensitivity and deviation of function. The results of above examples show that the interval of function from the method developed by this paper is more accurate than the ones obtained by the classic method.

  19. Understanding high magnitude flood risk: evidence from the past

    NASA Astrophysics Data System (ADS)

    MacDonald, N.

    2009-04-01

    The average length of gauged river flow records in the UK is ~25 years, which presents a problem in determining flood risk for high-magnitude flood events. Severe floods have been recorded in many UK catchments during the past 10 years, increasing the uncertainty in conventional flood risk estimates based on river flow records. Current uncertainty in flood risk has implications for society (insurance costs), individuals (personal vulnerability) and water resource managers (flood/drought risk). An alternative approach is required which can improve current understanding of the flood frequency/magnitude relationship. Historical documentary accounts are now recognised as a valuable resource when considering the flood frequency/magnitude relationship, but little consideration has been given to the temporal and spatial distribution of these records. Building on previous research based on British rivers (urban centre): Ouse (York), Trent (Nottingham), Tay (Perth), Severn (Shrewsbury), Dee (Chester), Great Ouse (Cambridge), Sussex Ouse (Lewes), Thames (Oxford), Tweed (Kelso) and Tyne (Hexham), this work considers the spatial and temporal distribution of historical flooding. The selected sites provide a network covering many of the largest river catchments in Britain, based on urban centres with long detailed documentary flood histories. The chronologies offer an opportunity to assess long-term patterns of flooding, indirectly determining periods of climatic variability and potentially increased geomorphic activity. This research represents the first coherent large scale analysis undertaken of historical multi-catchment flood chronologies, providing an unparalleled network of sites, permitting analysis of the spatial and temporal distribution of historical flood patterns on a national scale.

  20. The novel application of Benford's second order analysis for monitoring radiation output in interventional radiology.

    PubMed

    Cournane, S; Sheehy, N; Cooke, J

    2014-06-01

    Benford's law is an empirical observation which predicts the expected frequency of digits in naturally occurring datasets spanning multiple orders of magnitude, with the law having been most successfully applied as an audit tool in accountancy. This study investigated the sensitivity of the technique in identifying system output changes using simulated changes in interventional radiology Dose-Area-Product (DAP) data, with any deviations from Benford's distribution identified using z-statistics. The radiation output for interventional radiology X-ray equipment is monitored annually during quality control testing; however, for a considerable portion of the year an increased output of the system, potentially caused by engineering adjustments or spontaneous system faults may go unnoticed, leading to a potential increase in the radiation dose to patients. In normal operation recorded examination radiation outputs vary over multiple orders of magnitude rendering the application of normal statistics ineffective for detecting systematic changes in the output. In this work, the annual DAP datasets complied with Benford's first order law for first, second and combinations of the first and second digits. Further, a continuous 'rolling' second order technique was devised for trending simulated changes over shorter timescales. This distribution analysis, the first employment of the method for radiation output trending, detected significant changes simulated on the original data, proving the technique useful in this case. The potential is demonstrated for implementation of this novel analysis for monitoring and identifying change in suitable datasets for the purpose of system process control. Copyright © 2013 Associazione Italiana di Fisica Medica. Published by Elsevier Ltd. All rights reserved.

  1. A stable 1D multigroup high-order low-order method

    DOE PAGES

    Yee, Ben Chung; Wollaber, Allan Benton; Haut, Terry Scot; ...

    2016-07-13

    The high-order low-order (HOLO) method is a recently developed moment-based acceleration scheme for solving time-dependent thermal radiative transfer problems, and has been shown to exhibit orders of magnitude speedups over traditional time-stepping schemes. However, a linear stability analysis by Haut et al. (2015 Haut, T. S., Lowrie, R. B., Park, H., Rauenzahn, R. M., Wollaber, A. B. (2015). A linear stability analysis of the multigroup High-Order Low-Order (HOLO) method. In Proceedings of the Joint International Conference on Mathematics and Computation (M&C), Supercomputing in Nuclear Applications (SNA) and the Monte Carlo (MC) Method; Nashville, TN, April 19–23, 2015. American Nuclear Society.)more » revealed that the current formulation of the multigroup HOLO method was unstable in certain parameter regions. Since then, we have replaced the intensity-weighted opacity in the first angular moment equation of the low-order (LO) system with the Rosseland opacity. Furthermore, this results in a modified HOLO method (HOLO-R) that is significantly more stable.« less

  2. Magnitude of antibiotic use.

    PubMed

    Finkel, M J

    1978-11-01

    Trends in antibiotic prescribing can be examined by a review of data from dispensed prescriptions and from antibiotic certification records of the Food and Drug Administration (FDA). Prescription data on selected oral antibiotics and anti-infectives were obtained from IMS America's National Prescription Audit. Data compiled between 1965 and 1977 show increasing use until 1973--with a plateau thereafter--for antibiotics judged by physicians to be relatively "safe," namely, the erythromycins, ampicillin and other penicillins, and the cephalosporins. Tetracycline use, although rising until 1973, declined somewhat thereafter, perhaps because of increasing concern with dental staining in children. Sulfonamide use has declined steadily since 1965, presumably for safety reasons. Used of clindamycin was nearing a level similar to that of cephalosporin use until 1975, when its risk of precipitating severe colitis, including pseudomembranous colitis, became well-known. The FDA's antibiotic certification records show that the volume of injectable cephalosporins and gentamicin administered has increased steadily and as of 1977 was still rising.

  3. Characteristics of Gyeongju earthquake, moment magnitude 5.5 and relative relocations of aftershocks

    NASA Astrophysics Data System (ADS)

    Cho, ChangSoo; Son, Minkyung

    2017-04-01

    There is low seismicity in the korea peninsula. According historical record in the historic book, There were several strong earthquake in the korea peninsula. Especially in Gyeongju of capital city of the Silla dynasty, few strong earthquakes caused the fatalities of several hundreds people 1,300 years ago and damaged the houses and make the wall of castles collapsed. Moderate strong earthquake of moment magnitude 5.5 hit the city in September 12, 2016. Over 1000 aftershocks were detected. The numbers of occurrences of aftershock over time follows omori's law well. The distribution of relative locations of 561 events using clustering aftershocks by cross-correlation between P and S waveform of the events showed the strike NNE 25 30 o and dip 68 74o of fault plane to cause the earthquake matched with the fault plane solution of moment tensor inversion well. The depth of range of the events is from 11km to 16km. The width of distribution of event locations is about 5km length. The direction of maximum horizontal stress by inversion of stress for the moment solutions of main event and large aftershocks is similar to the known maximum horizontal stress direction of the korea peninsula. The relation curves between moment magnitude and local magnitude of aftershocks shows that the moment magnitude increases slightly more for events of size less than 2.0

  4. Increased Mechanical Properties Through the Addition of Zr to GRCop-84

    NASA Technical Reports Server (NTRS)

    Ellis, David L.; Lerch, Bradley A.

    2011-01-01

    GRCop-84 (Cu-8 at.% Cr-4 at.% Nb) has shown exceptional mechanical properties above 932 F (773 K). However, its properties below 932 F (773 K) are inferior to precipitation strengthened alloys such as Cu-Cr, Cu-Zr and Cu-Cr-Zr when they are in the fully aged, hard-drawn condition. It has been noted that the addition of small amounts of Zr, typically 0.1 wt.% to 0.5 wt.%, can greatly enhance the mechanical properties of copper-based alloys. Limited testing was conducted upon GRCop-84 with an addition of 0.4 wt.% Zr to determine its tensile, creep and low cycle fatigue (LCF) properties. Very large increases in strength (up to 68%) and ductility (up to 123%) were observed at both room temperature and 932 F (773 K). Creep properties at 932 F (773 K) demonstrated more than an order of magnitude decrease in the creep rate relative to unmodified GRCop-84 with a corresponding order of magnitude increase in creep life. Limited LCF testing showed that the modified alloy had a comparable LCF life at room temperature, but it was capable of sustaining a much higher load. While more testing and composition optimization are required, the addition of Zr to GRCop-84 has shown clear benefits to mechanical properties.

  5. Increasing returns to scale: The solution to the second-order social dilemma

    PubMed Central

    Ye, Hang; Chen, Shu; Luo, Jun; Tan, Fei; Jia, Yongmin; Chen, Yefeng

    2016-01-01

    Humans benefit from extensive cooperation; however, the existence of free-riders may cause cooperation to collapse. This is called the social dilemma. It has been shown that punishing free-riders is an effective way of resolving this problem. Because punishment is costly, this gives rise to the second-order social dilemma. Without exception, existing solutions rely on some stringent assumptions. This paper proposes, under very mild conditions, a simple model of a public goods game featuring increasing returns to scale. We find that punishers stand out and even dominate the population provided that the degree of increasing returns to scale is large enough; consequently, the second-order social dilemma dissipates. Historical evidence shows that people are more willing to cooperate with others and punish defectors when they suffer from either internal or external menaces. During the prehistoric age, the abundance of contributors was decisive in joint endeavours such as fighting floods, defending territory, and hunting. These situations serve as favourable examples of public goods games in which the degrees of increasing returns to scale are undoubtedly very large. Our findings show that natural selection has endowed human kind with a tendency to pursue justice and punish defection that deviates from social norms. PMID:27535087

  6. Theoretical analysis of high-order harmonic generation from a coherent superposition of states

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Milosevic, Dejan B.; Max-Born-Institut, Max-Born-Strasse 2a, Berlin, 12489

    2006-02-15

    A quantum theory of high-order harmonic generation by a strong laser field in the presence of more bound states is formulated. The obtained numerical and analytical results for a two-state hydrogenlike atom model show that the harmonic spectrum consists of two parts: a usual single-state harmonic spectrum of odd harmonics having the energies (2k+1){omega} and a resonant part with the peaks around the excitation energy {delta}{omega}. The energy of the harmonics in the resonant part of the spectrum is equal to {delta}{omega}{+-}{omega}, {delta}{omega}{+-}3{omega}, .... For energies higher than the excitation energy, the resonant part forms a plateau, followed by amore » cutoff. The emission rate of the harmonics in this resonant plateau is many orders of magnitude higher than that of the harmonics generated in the presence of the ground state alone. The influence of the depletion of the initial states, as well as of the pulse shape and intensity, is analyzed.« less

  7. The determination of third order linear models from a seventh order nonlinear jet engine model

    NASA Technical Reports Server (NTRS)

    Lalonde, Rick J.; Hartley, Tom T.; De Abreu-Garcia, J. Alex

    1989-01-01

    Results are presented that demonstrate how good reduced-order models can be obtained directly by recursive parameter identification using input/output (I/O) data of high-order nonlinear systems. Three different methods of obtaining a third-order linear model from a seventh-order nonlinear turbojet engine model are compared. The first method is to obtain a linear model from the original model and then reduce the linear model by standard reduction techniques such as residualization and balancing. The second method is to identify directly a third-order linear model by recursive least-squares parameter estimation using I/O data of the original model. The third method is to obtain a reduced-order model from the original model and then linearize the reduced model. Frequency responses are used as the performance measure to evaluate the reduced models. The reduced-order models along with their Bode plots are presented for comparison purposes.

  8. Calculation of Confidence Intervals for the Maximum Magnitude of Earthquakes in Different Seismotectonic Zones of Iran

    NASA Astrophysics Data System (ADS)

    Salamat, Mona; Zare, Mehdi; Holschneider, Matthias; Zöller, Gert

    2017-03-01

    The problem of estimating the maximum possible earthquake magnitude m_max has attracted growing attention in recent years. Due to sparse data, the role of uncertainties becomes crucial. In this work, we determine the uncertainties related to the maximum magnitude in terms of confidence intervals. Using an earthquake catalog of Iran, m_max is estimated for different predefined levels of confidence in six seismotectonic zones. Assuming the doubly truncated Gutenberg-Richter distribution as a statistical model for earthquake magnitudes, confidence intervals for the maximum possible magnitude of earthquakes are calculated in each zone. While the lower limit of the confidence interval is the magnitude of the maximum observed event,the upper limit is calculated from the catalog and the statistical model. For this aim, we use the original catalog which no declustering methods applied on as well as a declustered version of the catalog. Based on the study by Holschneider et al. (Bull Seismol Soc Am 101(4):1649-1659, 2011), the confidence interval for m_max is frequently unbounded, especially if high levels of confidence are required. In this case, no information is gained from the data. Therefore, we elaborate for which settings finite confidence levels are obtained. In this work, Iran is divided into six seismotectonic zones, namely Alborz, Azerbaijan, Zagros, Makran, Kopet Dagh, Central Iran. Although calculations of the confidence interval in Central Iran and Zagros seismotectonic zones are relatively acceptable for meaningful levels of confidence, results in Kopet Dagh, Alborz, Azerbaijan and Makran are not that much promising. The results indicate that estimating m_max from an earthquake catalog for reasonable levels of confidence alone is almost impossible.

  9. Ionospheric Longitude Storm Dependence Upon the Magnitude of the Earth's Magnetic Field

    NASA Astrophysics Data System (ADS)

    Sojka, J. J.; David, M.; Schunk, R. W.

    2007-12-01

    The Earth's magnetic field in the ionosphere is understood to be non-dipolar with significant deviations in magnitude and orientation across the globe. This study models the mid-latitude ionospheric response to a geomagnetic storm for different idealizations of the Earth's magnetic field strength. In so doing the study addresses the question whether or not a longitude dependence in ionospheric storm responses could exist due to the longitude dependence of the magnetic field [ Huang et al., 2005], and if so, how significant is the effect? The mechanism by which the magnetic field magnitude has a first order effect is through the E x B plasma drift that has a vertical components, i.e., usually described as a meridional plasma drift caused by the zonal electric field. This vertical drift is inversely proportional to the magnitude of the magnetic field. A vertical drift raises or lowers the F-region into regions of lesser or greater recombination rates respectively, hence, directly affecting the plasma density. The Utah State University (USU) Time Dependent Ionospheric Model (TDIM) uses a tilted dipole magnetic field model to represent the Earth's field. The magnitude of magnetic field is specified by the dipole moment, in fact, the magnetic field strength on the surface of the Earth at the magnetic equator. Changing this one parameter enables studies to be made under identical storm conditions of the effect of different magnetic field magnitudes. For this study the normal 0.31 Gauss surface magnetic field is replaced by 0.24 Gauss and 0.41 Gauss. These two numbers represent the magnitude of the minimum and maximum observed field strength around the Earth equatorial region. The TDIM results are shown for a storm simulation that occurred on 5-6 November 2001. For otherwise identical model conditions and drivers, the difference in magnetic field strength results in a factor of 2 difference in TEC, NmF2, etc. Since the magnetic field magnitude is weakest in the Atlantic

  10. Color-magnitude diagram of Palomar 4 - CCD photometry

    NASA Astrophysics Data System (ADS)

    Christian, C. A.; Heasley, J. N.

    1986-04-01

    Photometry of the globular cluster Pal 4 was obtained with the RCA CCD camera on the 3.6 m Canada-France-Hawaii Telescope on Mauna Kea. The color-magnitude diagram of the cluster shows a well-defined red horizontal branch, typical of outer halo systems, and an asymptotic giant branch well separated from the giant branch. The population of Pal 4 has been sampled to the main-sequence turnoff region (V = 25), allowing a detailed comparison of this distant object with theoretical models. The cluster parameters consistent with the CCD data are (m - M)0 = 20.1 + or - 0.1 mag, E(B - V) = 0.02 + or - 0.02, and Fe/H forbidden line = -1.7 + or - 0.1 with Y =0.2. The age of the cluster, determined by comparison with the isochrones of VandenBerg and Bell (1985) is consistent with an age of 15 + or - 1 Gyr, similar to inner halo globular clusters with ages determined in the same way.

  11. Developmental Dyscalculia in Adults: Beyond Numerical Magnitude Impairment.

    PubMed

    De Visscher, Alice; Noël, Marie-Pascale; Pesenti, Mauro; Dormal, Valérie

    2017-09-01

    Numerous studies have tried to identify the core deficit of developmental dyscalculia (DD), mainly by assessing a possible deficit of the mental representation of numerical magnitude. Research in healthy adults has shown that numerosity, duration, and space share a partly common system of magnitude processing and representation. However, in DD, numerosity processing has until now received much more attention than the processing of other non-numerical magnitudes. To assess whether or not the processing of non-numerical magnitudes is impaired in DD, the performance of 15 adults with DD and 15 control participants was compared in four categorization tasks using numerosities, lengths, durations, and faces (as non-magnitude-based control stimuli). Results showed that adults with DD were impaired in processing numerosity and duration, while their performance in length and face categorization did not differ from controls' performance. Our findings support the idea of a nonsymbolic magnitude deficit in DD, affecting numerosity and duration processing but not length processing.

  12. Analysis of higher order harmonics with holographic reflection gratings

    NASA Astrophysics Data System (ADS)

    Mas-Abellan, P.; Madrigal, R.; Fimia, A.

    2017-05-01

    Silver halide emulsions have been considered one of the most energetic sensitive materials for holographic applications. Nonlinear recording effects on holographic reflection gratings recorded on silver halide emulsions have been studied by different authors obtaining excellent experimental results. In this communication specifically we focused our investigation on the effects of refractive index modulation, trying to get high levels of overmodulation that will produce high order harmonics. We studied the influence of the overmodulation and its effects on the transmission spectra for a wide exposure range by use of 9 μm thickness films of ultrafine grain emulsion BB640, exposed to single collimated beams using a red He-Ne laser (wavelength 632.8 nm) with Denisyuk configuration obtaining a spatial frequency of 4990 l/mm recorded on the emulsion. The experimental results show that high overmodulation levels of refractive index produce second order harmonics with high diffraction efficiency (higher than 75%) and a narrow grating bandwidth (12.5 nm). Results also show that overmodulation produce diffraction spectra deformation of the second order harmonic, transforming the spectrum from sinusoidal to approximation of square shape due to very high overmodulation. Increasing the levels of overmodulation of refractive index, we have obtained higher order harmonics, obtaining third order harmonic with diffraction efficiency (up to 23%) and narrowing grating bandwidth (5 nm). This study is the first step to develop a new easy technique to obtain narrow spectral filters based on the use of high index modulation reflection gratings.

  13. Effects of reinforcer magnitude on responding under differential-reinforcement-of-low-rate schedules of rats and pigeons.

    PubMed

    Doughty, Adam H; Richards, Jerry B

    2002-07-01

    Experiment I investigated the effects of reinforcer magnitude on differential-reinforcement-of-low-rate (DRL) schedule performance in three phases. In Phase 1, two groups of rats (n = 6 and 5) responded under a DRI. 72-s schedule with reinforcer magnitudes of either 30 or 300 microl of water. After acquisition, the water amounts were reversed for each rat. In Phase 2, the effects of the same reinforcer magnitudes on DRL 18-s schedule performance were examined across conditions. In Phase 3, each rat responded unider a DR1. 18-s schedule in which the water amotnts alternated between 30 and 300 microl daily. Throughout each phase of Experiment 1, the larger reinforcer magnitude resulted in higher response rates and lower reinforcement rates. The peak of the interresponse-time distributions was at a lower value tinder the larger reinforcer magnitude. In Experiment 2, 3 pigeons responded under a DRL 20-s schedule in which reinforcer magnitude (1-s or 6-s access to grain) varied iron session to session. Higher response rates and lower reinforcement rates occurred tinder the longer hopper duration. These results demonstrate that larger reinforcer magnitudes engender less efficient DRL schedule performance in both rats and pigeons, and when reinforcer magnitude was held constant between sessions or was varied daily. The present results are consistent with previous research demonstrating a decrease in efficiency as a function of increased reinforcer magnituide tinder procedures that require a period of time without a specified response. These findings also support the claim that DRI. schedule performance is not governed solely by a timing process.

  14. Fraternal Birth Order, Family Size, and Male Homosexuality: Meta-Analysis of Studies Spanning 25 Years.

    PubMed

    Blanchard, Ray

    2018-01-01

    The fraternal birth order effect is the tendency for older brothers to increase the odds of homosexuality in later-born males. This study compared the strength of the effect in subjects from small versus large families and in homosexual subjects with masculine versus feminine gender identities. Meta-analyses were conducted on 30 homosexual and 30 heterosexual groups from 26 studies, totaling 7140 homosexual and 12,837 heterosexual males. The magnitude of the fraternal birth order effect was measured with a novel variable, the Older Brothers Odds Ratio, computed as (homosexuals' older brothers ÷ homosexuals' other siblings) ÷ (heterosexuals' older brothers ÷ heterosexuals' other siblings), where other siblings = older sisters + younger brothers + younger sisters. An Older Brothers Odds Ratio of 1.00 represents no effect of sexual orientation; values over 1.00 are positive evidence for the fraternal birth order effect. Evidence for the reliability of the effect was consistent. The Older Brothers Odds Ratio was significantly >1.00 in 20 instances, >1.00 although not significantly in nine instances, and nonsignificantly <1.00 in 1 instance. The pooled Older Brothers Odds Ratio for all samples was 1.47, p < .00001. Subgroups analyses showed that the magnitude of the effect was significantly greater in the 12 feminine or transgender homosexual groups than in the other 18 homosexual groups. There was no evidence that the magnitude of the effect differs according to family size.

  15. Statistical relations among earthquake magnitude, surface rupture length, and surface fault displacement

    USGS Publications Warehouse

    Bonilla, M.G.; Mark, R.K.; Lienkaemper, J.J.

    1984-01-01

    In order to refine correlations of surface-wave magnitude, fault rupture length at the ground surface, and fault displacement at the surface by including the uncertainties in these variables, the existing data were critically reviewed and a new data base was compiled. Earthquake magnitudes were redetermined as necessary to make them as consistent as possible with the Gutenberg methods and results, which necessarily make up much of the data base. Measurement errors were estimated for the three variables for 58 moderate to large shallow-focus earthquakes. Regression analyses were then made utilizing the estimated measurement errors. The regression analysis demonstrates that the relations among the variables magnitude, length, and displacement are stochastic in nature. The stochastic variance, introduced in part by incomplete surface expression of seismogenic faulting, variation in shear modulus, and regional factors, dominates the estimated measurement errors. Thus, it is appropriate to use ordinary least squares for the regression models, rather than regression models based upon an underlying deterministic relation with the variance resulting from measurement errors. Significant differences exist in correlations of certain combinations of length, displacement, and magnitude when events are qrouped by fault type or by region, including attenuation regions delineated by Evernden and others. Subdivision of the data results in too few data for some fault types and regions, and for these only regressions using all of the data as a group are reported. Estimates of the magnitude and the standard deviation of the magnitude of a prehistoric or future earthquake associated with a fault can be made by correlating M with the logarithms of rupture length, fault displacement, or the product of length and displacement. Fault rupture area could be reliably estimated for about 20 of the events in the data set. Regression of MS on rupture area did not result in a marked improvement

  16. Quantification of neotectonic stress orientations and magnitudes from field observations in Finnmark, northern Norway

    NASA Astrophysics Data System (ADS)

    Pascal, Christophe; Roberts, David; Gabrielsen, Roy H.

    2005-05-01

    Fieldwork was conducted in Finnmark, northern Norway, with the purpose of detecting and measuring stress-relief features, induced by quarrying and road works, and to derive from them valuable information on the shallow-crustal stress orientations and magnitudes. Two kinds of stress-relief features were considered in this study. The first consists of drillhole offsets that were found along blasted road-cuts and which were triggered by the sudden rock unloading following the actual blasting. Vertical axial fractures found in the concave remains of boreholes represent the second kind of stress-relief feature. The axial fractures are tension fractures produced by gas overpressure inside the drillhole when the blast occurs. As such, their strike reflects the orientation of the ambient maximum horizontal stress axis. The borehole offsets show mostly reverse-slip displacements to the E-SE and the axial fractures trend NW-SE on average, in agreement with NW-SE compression induced by North Atlantic ridge-push forces. Mechanical considerations of the slip planes offsetting some of the drillholes lead to the conclusion that the magnitude of the maximum horizontal stress at the surface is in the range ˜0.1-˜1 MPa. This range of magnitudes is 1-2 orders less than the horizontal stress magnitudes measured at the surface in other post-glacial environments (e.g. Canada). It is suggested that this difference is related to the marked decline in stress that followed the tremendous post-glacial burst of earthquake activity that affected Fennoscandia but apparently not the Canadian Shield.

  17. A Comparison of Streaming and Microelectrophoresis Methods for Obtaining the zeta Potential of Granular Porous Media Surfaces.

    PubMed

    Johnson

    1999-01-01

    The electrokinetic behavior of granular quartz sand in aqueous solution is investigated by both microelectrophoresis and streaming potential methods. zeta potentials of surfaces composed of granular quartz obtained via streaming potential methods are compared to electrophoretic mobility zeta potential values of colloid-sized quartz fragments. The zeta values generated by these alternate methods are in close agreement over a wide pH range and electrolyte concentrations spanning several orders of magnitude. Streaming measurements performed on chemically heterogeneous mixtures of physically homogeneous sand are shown to obey a simple mixing model based on the surface area-weighted average of the streaming potentials associated with the individual end members. These experimental results support the applicability of the streaming potential method as a means of determining the zeta potential of granular porous media surfaces. Copyright 1999 Academic Press.

  18. First and second order derivatives for optimizing parallel RF excitation waveforms

    NASA Astrophysics Data System (ADS)

    Majewski, Kurt; Ritter, Dieter

    2015-09-01

    For piecewise constant magnetic fields, the Bloch equations (without relaxation terms) can be solved explicitly. This way the magnetization created by an excitation pulse can be written as a concatenation of rotations applied to the initial magnetization. For fixed gradient trajectories, the problem of finding parallel RF waveforms, which minimize the difference between achieved and desired magnetization on a number of voxels, can thus be represented as a finite-dimensional minimization problem. We use quaternion calculus to formulate this optimization problem in the magnitude least squares variant and specify first and second order derivatives of the objective function. We obtain a small tip angle approximation as first order Taylor development from the first order derivatives and also develop algorithms for first and second order derivatives for this small tip angle approximation. All algorithms are accompanied by precise floating point operation counts to assess and compare the computational efforts. We have implemented these algorithms as callback functions of an interior-point solver. We have applied this numerical optimization method to example problems from the literature and report key observations.

  19. Geothermal induced seismicity: What links source mechanics and event magnitudes to faulting regime and injection rates?

    NASA Astrophysics Data System (ADS)

    Martinez-Garzon, Patricia; Kwiatek, Grzegorz; Bohnhoff, Marco; Dresen, Georg

    2017-04-01

    Improving estimates of seismic hazard associated to reservoir stimulation requires advanced understanding of the physical processes governing induced seismicity, which can be better achieved by carefully processing large datasets. To this end, we investigate source-type processes (shear/tensile/compaction) and rupture geometries with respect to the local stress field using seismicity from The Geysers (TG) and Salton Sea geothermal reservoirs, California. Analysis of 869 well-constrained full moment tensors (MW 0.8-3.5) at TG reveals significant non-double-couple (NDC) components (>25%) for 65% of the events and remarkably diversity in the faulting mechanisms. Volumetric deformation is clearly governed by injection rates with larger NDC components observed near injection wells and during high injection periods. The overall volumetric deformation from the moment tensors increases with time, possibly reflecting a reservoir pore pressure increase after several years of fluid injection with no significant production nearby. The obtained source mechanisms and fault orientations are magnitude-dependent and vary significantly between faulting regimes. Normal faulting events (MW < 2) reveal substantial NDC components indicating dilatancy, and they occur on varying fault orientations. In contrast, strike-slip events dominantly reveal a double-couple source, larger magnitudes (MW > 2) and mostly occur on optimally oriented faults with respect to the local stress field. NDC components indicating closure of cracks and pore spaces in the source region are found for reverse faulting events with MW > 2.5. Our findings from TG are generally consistent with preliminary source-type results from a reduced subset of well-recorded seismicity at the Salton Sea geothermal reservoir. Combined results imply that source processes and magnitudes of geothermal-induced seismicity are strongly affected by and systematically related to the hydraulic operations and the local stress state.

  20. Bias in Magnitude Estimation Following Left Hemisphere Injury

    PubMed Central

    Woods, Adam J.; Mennemeier, Mark; Garcia-Rill, Edgar; Meythaler, Jay; Mark, Victor W.; Jewel, George R.; Murphy, Heather

    2015-01-01

    There is a growing interest both in identifying the neural mechanisms of magnitude estimation and in identifying forms of bias that can explain aspects of behavioral syndromes like unilateral neglect. Magnitude estimation is associated with activation of temporo-parietal cortex in both cerebral hemispheres of normal subjects; however, it is unclear if and how left hemisphere lesions bias magnitude estimation because the infrequency of neglect and the presence of aphasia in these subjects confound examination. In contrast, we examined magnitude estimation using 12 different types of sensory stimuli that spanned five sensory domains in two patients with very different clinical presentations following unilateral left hemisphere stroke. One patient had neglect sub-acutely without aphasia. The other had aphasia chronically after a temporo-parietal lesion but not neglect. The neglect patient was re-examined 48 hours after being treated with modafinil (Provigil) for decreased arousal. Both patients demonstrated bias in magnitude estimation relative to normal subjects (n=83). Alertness improved in the neglect patient after taking modafinil. His neglect also resolved and his magnitude estimates more closely resembled those of normal subjects. This is the first evidence, to our knowledge, that the left hemisphere injury can bias magnitude estimation in a manner similar but not identical to that associated with right hemisphere injury. PMID:16434066

  1. Confirmation of linear system theory prediction: Changes in Herrnstein's k as a function of changes in reinforcer magnitude.

    PubMed

    McDowell, J J; Wood, H M

    1984-03-01

    Eight human subjects pressed a lever on a range of variable-interval schedules for 0.25 cent to 35.0 cent per reinforcement. Herrnstein's hyperbola described seven of the eight subjects' response-rate data well. For all subjects, the y-asymptote of the hyperbola increased with increasing reinforcer magnitude and its reciprocal was a linear function of the reciprocal of reinforcer magnitude. These results confirm predictions made by linear system theory; they contradict formal properties of Herrnstein's account and of six other mathematical accounts of single-alternative responding.

  2. Confirmation of linear system theory prediction: Changes in Herrnstein's k as a function of changes in reinforcer magnitude

    PubMed Central

    McDowell, J. J; Wood, Helena M.

    1984-01-01

    Eight human subjects pressed a lever on a range of variable-interval schedules for 0.25¢ to 35.0¢ per reinforcement. Herrnstein's hyperbola described seven of the eight subjects' response-rate data well. For all subjects, the y-asymptote of the hyperbola increased with increasing reinforcer magnitude and its reciprocal was a linear function of the reciprocal of reinforcer magnitude. These results confirm predictions made by linear system theory; they contradict formal properties of Herrnstein's account and of six other mathematical accounts of single-alternative responding. PMID:16812366

  3. 14 CFR 382.27 - May a carrier require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2013 CFR

    2013-01-01

    ... service animal in the cabin; (9) Transportation of a service animal on a flight segment scheduled to take... disability to provide advance notice in order to obtain certain specific services in connection with a flight... Nondiscrimination and Access to Services and Information § 382.27 May a carrier require a passenger with a...

  4. 14 CFR 382.27 - May a carrier require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2014 CFR

    2014-01-01

    ... service animal in the cabin; (9) Transportation of a service animal on a flight segment scheduled to take... disability to provide advance notice in order to obtain certain specific services in connection with a flight... Nondiscrimination and Access to Services and Information § 382.27 May a carrier require a passenger with a...

  5. Severity of depression and magnitude of productivity loss.

    PubMed

    Beck, Arne; Crain, A Lauren; Solberg, Leif I; Unützer, Jürgen; Glasgow, Russell E; Maciosek, Michael V; Whitebird, Robin

    2011-01-01

    Depression is associated with lowered work functioning, including absences, impaired productivity, and decreased job retention. Few studies have examined depression symptoms across a continuum of severity in relationship to the magnitude of work impairment in a large and heterogeneous patient population, however. We assessed the relationship between depression symptom severity and productivity loss among patients initiating treatment for depression. Data were obtained from patients participating in the DIAMOND (Depression Improvement Across Minnesota: Offering a New Direction) initiative, a statewide quality improvement collaborative to provide enhanced depression care. Patients newly started on antidepressants were surveyed with the Patient Health Questionnaire 9-item screen (PHQ-9), a measure of depression symptom severity; the Work Productivity and Activity Impairment (WPAI) questionnaire, a measure of loss in productivity; and items on health status and demographics. We analyzed data from the 771 patients who reported being currently employed. General linear models adjusting for demographics and health status showed a significant linear, monotonic relationship between depression symptom severity and productivity loss: with every 1-point increase in PHQ-9 score, patients experienced an additional mean productivity loss of 1.65% (P <.001). Even minor levels of depression symptoms were associated with decrements in work function. Full-time vs part-time employment status and self-reported fair or poor health vs excellent, very good, or good health were also associated with a loss of productivity (P <.001 and P=.045, respectively). This study shows a relationship between the severity of depression symptoms and work function, and suggests that even minor levels of depression are associated with a loss of productivity. Employers may find it beneficial to invest in effective treatments for depressed employees across the continuum of depression severity.

  6. Study of Magnitudes, Seismicity and Earthquake Detectability Using a Global Network

    DTIC Science & Technology

    1984-06-01

    Ings. the stations are then further classified into three groups: j . A Stations reporting a P-detection with an associated log(A/ T ) value (V...detections, nondetections and reported log(A/ T ) values for the j’th event. given that Its true magnitude is/u j . where t .-. ( + j )1J jL (4) Aj~~ -.Q’ +Qj...subset for which I., ’. % , ILriLI-W I tT W W9 .11mtl’%r’ vl.:", Q -A -Pk,7,W-W ’ dW .P ,[ J -4-- log(A/ T ) was reported. As a first order approximation

  7. Magnitude comparison extended: how lack of knowledge informs comparative judgments under uncertainty.

    PubMed

    Schweickart, Oliver; Brown, Norman R

    2014-02-01

    How do people compare quantitative attributes of real-world objects? (e.g., Which country has the higher per capita GDP, Mauritania or Nepal?). The research literature on this question is divided: Although researchers in the 1970s and 1980s assumed that a 2-stage magnitude comparison process underlies these types of judgments (Banks, 1977), more recent approaches emphasize the role of probabilistic cues and simple heuristics (Gigerenzer, Todd, & The ABC Research Group, 1999). In this article, we review the magnitude comparison literature and propose a framework for magnitude comparison under uncertainty (MaC). Predictions from this framework were tested in a choice context involving one recognized and one unrecognized object, and were contrasted with those based on the recognition heuristic (Goldstein & Gigerenzer, 2002). This was done in 2 paired-comparison studies. In both, participants were timed as they decided which of 2 countries had the higher per capita gross domestic product (GDP). Consistent with the MaC account, we found that response times (RTs) displayed a classic symbolic distance effect: RTs were inversely related to the difference between the subjective per capita GDPs of the compared countries. Furthermore, choice of the recognized country became more frequent as subjective difference increased. These results indicate that the magnitude comparison process extends to choice contexts that have previously been associated only with cue-based strategies. We end by discussing how several findings reported in the recent heuristics literature relate to the MaC framework.

  8. [Effects of noxious coldness and non-noxious warmth on the magnitude of cerebral cortex activation during intraoral stimulation with water].

    PubMed

    Xiuwen, Yang; Hongchen, Liu; Ke, Li; Zhen, Jin; Gang, Liu

    2014-12-01

    We used functional magnetic resonance imaging (fMRI) to explore the effects of noxious coldness and non-noxious warmth on the magnitude of cerebral cortex activation during intraoral stimulation with water. Six male and female subjects were subjected to whole-brain fMRI during the phasic delivery of non-noxious hot (23 °C) and no- xious cold (4 °C) water intraoral stimulation. A block-design blood oxygenation level-dependent fMRI scan covering the entire brain was also carried out. The activated cortical areas were as follows: left pre-/post-central gyrus, insula/operculum, anterior cingulate cortex (ACC), orbital frontal cortex (OFC), midbrain red nucleus, and thalamus. The activated cortical areas under cold condition were as follows: left occipital lobe, premotor cortex/Brodmann area (BA) 6, right motor language area BA44, lingual gyrus, parietal lobule (BA7, 40), and primary somatosensory cortex S I. Comparisons of the regional cerebral blood flow response magnitude were made among stereotactically concordant brain regions that showed significant responses under the two conditions of this study. Compared with non-noxious warmth, more regions were activated in noxious coldness, and the magnitude of activation in areas produced after non-noxious warm stimulation significantly increased. However, ACC only significantly increased the magnitude of activation under noxious coldness stimulation. Results suggested that a similar network of regions was activated common to the perception of pain and no-pain produced by either non-noxious warmth or noxious coldness stimulation. Non-noxious warmth also activated more brain regions and significantly increased the response magnitude of cerebral-cortex activation compared with noxious coldness. Noxious coldness stimulation further significantly increased the magnitude of activation in ACC areas compared with noxious warmth.

  9. Electrochemical X-ray fluorescence spectroscopy for trace heavy metal analysis: enhancing X-ray fluorescence detection capabilities by four orders of magnitude.

    PubMed

    Hutton, Laura A; O'Neil, Glen D; Read, Tania L; Ayres, Zoë J; Newton, Mark E; Macpherson, Julie V

    2014-05-06

    The development of a novel analytical technique, electrochemical X-ray fluorescence (EC-XRF), is described and applied to the quantitative detection of heavy metals in solution, achieving sub-ppb limits of detection (LOD). In EC-XRF, electrochemical preconcentration of a species of interest onto the target electrode is achieved here by cathodic electrodeposition. Unambiguous elemental identification and quantification of metal concentration is then made using XRF. This simple electrochemical preconcentration step improves the LOD of energy dispersive XRF by over 4 orders of magnitude (for similar sample preparation time scales). Large area free-standing boron doped diamond grown using microwave plasma chemical vapor deposition techniques is found to be ideal as the electrode material for both electrodeposition and XRF due to its wide solvent window, transparency to the XRF beam, and ability to be produced in mechanically robust freestanding thin film form. During electrodeposition it is possible to vary both the deposition potential (Edep) and deposition time (tdep). For the metals Cu(2+) and Pb(2+) the highest detection sensitivities were found for Edep = -1.75 V and tdep (=) 4000 s with LODs of 0.05 and 0.04 ppb achieved, respectively. In mixed Cu(2+)/Pb(2+) solutions, EC-XRF shows that Cu(2+) deposition is unimpeded by Pb(2+), across a broad concentration range, but this is only true for Pb(2+) when both metals are present at low concentrations (10 nM), boding well for trace level measurements. In a dual mixed metal solution, EC-XRF can also be employed to either selectively deposit the metal which has the most positive formal reduction potential, E(0), or exhaustively deplete it from solution, enabling uninhibited detection of the metal with the more negative E(0).

  10. Sum of the Magnitude for Hard Decision Decoding Algorithm Based on Loop Update Detection

    PubMed Central

    Meng, Jiahui; Zhao, Danfeng; Tian, Hai; Zhang, Liang

    2018-01-01

    In order to improve the performance of non-binary low-density parity check codes (LDPC) hard decision decoding algorithm and to reduce the complexity of decoding, a sum of the magnitude for hard decision decoding algorithm based on loop update detection is proposed. This will also ensure the reliability, stability and high transmission rate of 5G mobile communication. The algorithm is based on the hard decision decoding algorithm (HDA) and uses the soft information from the channel to calculate the reliability, while the sum of the variable nodes’ (VN) magnitude is excluded for computing the reliability of the parity checks. At the same time, the reliability information of the variable node is considered and the loop update detection algorithm is introduced. The bit corresponding to the error code word is flipped multiple times, before this is searched in the order of most likely error probability to finally find the correct code word. Simulation results show that the performance of one of the improved schemes is better than the weighted symbol flipping (WSF) algorithm under different hexadecimal numbers by about 2.2 dB and 2.35 dB at the bit error rate (BER) of 10−5 over an additive white Gaussian noise (AWGN) channel, respectively. Furthermore, the average number of decoding iterations is significantly reduced. PMID:29342963

  11. Sum of the Magnitude for Hard Decision Decoding Algorithm Based on Loop Update Detection.

    PubMed

    Meng, Jiahui; Zhao, Danfeng; Tian, Hai; Zhang, Liang

    2018-01-15

    In order to improve the performance of non-binary low-density parity check codes (LDPC) hard decision decoding algorithm and to reduce the complexity of decoding, a sum of the magnitude for hard decision decoding algorithm based on loop update detection is proposed. This will also ensure the reliability, stability and high transmission rate of 5G mobile communication. The algorithm is based on the hard decision decoding algorithm (HDA) and uses the soft information from the channel to calculate the reliability, while the sum of the variable nodes' (VN) magnitude is excluded for computing the reliability of the parity checks. At the same time, the reliability information of the variable node is considered and the loop update detection algorithm is introduced. The bit corresponding to the error code word is flipped multiple times, before this is searched in the order of most likely error probability to finally find the correct code word. Simulation results show that the performance of one of the improved schemes is better than the weighted symbol flipping (WSF) algorithm under different hexadecimal numbers by about 2.2 dB and 2.35 dB at the bit error rate (BER) of 10 -5 over an additive white Gaussian noise (AWGN) channel, respectively. Furthermore, the average number of decoding iterations is significantly reduced.

  12. Effects of reinforcer magnitude on responding under differential-reinforcement-of-low-rate schedules of rats and pigeons.

    PubMed Central

    Doughty, Adam H; Richards, Jerry B

    2002-01-01

    Experiment I investigated the effects of reinforcer magnitude on differential-reinforcement-of-low-rate (DRL) schedule performance in three phases. In Phase 1, two groups of rats (n = 6 and 5) responded under a DRI. 72-s schedule with reinforcer magnitudes of either 30 or 300 microl of water. After acquisition, the water amounts were reversed for each rat. In Phase 2, the effects of the same reinforcer magnitudes on DRL 18-s schedule performance were examined across conditions. In Phase 3, each rat responded unider a DR1. 18-s schedule in which the water amotnts alternated between 30 and 300 microl daily. Throughout each phase of Experiment 1, the larger reinforcer magnitude resulted in higher response rates and lower reinforcement rates. The peak of the interresponse-time distributions was at a lower value tinder the larger reinforcer magnitude. In Experiment 2, 3 pigeons responded under a DRL 20-s schedule in which reinforcer magnitude (1-s or 6-s access to grain) varied iron session to session. Higher response rates and lower reinforcement rates occurred tinder the longer hopper duration. These results demonstrate that larger reinforcer magnitudes engender less efficient DRL schedule performance in both rats and pigeons, and when reinforcer magnitude was held constant between sessions or was varied daily. The present results are consistent with previous research demonstrating a decrease in efficiency as a function of increased reinforcer magnituide tinder procedures that require a period of time without a specified response. These findings also support the claim that DRI. schedule performance is not governed solely by a timing process. PMID:12144310

  13. Magnitude of income-related disparities in adverse perinatal outcomes

    PubMed Central

    2014-01-01

    Background To assess and compare multiple measurements of socioeconomic position (SEP) in order to determine the relationship with adverse perinatal outcomes across various contexts. Methods A birth registry, the Nova Scotia Atlee Perinatal Database, was confidentially linked to income tax and related information for the year in which delivery occurred. Multiple logistic regression was used to examine odds ratios between multiple indicators of SEP and multiple adverse perinatal outcomes in 117734 singleton births between 1988 and 2003. Models for after tax family income were also adjusted for neighborhood deprivation to gauge the relative magnitude of effects related to SEP at both levels. Effects of SEP were stratified by single- versus multiple-parent family composition, and by urban versus rural location of residence. Results The risk of small for gestational age and spontaneous preterm birth was higher across all the indicators of lower SEP, while risk for large for gestational age was lower across indicators of lower SEP. Higher risk of postneonatal death was demonstrated for several measures of lower SEP. Higher material deprivation in the neighborhood of residence was associated with increased risk for perinatal death, small for gestational age birth, and iatrogenic and spontaneous preterm birth. Family composition and urbanicity were shown to modify the association between income and some perinatal outcomes. Conclusions This study highlights the importance of understanding the definitions of SEP and the mechanisms that lead to the association between income and poor perinatal outcomes, and broadening the types of SEP measures used in some cases. PMID:24589212

  14. Low Magnitude Mechanical Signals Reduce Risk-Factors for Fracture during 90-Day Bed Rest

    NASA Technical Reports Server (NTRS)

    Muir, J. W.; Xia, Y.; Holquin, N.; Judex, S.; Qin, Y.; Evans, H.; Lang, T.; Rubin, C.

    2007-01-01

    Long duration spaceflight leads to multiple deleterious changes to the musculoskeletal system, where loss of bone density, an order of magnitude more severe than that which follows the menopause, combined with increased instability, conspire to elevate the risk of bone fracture due to falls on return to gravitational fields. Here, a ground-based analog for spaceflight is used to evaluate the efficacy of a low-magnitude mechanical intervention, VIBE (Vibrational Inhibition of Bone Erosion), as a potential countermeasure to preserve musculoskeletal integrity in the face of disuse. Twenty-six subjects consented to ninety days of six-degree head-down tilt bed-rest. 18 completed the 90d protocol, 8 of which received daily 10-minute exposure to 30 Hz, 0.3g VIBE, applied in the supine position using a vest elastically coupled to the vibrating platform. The shoulder harness induced a load of 60% of the subjects body weight. At baseline and 90d, Qualitative Ultrasound Scans (QUS) of the calcaneus and CT-scans of the hip and spine were performed to measure changes in bone density. Postural control (PC) was assessed through center of pressure (COP) recordings while subjects stood on a force platform for 4 minutes of quiet stance with eyes closed, and again with eyes opened. As compared to control bedrest subjects,

  15. Higher-order triangular spectral element method with optimized cubature points for seismic wavefield modeling

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Liu, Youshan, E-mail: ysliu@mail.iggcas.ac.cn; Teng, Jiwen, E-mail: jwteng@mail.iggcas.ac.cn; Xu, Tao, E-mail: xutao@mail.iggcas.ac.cn

    2017-05-01

    The mass-lumped method avoids the cost of inverting the mass matrix and simultaneously maintains spatial accuracy by adopting additional interior integration points, known as cubature points. To date, such points are only known analytically in tensor domains, such as quadrilateral or hexahedral elements. Thus, the diagonal-mass-matrix spectral element method (SEM) in non-tensor domains always relies on numerically computed interpolation points or quadrature points. However, only the cubature points for degrees 1 to 6 are known, which is the reason that we have developed a p-norm-based optimization algorithm to obtain higher-order cubature points. In this way, we obtain and tabulate newmore » cubature points with all positive integration weights for degrees 7 to 9. The dispersion analysis illustrates that the dispersion relation determined from the new optimized cubature points is comparable to that of the mass and stiffness matrices obtained by exact integration. Simultaneously, the Lebesgue constant for the new optimized cubature points indicates its surprisingly good interpolation properties. As a result, such points provide both good interpolation properties and integration accuracy. The Courant–Friedrichs–Lewy (CFL) numbers are tabulated for the conventional Fekete-based triangular spectral element (TSEM), the TSEM with exact integration, and the optimized cubature-based TSEM (OTSEM). A complementary study demonstrates the spectral convergence of the OTSEM. A numerical example conducted on a half-space model demonstrates that the OTSEM improves the accuracy by approximately one order of magnitude compared to the conventional Fekete-based TSEM. In particular, the accuracy of the 7th-order OTSEM is even higher than that of the 14th-order Fekete-based TSEM. Furthermore, the OTSEM produces a result that can compete in accuracy with the quadrilateral SEM (QSEM). The high accuracy of the OTSEM is also tested with a non-flat topography model. In terms of

  16. Rapid estimation of earthquake magnitude from the arrival time of the peak high‐frequency amplitude

    USGS Publications Warehouse

    Noda, Shunta; Yamamoto, Shunroku; Ellsworth, William L.

    2016-01-01

    We propose a simple approach to measure earthquake magnitude M using the time difference (Top) between the body‐wave onset and the arrival time of the peak high‐frequency amplitude in an accelerogram. Measured in this manner, we find that Mw is proportional to 2logTop for earthquakes 5≤Mw≤7, which is the theoretical proportionality if Top is proportional to source dimension and stress drop is scale invariant. Using high‐frequency (>2  Hz) data, the root mean square (rms) residual between Mw and MTop(M estimated from Top) is approximately 0.5 magnitude units. The rms residuals of the high‐frequency data in passbands between 2 and 16 Hz are uniformly smaller than those obtained from the lower‐frequency data. Top depends weakly on epicentral distance, and this dependence can be ignored for distances <200  km. Retrospective application of this algorithm to the 2011 Tohoku earthquake produces a final magnitude estimate of M 9.0 at 120 s after the origin time. We conclude that Top of high‐frequency (>2  Hz) accelerograms has value in the context of earthquake early warning for extremely large events.

  17. 14 CFR 382.27 - May a carrier require a passenger with a disability to provide advance notice in order to obtain...

    Code of Federal Regulations, 2012 CFR

    2012-01-01

    ... 14 Aeronautics and Space 4 2012-01-01 2012-01-01 false May a carrier require a passenger with a disability to provide advance notice in order to obtain certain specific services in connection with a flight? 382.27 Section 382.27 Aeronautics and Space OFFICE OF THE SECRETARY, DEPARTMENT OF TRANSPORTATION (AVIATION PROCEEDINGS) SPECIAL REGULATIONS...

  18. Order flow dynamics around extreme price changes on an emerging stock market

    NASA Astrophysics Data System (ADS)

    Mu, Guo-Hua; Zhou, Wei-Xing; Chen, Wei; Kertész, János

    2010-07-01

    We study the dynamics of order flows around large intraday price changes using ultra-high-frequency data from the Shenzhen Stock Exchange. We find a significant reversal of price for both intraday price decreases and increases with a permanent price impact. The volatility, the volume of different types of orders, the bid-ask spread and the volume imbalance increase before the extreme events and decay slowly as a power law, which forms a well-established peak. The volume of buy market orders increases faster and the corresponding peak appears earlier than for sell market orders around positive events, while the volume peak of sell market orders leads buy market orders in the magnitude and time around negative events. When orders are divided into four groups according to their aggressiveness, we find that the behaviors of order volume and order number are similar, except for buy limit orders and canceled orders that the peak of order number postpones 2 min later after the peak of order volume, implying that investors placing large orders are more informed and play a central role in large price fluctuations. We also study the relative rates of different types of orders and find differences in the dynamics of relative rates between buy orders and sell orders and between individual investors and institutional investors. There is evidence that institutions behave very differently from individuals and that they have more aggressive strategies. Combining these findings, we conclude that institutional investors are better informed and play a more influential role in driving large price fluctuations.

  19. Self-motion magnitude estimation during linear oscillation - Changes with head orientation and following fatigue

    NASA Technical Reports Server (NTRS)

    Parker, D. E.; Wood, D. L.; Gulledge, W. L.; Goodrich, R. L.

    1979-01-01

    Two types of experiments concerning the estimated magnitude of self-motion during exposure to linear oscillation on a parallel swing are described in this paper. Experiment I examined changes in magnitude estimation as a function of variation of the subject's head orientation, and Experiments II a, II b, and II c assessed changes in magnitude estimation performance following exposure to sustained, 'intense' linear oscillation (fatigue-inducting stimulation). The subjects' performance was summarized employing Stevens' power law R = k x S to the nth, where R is perceived self-motion magnitude, k is a constant, S is amplitude of linear oscillation, and n is an exponent). The results of Experiment I indicated that the exponents, n, for the magnitude estimation functions varied with head orientation and were greatest when the head was oriented 135 deg off the vertical. In Experiments II a-c, the magnitude estimation function exponents were increased following fatigue. Both types of experiments suggest ways in which the vestibular system's contribution to a spatial orientation perceptual system may vary. This variability may be a contributing factor to the development of pilot/astronaut disorientation and may also be implicated in the occurrence of motion sickness.

  20. What controls the maximum magnitude of injection-induced earthquakes?

    NASA Astrophysics Data System (ADS)

    Eaton, D. W. S.

    2017-12-01

    Three different approaches for estimation of maximum magnitude are considered here, along with their implications for managing risk. The first approach is based on a deterministic limit for seismic moment proposed by McGarr (1976), which was originally designed for application to mining-induced seismicity. This approach has since been reformulated for earthquakes induced by fluid injection (McGarr, 2014). In essence, this method assumes that the upper limit for seismic moment release is constrained by the pressure-induced stress change. A deterministic limit is given by the product of shear modulus and the net injected fluid volume. This method is based on the assumptions that the medium is fully saturated and in a state of incipient failure. An alternative geometrical approach was proposed by Shapiro et al. (2011), who postulated that the rupture area for an induced earthquake falls entirely within the stimulated volume. This assumption reduces the maximum-magnitude problem to one of estimating the largest potential slip surface area within a given stimulated volume. Finally, van der Elst et al. (2016) proposed that the maximum observed magnitude, statistically speaking, is the expected maximum value for a finite sample drawn from an unbounded Gutenberg-Richter distribution. These three models imply different approaches for risk management. The deterministic method proposed by McGarr (2014) implies that a ceiling on the maximum magnitude can be imposed by limiting the net injected volume, whereas the approach developed by Shapiro et al. (2011) implies that the time-dependent maximum magnitude is governed by the spatial size of the microseismic event cloud. Finally, the sample-size hypothesis of Van der Elst et al. (2016) implies that the best available estimate of the maximum magnitude is based upon observed seismicity rate. The latter two approaches suggest that real-time monitoring is essential for effective management of risk. A reliable estimate of maximum

  1. Epitaxial growth of ordered and disordered granular sphere packings

    NASA Astrophysics Data System (ADS)

    Panaitescu, Andreea; Kudrolli, Arshad

    2014-09-01

    We demonstrate that epitaxy can be used to obtain a wide range of ordered to disordered granular packings by simply changing the deposition flux. We show that a defect-free face-centered-cubic (fcc) monocrystal can be obtained by depositing athermal granular spheres randomly into a container with a templated surface in a gravitational field without direct manipulation. This packing corresponds to the maximum sphere packing fraction and is obtained when the substrate is templated corresponding to the (100) plane of a fcc crystal and the container side is an integer multiple of the sphere diameter. We find that the maximum sphere packing is obtained when the deposited grains come to rest, one at a time, without damaging the substrate. A transition to a disordered packing is observed when the flux is increased. Using micro x-ray computed tomography, we find that defects nucleate at the boundaries of the container in which the packing is grown as grains cooperatively come to rest above their local potential minimum. This leads to a transition from ordered to disordered loose packings that grow in the form of an inverted cone, with the apex located at the defect nucleation site. We capture the observed decrease in order using a minimal model in which a defect leads to growth of further defects in the neighboring sites in the layer above with a probability that increases with the deposition flux.

  2. Epitaxial growth of ordered and disordered granular sphere packings.

    PubMed

    Panaitescu, Andreea; Kudrolli, Arshad

    2014-09-01

    We demonstrate that epitaxy can be used to obtain a wide range of ordered to disordered granular packings by simply changing the deposition flux. We show that a defect-free face-centered-cubic (fcc) monocrystal can be obtained by depositing athermal granular spheres randomly into a container with a templated surface in a gravitational field without direct manipulation. This packing corresponds to the maximum sphere packing fraction and is obtained when the substrate is templated corresponding to the (100) plane of a fcc crystal and the container side is an integer multiple of the sphere diameter. We find that the maximum sphere packing is obtained when the deposited grains come to rest, one at a time, without damaging the substrate. A transition to a disordered packing is observed when the flux is increased. Using micro x-ray computed tomography, we find that defects nucleate at the boundaries of the container in which the packing is grown as grains cooperatively come to rest above their local potential minimum. This leads to a transition from ordered to disordered loose packings that grow in the form of an inverted cone, with the apex located at the defect nucleation site. We capture the observed decrease in order using a minimal model in which a defect leads to growth of further defects in the neighboring sites in the layer above with a probability that increases with the deposition flux.

  3. Reinforcement Magnitude: An Evaluation of Preference and Reinforcer Efficacy

    ERIC Educational Resources Information Center

    Trosclair-Lasserre, Nicole M.; Lerman, Dorothea C.; Call, Nathan A.; Addison, Laura R.; Kodak, Tiffany

    2008-01-01

    Consideration of reinforcer magnitude may be important for maximizing the efficacy of treatment for problem behavior. Nonetheless, relatively little is known about children's preferences for different magnitudes of social reinforcement or the extent to which preference is related to differences in reinforcer efficacy. The purpose of the current…

  4. Fourier transform magnitudes are unique pattern recognition templates.

    PubMed

    Gardenier, P H; McCallum, B C; Bates, R H

    1986-01-01

    Fourier transform magnitudes are commonly used in the generation of templates in pattern recognition applications. We report on recent advances in Fourier phase retrieval which are relevant to pattern recognition. We emphasise in particular that the intrinsic form of a finite, positive image is, in general, uniquely related to the magnitude of its Fourier transform. We state conditions under which the Fourier phase can be reconstructed from samples of the Fourier magnitude, and describe a method of achieving this. Computational examples of restoration of Fourier phase (and hence, by Fourier transformation, the intrinsic form of the image) from samples of the Fourier magnitude are also presented.

  5. Correlating precursory declines in groundwater radon with earthquake magnitude.

    PubMed

    Kuo, T

    2014-01-01

    Both studies at the Antung hot spring in eastern Taiwan and at the Paihe spring in southern Taiwan confirm that groundwater radon can be a consistent tracer for strain changes in the crust preceding an earthquake when observed in a low-porosity fractured aquifer surrounded by a ductile formation. Recurrent anomalous declines in groundwater radon were observed at the Antung D1 monitoring well in eastern Taiwan prior to the five earthquakes of magnitude (Mw ): 6.8, 6.1, 5.9, 5.4, and 5.0 that occurred on December 10, 2003; April 1, 2006; April 15, 2006; February 17, 2008; and July 12, 2011, respectively. For earthquakes occurring on the longitudinal valley fault in eastern Taiwan, the observed radon minima decrease as the earthquake magnitude increases. The above correlation has been proven to be useful for early warning local large earthquakes. In southern Taiwan, radon anomalous declines prior to the 2010 Mw 6.3 Jiasian, 2012 Mw 5.9 Wutai, and 2012 ML 5.4 Kaohsiung earthquakes were also recorded at the Paihe spring. For earthquakes occurring on different faults in southern Taiwan, the correlation between the observed radon minima and the earthquake magnitude is not yet possible. © 2013, National Ground Water Association.

  6. A Study of Small Magnitude Seismic Events During 1961-1989 on and near the Semipalatinsk Test Site, Kazakhstan

    NASA Astrophysics Data System (ADS)

    Khalturin, V. I.; Rautian, T. G.; Richards, P. G.

    - Official Russian sources in 1996 and 1997 have stated that 340 underground nuclear tests (UNTs) were conducted during 1961-1989 at the Semipalatinsk Test Site (STS) in Eastern Kazakhstan. Only 271 of these nuclear tests appear to have been described with well-determined origin time, coordinates and magnitudes in the openly available technical literature. Thus, good open documentation has been lacking for 69 UNTs at STS.The main goal of our study was to provide detections, estimates of origin time and location, and magnitudes, for as many of these previously undocumented events as possible. We used data from temporary and permanent seismographic stations in the former USSR at distances from 500km to about 1500km from STS. As a result, we have been able to assign magnitude for eight previously located UNTs whose magnitude was not previously known. For 31 UNTs, we have estimated origin time an d assigned magnitude - and for 19 of these 31 we have obtained locations based on seismic signals. Of the remaining 30 poorly documented UNTs, 15 had announced yields that were less than one ton, and 13 occurred simultaneously with another test which was detected. There are only two UNTs, for which the announced yield exceeds one ton and we have been unable to find seismic signals.Most of the newly detected and located events were sub-kiloton. Their magnitudes range from 2.7 up to 5.1 (a multi-kiloton event on 1965 Feb. 4 that was often obscured at teleseismic stations by signals from an earthquake swarm in the Aleutians).For 17 small UNTs at STS, we compare the locations (with their uncertainties) that we had earlier determined in 1994 from analysis of regional seismic waves, with ground-truth information obtained in 1998. The average error of the seismically-determined locations is only about 5km. The ground-truth location is almost alw ays within the predicted small uncertainty of the seismically-determined location.Seismically-determined yield estimates are in good

  7. Ordering of rods near planar and curved surfaces

    NASA Astrophysics Data System (ADS)

    Izzo, Dora; de Oliveira, Mário J.

    2018-01-01

    We study the orientational profile of a semi-infinite system of cylinders bounded in two different ways: by a flat and by a curved wall. The latter corresponds to the interior of a spherical shell, where the dimensions of the rods are comparable to the radius of curvature of the container: they have to accomodate to fill the available space, leading to a rich orientation profile. In order to study these problems, we make a mapping onto a three-state Potts model on a semi-infinite lattice, which is solved using a mean-field approach; we fix the boundary conditions on the surface and in the bulk. In the case of a curved surface, the increase in the effective volume interactions towards the bulk, due to compression, is obtained by increasing the nearest neighbor interactions. The mean-field equations are iterated numerically and we obtain various interesting results concerning the free energy and the orientation profile. We show that there is always a first order transition and the stability of the coexisting phases is strongly affected by the surface. When the surface is disordered and the bulk ordered, the profile may present a step that depends on the degree of disorder on the surface, on the rate of increase of the particle interactions and on the surface external potential. The existence of this step may be relevant to applications in nanotechnology.

  8. Magnitude of flood flows for selected annual exceedance probabilities for streams in Massachusetts

    USGS Publications Warehouse

    Zarriello, Phillip J.

    2017-05-11

    significant at the 95-percent confidence level for any of the AEPs examined. The effect of urbanization on flood flows indicates a complex interaction with other basin characteristics. Another complicating factor is the assumption of stationarity, that is, the assumption that annual peak flows exhibit no significant trend over time. The results of the analysis show that stationarity does not prevail at all of the streamgages. About 27 percent of streamgages in Massachusetts and about 42 percent of streamgages in adjacent States with 20 or more years of systematic record used in the study show a significant positive trend at the 95-percent confidence level. The remaining streamgages had both positive and negative trends, but the trends were not statistically significant. Trends were shown to vary over time. In particular, during the past decade (2004–2013), peak flows were persistently above normal, which may give the impression of positive trends. Only continued monitoring will provide the information needed to determine whether recent increases in annual peak flows are a normal oscillation or a true trend.The analysis used 37 years of additional data obtained since the last comprehensive study of flood flows in Massa­chusetts. In addition, new methods for computing flood flows at streamgages and regionalization improved estimates of flood magnitudes at gaged and ungaged locations and better defined the uncertainty of the estimates of AEP floods.

  9. Gravitoinertial force magnitude and direction influence head-centric auditory localization

    NASA Technical Reports Server (NTRS)

    DiZio, P.; Held, R.; Lackner, J. R.; Shinn-Cunningham, B.; Durlach, N.

    2001-01-01

    We measured the influence of gravitoinertial force (GIF) magnitude and direction on head-centric auditory localization to determine whether a true audiogravic illusion exists. In experiment 1, supine subjects adjusted computer-generated dichotic stimuli until they heard a fused sound straight ahead in the midsagittal plane of the head under a variety of GIF conditions generated in a slow-rotation room. The dichotic stimuli were constructed by convolving broadband noise with head-related transfer function pairs that model the acoustic filtering at the listener's ears. These stimuli give rise to the perception of externally localized sounds. When the GIF was increased from 1 to 2 g and rotated 60 degrees rightward relative to the head and body, subjects on average set an acoustic stimulus 7.3 degrees right of their head's median plane to hear it as straight ahead. When the GIF was doubled and rotated 60 degrees leftward, subjects set the sound 6.8 degrees leftward of baseline values to hear it as centered. In experiment 2, increasing the GIF in the median plane of the supine body to 2 g did not influence auditory localization. In experiment 3, tilts up to 75 degrees of the supine body relative to the normal 1 g GIF led to small shifts, 1--2 degrees, of auditory setting toward the up ear to maintain a head-centered sound localization. These results show that head-centric auditory localization is affected by azimuthal rotation and increase in magnitude of the GIF and demonstrate that an audiogravic illusion exists. Sound localization is shifted in the direction opposite GIF rotation by an amount related to the magnitude of the GIF and its angular deviation relative to the median plane.

  10. The effects of reinforcement magnitude on skill acquisition for children with autism.

    PubMed

    Paden, Amber R; Kodak, Tiffany

    2015-12-01

    We examined the effects of reinforcement magnitude on skill acquisition during discrete-trial training. After conducting a magnitude preference assessment, we compared acquisition during conditions with large and small magnitudes of edible reinforcement to a praise-only condition. Although all participants showed a preference for the large-magnitude reinforcer, preference did not predict the magnitude that produced the fastest skill acquisition. © Society for the Experimental Analysis of Behavior.

  11. Doping dependence of charge order in electron-doped cuprate superconductors

    NASA Astrophysics Data System (ADS)

    Mou, Yingping; Feng, Shiping

    2017-12-01

    In the recent studies of the unconventional physics in cuprate superconductors, one of the central issues is the interplay between charge order and superconductivity. Here the mechanism of the charge-order formation in the electron-doped cuprate superconductors is investigated based on the t-J model. The experimentally observed momentum dependence of the electron quasiparticle scattering rate is qualitatively reproduced, where the scattering rate is highly anisotropic in momentum space, and is intriguingly related to the charge-order gap. Although the scattering strength appears to be weakest at the hot spots, the scattering in the antinodal region is stronger than that in the nodal region, which leads to the original electron Fermi surface is broken up into the Fermi pockets and their coexistence with the Fermi arcs located around the nodal region. In particular, this electron Fermi surface instability drives the charge-order correlation, with the charge-order wave vector that matches well with the wave vector connecting the hot spots, as the charge-order correlation in the hole-doped counterparts. However, in a striking contrast to the hole-doped case, the charge-order wave vector in the electron-doped side increases in magnitude with the electron doping. The theory also shows the existence of a quantitative link between the single-electron fermiology and the collective response of the electron density.

  12. Theoretical Studies of Nonuniform Orientational Order in Liquid Crystals and Active Particles

    NASA Astrophysics Data System (ADS)

    Duzgun, Ayhan

    I investigate three systems that exhibit complex patterns in orientational order, which are controlled by geometry interacting with the dynamics of phase transitions, metastability, and activity. 1. Liquid Crystal Elastomers: Liquid-crystal elastomers are remarkable materials that combine the elastic properties of cross-linked polymer networks with the anisotropy of liquid crystals. Any distortion of the polymer network affects the nematic order of the liquid crystal, and, likewise, any change in the magnitude or direction of the nematic order influences the shape of the elastomer. When elastomers are prepared without any alignment, they develop disordered polydomain structures as they are cooled into the nematic phase. To model these polydomain structures, I develop a dynamic theory for the isotropic-nematic transition in elastomers. 2. Active Brownian Particles: Unlike equilibrium systems, active matter is not governed by the conventional laws of thermodynamics. I perform Langevin dynamics simulations and analytic calculations to explore how systems cross over from equilibrium to active behavior as the activity is increased. Based on these results, I calculate how the pressure depends on wall curvature, and hence make analytic predictions for the motion of curved tracers and other effects of confinement in active matter systems. 3. Skyrmions in Liquid Crystals: Skyrmions are localized topological defects in the orientation of an order parameter field, without a singularity in the magnitude of the field. For many years, such defects have been studied in the context of chiral liquid crystals--for example, as bubbles in a confined cholesteric phase or as double-twist tubes in a blue phase. More recently, skyrmions have been investigated extensively in the context of chiral magnets. In this project, I compare skyrmions in chiral liquid crystals with the analogous magnetic defects. Through simulations based on the nematic order tensor, I model both isolated skyrmions

  13. Thermodynamics around the first-order ferromagnetic phase transition of Fe2P single crystals

    NASA Astrophysics Data System (ADS)

    Hudl, M.; Campanini, D.; Caron, L.; Höglin, V.; Sahlberg, M.; Nordblad, P.; Rydh, A.

    2014-10-01

    The specific heat and thermodynamics of Fe2P single crystals around the first-order paramagnetic to ferromagnetic (FM) phase transition at TC≃217 K are empirically investigated. The magnitude and direction of the magnetic field relative to the crystal axes govern the derived H -T phase diagram. Strikingly different phase contours are obtained for fields applied parallel and perpendicular to the c axis of the crystal. In parallel fields, the FM state is stabilized, while in perpendicular fields the phase transition is split into two sections, with an intermediate FM phase where there is no spontaneous magnetization along the c axis. The zero-field transition displays a textbook example of a first-order transition with different phase stability limits on heating and cooling. The results have special significance since Fe2P is the parent material to a family of compounds with outstanding magnetocaloric properties.

  14. Neural substrates of reward magnitude, probability, and risk during a wheel of fortune decision-making task.

    PubMed

    Smith, Bruce W; Mitchell, Derek G V; Hardin, Michael G; Jazbec, Sandra; Fridberg, Daniel; Blair, R James R; Ernst, Monique

    2009-01-15

    Economic decision-making involves the weighting of magnitude and probability of potential gains/losses. While previous work has examined the neural systems involved in decision-making, there is a need to understand how the parameters associated with decision-making (e.g., magnitude of expected reward, probability of expected reward and risk) modulate activation within these neural systems. In the current fMRI study, we modified the monetary wheel of fortune (WOF) task [Ernst, M., Nelson, E.E., McClure, E.B., Monk, C.S., Munson, S., Eshel, N., et al. (2004). Choice selection and reward anticipation: an fMRI study. Neuropsychologia 42(12), 1585-1597.] to examine in 25 healthy young adults the neural responses to selections of different reward magnitudes, probabilities, or risks. Selection of high, relative to low, reward magnitude increased activity in insula, amygdala, middle and posterior cingulate cortex, and basal ganglia. Selection of low-probability, as opposed to high-probability reward, increased activity in anterior cingulate cortex, as did selection of risky, relative to safe reward. In summary, decision-making that did not involve conflict, as in the magnitude contrast, recruited structures known to support the coding of reward values, and those that integrate motivational and perceptual information for behavioral responses. In contrast, decision-making under conflict, as in the probability and risk contrasts, engaged the dorsal anterior cingulate cortex whose role in conflict monitoring is well established. However, decision-making under conflict failed to activate the structures that track reward values per se. Thus, the presence of conflict in decision-making seemed to significantly alter the pattern of neural responses to simple rewards. In addition, this paradigm further clarifies the functional specialization of the cingulate cortex in processes of decision-making.

  15. Reward magnitude tracking by neural populations in ventral striatum

    PubMed Central

    Fiallos, Ana M.; Bricault, Sarah J.; Cai, Lili X.; Worku, Hermoon A.; Colonnese, Matthew T.; Westmeyer, Gil; Jasanoff, Alan

    2017-01-01

    Evaluation of the magnitudes of intrinsically rewarding stimuli is essential for assigning value and guiding behavior. By combining parametric manipulation of a primary reward, medial forebrain bundle (MFB) microstimulation, with functional magnetic imaging (fMRI) in rodents, we delineated a broad network of structures activated by behaviorally characterized levels of rewarding stimulation. Correlation of psychometric behavioral measurements with fMRI response magnitudes revealed regions whose activity corresponded closely to the subjective magnitude of rewards. The largest and most reliable focus of reward magnitude tracking was observed in the shell region of the nucleus accumbens (NAc). Although the nonlinear nature of neurovascular coupling complicates interpretation of fMRI findings in precise neurophysiological terms, reward magnitude tracking was not observed in vascular compartments and could not be explained by saturation of region-specific hemodynamic responses. In addition, local pharmacological inactivation of NAc changed the profile of animals’ responses to rewards of different magnitudes without altering mean reward response rates, further supporting a hypothesis that neural population activity in this region contributes to assessment of reward magnitudes. PMID:27789262

  16. Tachyon search speeds up retrieval of similar sequences by several orders of magnitude.

    PubMed

    Tan, Joshua; Kuchibhatla, Durga; Sirota, Fernanda L; Sherman, Westley A; Gattermayer, Tobias; Kwoh, Chia Yee; Eisenhaber, Frank; Schneider, Georg; Maurer-Stroh, Sebastian

    2012-06-15

    The usage of current sequence search tools becomes increasingly slower as databases of protein sequences continue to grow exponentially. Tachyon, a new algorithm that identifies closely related protein sequences ~200 times faster than standard BLAST, circumvents this limitation with a reduced database and oligopeptide matching heuristic. The tool is publicly accessible as a webserver at http://tachyon.bii.a-star.edu.sg and can also be accessed programmatically through SOAP.

  17. Orbit covariance propagation via quadratic-order state transition matrix in curvilinear coordinates

    NASA Astrophysics Data System (ADS)

    Hernando-Ayuso, Javier; Bombardelli, Claudio

    2017-09-01

    In this paper, an analytical second-order state transition matrix (STM) for relative motion in curvilinear coordinates is presented and applied to the problem of orbit uncertainty propagation in nearly circular orbits (eccentricity smaller than 0.1). The matrix is obtained by linearization around a second-order analytical approximation of the relative motion recently proposed by one of the authors and can be seen as a second-order extension of the curvilinear Clohessy-Wiltshire (C-W) solution. The accuracy of the uncertainty propagation is assessed by comparison with numerical results based on Monte Carlo propagation of a high-fidelity model including geopotential and third-body perturbations. Results show that the proposed STM can greatly improve the accuracy of the predicted relative state: the average error is found to be at least one order of magnitude smaller compared to the curvilinear C-W solution. In addition, the effect of environmental perturbations on the uncertainty propagation is shown to be negligible up to several revolutions in the geostationary region and for a few revolutions in low Earth orbit in the worst case.

  18. Optimization of an intracavity Q-switched solid-state second order Raman laser

    NASA Astrophysics Data System (ADS)

    Chen, Zhiqiong; Fu, Xihong; Peng, Hangyu; Zhang, Jun; Qin, Li; Ning, Yongqiang

    2017-01-01

    In this paper, the model of an intracavity Q-switched second order Raman laser is established, the characteristics of the output 2nd Stokes are simulated. The dynamic balance mechanism among intracavity conversion rates of stimulated emission, first order Raman and second order Raman is obtained. Finally, optimization solutions for increasing output 2nd Stokes pulse energy are proposed.

  19. Association of O-Antigen Serotype with the Magnitude of Initial Systemic Cytokine Responses and Persistence in the Urinary Tract

    PubMed Central

    Horvath, Dennis J.; Patel, Ashay S.; Mohamed, Ahmad; Storm, Douglas W.; Singh, Chandra; Li, Birong; Zhang, Jingwen; Koff, Stephen A.; Jayanthi, Venkata R.; Mason, Kevin M.

    2016-01-01

    ABSTRACT Urinary tract infection (UTI) is one of the most common ailments requiring both short-term and prophylactic antibiotic therapies. Progression of infection from the bladder to the kidney is associated with more severe clinical symptoms (e.g., fever and vomiting) as well as with dangerous disease sequelae (e.g., renal scaring and sepsis). Host-pathogen interactions that promote bacterial ascent to the kidney are not completely understood. Prior studies indicate that the magnitude of proinflammatory cytokine elicitation in vitro by clinical isolates of uropathogenic Escherichia coli (UPEC) inversely correlates with the severity of clinical disease. Therefore, we hypothesize that the magnitude of initial proinflammatory responses during infection defines the course and severity of disease. Clinical UPEC isolates obtained from patients with a nonfebrile UTI elicited high systemic proinflammatory responses early during experimental UTI in a murine model and were attenuated in bladder and kidney persistence. Conversely, UPEC isolates obtained from patients with febrile UTI elicited low systemic proinflammatory responses early during experimental UTI and exhibited prolonged persistence in the bladder and kidney. Soluble factors in the supernatant from saturated cultures as well as the lipopolysaccharide (LPS) serotype correlated with the magnitude of proinflammatory responses in vitro. Our data suggest that the structure of the O-antigen sugar moiety of the LPS may determine the strength of cytokine induction by epithelial cells. Moreover, the course and severity of disease appear to be the consequence of the magnitude of initial cytokines produced by the bladder epithelium during infection. IMPORTANCE The specific host-pathogen interactions that determine the extent and course of disease are not completely understood. Our studies demonstrate that modest changes in the magnitude of cytokine production observed using in vitro models of infection translate into

  20. Waveforms clustering of small magnitude earthquakes recorded in the Northern Sicilian offshore: evidence of multiplets

    NASA Astrophysics Data System (ADS)

    D'Alessandro, A.; Mangano, G.; D'Anna, G.; Luzio, D.; Selvaggi, G.

    2011-12-01

    On September 6th 2002 the northern Sicily was hit by a strong earthquake (MW 5.9). In the following six months over a thousand aftershocks were located in the same area. On December 7th 2009, the INGV OBSLab deployed an OBS/H near the epicentral area of the main shock at a depth of 1500 m. The submarine station was recovered after 233 days. During the eight months of the experiment the OBS/H recorded about 250 small magnitude events of clear local origin. In order to identify seismic events generated by the same tectonic structure, we have applied a clustering technique based on the similarity of the waveforms. The similarity matrix was constructed using the maximum of the normalized cross-covariance function. To identify the multiplets, we used a clustering technique based on an agglomerative hierarchical algorithm, based on the nearest neighbor strategy. The results were summarized in the dendrogram of Fig. 1. The partitions have been obtained by "cutting" the dendrogram at a level of distance equal to 0.3. So we have identified 9 multiplets and some doublets and triplets. Fig. 2 shows as example the multiplet 1. The events of this cluster have a high level of similarity; 25 of the 31 micro-events are characterized by a similarity greater than 0.9. In order to locate the micro-earthquakes recorded by the OBS/H only a single station location technique was implemented and applied. Some multiplets have clouds of hypocenters overlapping each other. These clusters, indistinguishable without the application of a waveforms clustering technique, show differences in the waveforms that must be attributed to differences in focal mechanisms which generated the waveforms.

  1. Rapid Ordering in "Wet Brush" Block Copolymer/Homopolymer Ternary Blends.

    PubMed

    Doerk, Gregory S; Yager, Kevin G

    2017-12-26

    The ubiquitous presence of thermodynamically unfavored but kinetically trapped topological defects in nanopatterns formed via self-assembly of block copolymer thin films may prevent their use for many envisioned applications. Here, we demonstrate that lamellae patterns formed by symmetric polystyrene-block-poly(methyl methacrylate) diblock copolymers self-assemble and order extremely rapidly when the diblock copolymers are blended with low molecular weight homopolymers of the constituent blocks. Being in the "wet brush" regime, the homopolymers uniformly distribute within their respective self-assembled microdomains, preventing increases in domain widths. An order-of-magnitude increase in topological grain size in blends over the neat (unblended) diblock copolymer is achieved within minutes of thermal annealing as a result of the significantly higher power law exponent for ordering kinetics in the blends. Moreover, the blends are demonstrated to be capable of rapid and robust domain alignment within micrometer-scale trenches, in contrast to the corresponding neat diblock copolymer. These results can be attributed to the lowering of energy barriers associated with domain boundaries by bringing the system closer to an order-disorder transition through low molecular weight homopolymer blending.

  2. Testing the linearity and independence assumptions of the generalized matching law for reinforcer magnitude: a residual meta-analysis.

    PubMed

    Cording, Jacinta R; McLean, Anthony P; Grace, Randolph C

    2011-05-01

    We conducted a residual meta-analysis to test the assumptions of the generalized matching law that effects of relative reinforcer magnitude on response allocation in concurrent schedules can be described by a power function and are independent from the effects of relative reinforcer rate. We identified five studies which varied magnitude ratios over at least four levels and six studies in which reinforcer rate and magnitude ratios were varied factorially. The generalized matching law provided a reasonably good description of the data, accounting for 77.1% and 90.1% of the variance in the two sets of studies. Results of polynomial regressions showed that there were no systematic patterns in pooled residuals as a function of predicted log response ratios for data sets in which relative magnitude was varied. For data sets in which relative rate and magnitude were varied factorially, there was a significant negative cubic pattern in the pooled residuals, suggesting that obtained response allocation was less extreme than predicted for conditions with extreme predicted values. However, subsequent analyses showed that this result was associated with results from conditions in one study in which the product of the rate and magnitude ratios was 63:1, and in which response allocation may have been attenuated by a ceiling effect. When data from these conditions were omitted, there were no significant components in the residuals. Although the number of available studies was small, results provide tentative support for the assumptions of the generalized matching law that effects of reinforcer magnitude ratios on choice can be described by a power function and are independent from reinforcer rate ratios. Copyright © 2011 Elsevier B.V. All rights reserved.

  3. An approach to the development of numerical algorithms for first order linear hyperbolic systems in multiple space dimensions: The constant coefficient case

    NASA Technical Reports Server (NTRS)

    Goodrich, John W.

    1995-01-01

    Two methods for developing high order single step explicit algorithms on symmetric stencils with data on only one time level are presented. Examples are given for the convection and linearized Euler equations with up to the eighth order accuracy in both space and time in one space dimension, and up to the sixth in two space dimensions. The method of characteristics is generalized to nondiagonalizable hyperbolic systems by using exact local polynominal solutions of the system, and the resulting exact propagator methods automatically incorporate the correct multidimensional wave propagation dynamics. Multivariate Taylor or Cauchy-Kowaleskaya expansions are also used to develop algorithms. Both of these methods can be applied to obtain algorithms of arbitrarily high order for hyperbolic systems in multiple space dimensions. Cross derivatives are included in the local approximations used to develop the algorithms in this paper in order to obtain high order accuracy, and improved isotropy and stability. Efficiency in meeting global error bounds is an important criterion for evaluating algorithms, and the higher order algorithms are shown to be up to several orders of magnitude more efficient even though they are more complex. Stable high order boundary conditions for the linearized Euler equations are developed in one space dimension, and demonstrated in two space dimensions.

  4. Effects of different magnitudes of whole-body vibration on arm muscular performance.

    PubMed

    Marín, Pedro J; Herrero, Azael J; Sáinz, Nuria; Rhea, Matthew R; García-López, David

    2010-09-01

    The purpose of this study was to analyze the effects of different vibration magnitudes via feet on the number of repetitions performed, mean velocity, and perceived exertion during a set of elbow-extension exercise to failure (70% 1 repetition maximum [1RM] load). Twenty recreationally active students (14 men and 6 women) performed, in 3 different days, 1 elbow-extension set applying randomly 1 of the 3 experimental conditions: high magnitude (HM; 50 Hz and 2.51 mmp-p; 98.55 mxs-2), low magnitude (LM; 30 Hz and 1.15 mmp-p; 20.44 m.s-2) or control (Control, without vibration stimulus). Results indicate that the vibration via feet provides superimposed stimuli for elbow-extensor performance, enhancing the total number of repetitions performed in the HM and LM conditions, which was significantly higher (p increase (p of vibration generates more neuromuscular facilitation than an LM. These data suggest that a vibration stimulus applied to the feet can result in positive improvements in upper body resistance exercise performance.

  5. Off-resonant third-order optical nonlinearities of squarylium and croconium dyes

    NASA Astrophysics Data System (ADS)

    Li, Zhongyu; Xu, Song; Niu, Lihong; Zhang, Zhi; Chen, Zihui; Zhang, Fushi

    2008-01-01

    The magnitude and dynamic response of the third-order optical nonlinearities of squarylium and croconium dyes in methanol solution were measured by femtosecond degenerate four-wave mixing (DFWM) technique at 800 nm. Ultrafast nonlinear optical responses have been observed, and the magnitude of the second-order hyperpolarizabilities was evaluated to be 5.80 × 10 -31 esu for the squarylium dye and 8.69 × 10 -31 esu for the croconium dye, respectively. The large optical nonlinearities of the dyes can be attributed to their rigid and intramolecular charge transfer structure, and the instantaneous NLO responses of dyes are shorter than the experimental time resolution (50 fs), which is mainly contributed from the electron delocalization. The fast nonlinear response and large third-order optical nonlinearities show that the studied squarylium and croconium dyes might a kind of promising materials for the applications in all-optical switching and modulator.

  6. The Effects of Reinforcer Magnitude on Timing in Rats

    ERIC Educational Resources Information Center

    Ludvig, Elliot A.; Conover, Kent; Shizgal, Peter

    2007-01-01

    The relation between reinforcer magnitude and timing behavior was studied using a peak procedure. Four rats received multiple consecutive sessions with both low and high levels of brain stimulation reward (BSR). Rats paused longer and had later start times during sessions when their responses were reinforced with low-magnitude BSR. When estimated…

  7. Improved instrumental magnitude prediction expected from version 2 of the NASA SKY2000 master star catalog

    NASA Technical Reports Server (NTRS)

    Sande, C. B.; Brasoveanu, D.; Miller, A. C.; Home, A. T.; Tracewell, D. A.; Warren, W. H., Jr.

    1998-01-01

    The SKY2000 Master Star Catalog (MC), Version 2 and its predecessors have been designed to provide the basic astronomical input data needed for satellite acquisition and attitude determination on NASA spacecraft. Stellar positions and proper motions are the primary MC data required for operations support followed closely by the stellar brightness observed in various standard astronomical passbands. The instrumental red-magnitude prediction subsystem (REDMAG) in the MMSCAT software package computes the expected instrumental color index (CI) [sensor color correction] from an observed astronomical stellar magnitude in the MC and the characteristics of the stellar spectrum, astronomical passband, and sensor sensitivity curve. The computation is more error prone the greater the mismatch of the sensor sensitivity curve characteristics and those of the observed astronomical passbands. This paper presents the preliminary performance analysis of a typical red-sensitive CCDST during acquisition of sensor data from the two Ball CT-601 ST's onboard the Rossi X-Ray Timing Explorer (RXTE). A comparison is made of relative star positions measured in the ST FOV coordinate system with the expected results computed from the recently released Tycho Catalogue. The comparison is repeated for a group of observed stars with nearby, bright neighbors in order to determine the tracker behavior in the presence of an interfering, near neighbor (NN). The results of this analysis will be used to help define a new photoelectric photometric instrumental sensor magnitude system (S) that is based on several thousand bright star magnitudes observed with the PXTE ST's. This new system will be implemented in Version 2 of the SKY2000 MC to provide improved predicted magnitudes in the mission run catalogs.

  8. Magnitude and frequency of floods in Washington

    USGS Publications Warehouse

    Cummans, J.E.; Collings, Michael R.; Nasser, Edmund George

    1975-01-01

    Relations are provided to estimate the magnitude and frequency of floods on Washington streams. Annual-peak-flow data from stream gaging stations on unregulated streams having 1 years or more of record were used to determine a log-Pearson Type III frequency curve for each station. Flood magnitudes having recurrence intervals of 2, 5, i0, 25, 50, and 10years were then related to physical and climatic indices of the drainage basins by multiple-regression analysis using the Biomedical Computer Program BMDO2R. These regression relations are useful for estimating flood magnitudes of the specified recurrence intervals at ungaged or short-record sites. Separate sets of regression equations were defined for western and eastern parts of the State, and the State was further subdivided into 12 regions in which the annual floods exhibit similar flood characteristics. Peak flows are related most significantly in western Washington to drainage-area size and mean annual precipitation. In eastern Washington-they are related most significantly to drainage-area size, mean annual precipitation, and percentage of forest cover. Standard errors of estimate of the estimating relations range from 25 to 129 percent, and the smallest errors are generally associated with the more humid regions.

  9. A catalog of observed nuclear magnitudes of Jupiter family comets

    NASA Astrophysics Data System (ADS)

    Tancredi, G.; Fernández, J. A.; Rickman, H.; Licandro, J.

    2000-10-01

    A catalog of a sample of 105 Jupiter family (JF) comets (defined as those with Tisserand constants T > 2 and orbital periods P < 20 yr) is presented with our ``best estimates'' of their absolute nuclear magnitudes H_N = V(1,0,0). The catalog includes all the nuclear magnitudes reported after 1950 until August 1998 that appear in the International Comet Quarterly Archive of Cometary Photometric Data, the Minor Planet Center (MPC) data base, IAU Circulars, International Comet Quarterly, and a few papers devoted to some particular comets, together with our own observations. Photometric data previous to 1990 have mainly been taken from the Comet Light Curve Catalogue (CLICC) compiled by Kamél (\\cite{kamel}). We discuss the reliability of the reported nuclear magnitudes in relation to the inherent sources of errors and uncertainties, in particular the coma contamination often present even at large heliocentric distances. A large fraction of the JF comets of our sample indeed shows various degrees of activity at large heliocentric distances, which is correlated with recent downward jumps in their perihelion distances. The reliability of coma subtraction methods to compute the nuclear magnitude is also discussed. Most absolute nuclear magnitudes are found in the range 15 - 18, with no magnitudes fainter than H_N ~ 19.5. The catalog can be found at: http://www.fisica.edu.uy/ ~ gonzalo/catalog/. Table 2 and Appendix B are only available in electronic form at http://www.edpsciences.org Table 5 is also available in electronic form at the CDS via anonymous ftp to cdsarc.u-strasbg.fr (130.79.128.5) or via http://cdsweb.u-strasbg.fr/Abstract.html

  10. Magnitude and frequency of floods in Arkansas

    USGS Publications Warehouse

    Hodge, Scott A.; Tasker, Gary D.

    1995-01-01

    Methods are presented for estimating the magnitude and frequency of peak discharges of streams in Arkansas. Regression analyses were developed in which a stream's physical and flood characteristics were related. Four sets of regional regression equations were derived to predict peak discharges with selected recurrence intervals of 2, 5, 10, 25, 50, 100, and 500 years on streams draining less than 7,770 square kilometers. The regression analyses indicate that size of drainage area, main channel slope, mean basin elevation, and the basin shape factor were the most significant basin characteristics that affect magnitude and frequency of floods. The region of influence method is included in this report. This method is still being improved and is to be considered only as a second alternative to the standard method of producing regional regression equations. This method estimates unique regression equations for each recurrence interval for each ungaged site. The regression analyses indicate that size of drainage area, main channel slope, mean annual precipitation, mean basin elevation, and the basin shape factor were the most significant basin and climatic characteristics that affect magnitude and frequency of floods for this method. Certain recommendations on the use of this method are provided. A method is described for estimating the magnitude and frequency of peak discharges of streams for urban areas in Arkansas. The method is from a nationwide U.S. Geeological Survey flood frequency report which uses urban basin characteristics combined with rural discharges to estimate urban discharges. Annual peak discharges from 204 gaging stations, with drainage areas less than 7,770 square kilometers and at least 10 years of unregulated record, were used in the analysis. These data provide the basis for this analysis and are published in the Appendix of this report as supplemental data. Large rivers such as the Red, Arkansas, White, Black, St. Francis, Mississippi, and

  11. Metallicity and absolute magnitude calibrations for UBV photometry

    NASA Astrophysics Data System (ADS)

    Karataş, Y.; Schuster, W. J.

    2006-10-01

    metal-poor dwarf and turn-off stars in our sample reveal that the difference of ΔMHV(B - V) relative to Hyades at (B - V) = +0.70 should be 1.37mag, instead of the 1.58mag given by Laird et al. In general, Hipparcos parallaxes are larger than ground-based ones, causing a divergence of our ΔMHV(B - V,δ0.6) relation (the solid line in Fig. 15b), from the one of Laird et al. (the dashed line) for the range +0.10 <= δ0.6 <= +0.29 our absolute magnitudes are fainter, as has been confirmed for local subdwarfs by Reid. Our final calibrations for ΔMHV(B - V, δ0.6), equations (16) and (17), are third-order polynomials in δ0.6, pass through the origin, and provide photometric distances in reasonable agreement with those obtained directly from Hipparcos parallaxes (Fig. 18).

  12. Functional Communication Training without Extinction Using Concurrent Schedules of Differing Magnitudes of Reinforcement in Classrooms

    ERIC Educational Resources Information Center

    Davis, Dawn H.; Fredrick, Laura D.; Alberto, Paul A.; Gama, Roberto

    2012-01-01

    This study investigated the effects of functional communication training (FCT) implemented with concurrent schedules of differing magnitudes of reinforcement in lieu of extinction to reduce inappropriate behaviors and increase alternative mands. Participants were four adolescent students diagnosed with severe emotional and behavior disorders…

  13. AN EMPIRICAL EXPLANATION OF THE ANOMALOUS INCREASES IN THE ASTRONOMICAL UNIT AND THE LUNAR ECCENTRICITY

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Iorio, L., E-mail: lorenzo.iorio@libero.it

    2011-09-15

    The subject of this paper is the empirically determined anomalous secular increases of the astronomical unit, of the order of some cm yr{sup -1}, and of the eccentricity of the lunar orbit, of the order of 10{sup -12} yr{sup -1}. The aim is to find an empirical explanation of both anomalies as far as their orders of magnitude are concerned. The methods employed are working out perturbatively with the Gauss equations the secular effects on the semi-major axis a and the eccentricity e of a test particle orbiting a central body acted upon by a small anomalous radial acceleration Amore » proportional to the radial velocity v{sub r} of the particle-body relative motion. The results show that non-vanishing secular variations and (e) occur. If the magnitude of the coefficient of proportionality of the extra-acceleration is of the same order of magnitude as the Hubble parameter H{sub 0} = 7.47 x 10{sup -11} yr{sup -1} at the present epoch, they are able to explain both astrometric anomalies without contradicting other existing observational determinations for the Moon and the other planets of the solar system. Finally, it is concluded that the extra-acceleration might be of cosmological origin, provided that the relative radial particle-body motion is accounted for in addition to that due to the cosmological expansion only. Further data analyses should confirm or disprove the existence of both astrometric anomalies as genuine physical phenomena.« less

  14. Multi-exponential analysis of magnitude MR images using a quantitative multispectral edge-preserving filter.

    PubMed

    Bonny, Jean Marie; Boespflug-Tanguly, Odile; Zanca, Michel; Renou, Jean Pierre

    2003-03-01

    A solution for discrete multi-exponential analysis of T(2) relaxation decay curves obtained in current multi-echo imaging protocol conditions is described. We propose a preprocessing step to improve the signal-to-noise ratio and thus lower the signal-to-noise ratio threshold from which a high percentage of true multi-exponential detection is detected. It consists of a multispectral nonlinear edge-preserving filter that takes into account the signal-dependent Rician distribution of noise affecting magnitude MR images. Discrete multi-exponential decomposition, which requires no a priori knowledge, is performed by a non-linear least-squares procedure initialized with estimates obtained from a total least-squares linear prediction algorithm. This approach was validated and optimized experimentally on simulated data sets of normal human brains.

  15. Objective measurements of the penile angulation are significantly different than self-estimated magnitude among patients with penile curvature.

    PubMed

    Liguori, Giovanni; Salonia, Andrea; Garaffa, Giulio; Chiriacò, Giovanni; Pavan, Nicola; Cavallini, Giorgio; Trombetta, Carlo

    2018-01-01

    The study was aimed to assess the presence of actual differences between the objective and the perceived magnitude of a curvature between patients affected by Peyronie's disease (PD) and congenital penile curvature (CPC). Wee analysed a cohort of 88 consecutive patients seeking medical help for either CPC or PD. All patients were invited to provide a self-made drawing of their penis in erection in order to obtain self-provided description of the deformity. An objective measurement of the deformity was also performed drawing two intersecting lines through the center of the distal and proximal straight section of the penile shaft. Our findings showed significant differences between patient self-estimation and the objective measurements of the penile angulation performed by trained experts, with only 32% of patients correctly assessing their own curvature. Overall, patients tended to overestimate (56%) their degree of curvature, but the results are different in patients with PD than those with CPC. In the 60 men (68%) who did not accurately assess their curvature, PD patients generally overestimated their curvature versus CPC patients (67% vs 16%). On the contrary CPC patients underestimated their curvature compared to PD (42% vs. 4%). In order to improve patients' satisfaction rates, the surgeon needs to take into consideration the patient's perception of the deformity when planning the type of surgical correction. Copyright® by the International Brazilian Journal of Urology.

  16. Estimates of the magnitudes of major marine mass extinctions in earth history

    PubMed Central

    2016-01-01

    Procedures introduced here make it possible, first, to show that background (piecemeal) extinction is recorded throughout geologic stages and substages (not all extinction has occurred suddenly at the ends of such intervals); second, to separate out background extinction from mass extinction for a major crisis in earth history; and third, to correct for clustering of extinctions when using the rarefaction method to estimate the percentage of species lost in a mass extinction. Also presented here is a method for estimating the magnitude of the Signor–Lipps effect, which is the incorrect assignment of extinctions that occurred during a crisis to an interval preceding the crisis because of the incompleteness of the fossil record. Estimates for the magnitudes of mass extinctions presented here are in most cases lower than those previously published. They indicate that only ∼81% of marine species died out in the great terminal Permian crisis, whereas levels of 90–96% have frequently been quoted in the literature. Calculations of the latter numbers were incorrectly based on combined data for the Middle and Late Permian mass extinctions. About 90 orders and more than 220 families of marine animals survived the terminal Permian crisis, and they embodied an enormous amount of morphological, physiological, and ecological diversity. Life did not nearly disappear at the end of the Permian, as has often been claimed. PMID:27698119

  17. Estimates of the magnitudes of major marine mass extinctions in earth history

    NASA Astrophysics Data System (ADS)

    Stanley, Steven M.

    2016-10-01

    Procedures introduced here make it possible, first, to show that background (piecemeal) extinction is recorded throughout geologic stages and substages (not all extinction has occurred suddenly at the ends of such intervals); second, to separate out background extinction from mass extinction for a major crisis in earth history; and third, to correct for clustering of extinctions when using the rarefaction method to estimate the percentage of species lost in a mass extinction. Also presented here is a method for estimating the magnitude of the Signor-Lipps effect, which is the incorrect assignment of extinctions that occurred during a crisis to an interval preceding the crisis because of the incompleteness of the fossil record. Estimates for the magnitudes of mass extinctions presented here are in most cases lower than those previously published. They indicate that only ˜81% of marine species died out in the great terminal Permian crisis, whereas levels of 90-96% have frequently been quoted in the literature. Calculations of the latter numbers were incorrectly based on combined data for the Middle and Late Permian mass extinctions. About 90 orders and more than 220 families of marine animals survived the terminal Permian crisis, and they embodied an enormous amount of morphological, physiological, and ecological diversity. Life did not nearly disappear at the end of the Permian, as has often been claimed.

  18. Estimates of the magnitudes of major marine mass extinctions in earth history.

    PubMed

    Stanley, Steven M

    2016-10-18

    Procedures introduced here make it possible, first, to show that background (piecemeal) extinction is recorded throughout geologic stages and substages (not all extinction has occurred suddenly at the ends of such intervals); second, to separate out background extinction from mass extinction for a major crisis in earth history; and third, to correct for clustering of extinctions when using the rarefaction method to estimate the percentage of species lost in a mass extinction. Also presented here is a method for estimating the magnitude of the Signor-Lipps effect, which is the incorrect assignment of extinctions that occurred during a crisis to an interval preceding the crisis because of the incompleteness of the fossil record. Estimates for the magnitudes of mass extinctions presented here are in most cases lower than those previously published. They indicate that only ∼81% of marine species died out in the great terminal Permian crisis, whereas levels of 90-96% have frequently been quoted in the literature. Calculations of the latter numbers were incorrectly based on combined data for the Middle and Late Permian mass extinctions. About 90 orders and more than 220 families of marine animals survived the terminal Permian crisis, and they embodied an enormous amount of morphological, physiological, and ecological diversity. Life did not nearly disappear at the end of the Permian, as has often been claimed.

  19. The global distribution of magnitude 9 earthquakes

    NASA Astrophysics Data System (ADS)

    McCaffrey, R.

    2011-12-01

    The 2011 Tohoku M9 earthquake once again caught some in the earthquake community by surprise. The expectation of these massive quakes has been driven in the past by the over-reliance on our short, incomplete history of earthquakes and causal relationships derived from it. The logic applied is that if a great earthquake has not happened in the past, that we know of, one cannot happen in the future. Using the ~100-year global earthquake history, seismologists have promoted relationships between maximum earthquake sizes and other properties of subduction zones, leading to the notion that some subduction zones, like the Japan Trench, would never produce a magnitude ~9 event. The 2004 Andaman Mw = 9.2 earthquake, that occurred where there is slow subduction of old crust and a history of only moderate-sized earthquakes, seriously undermined such ideas. Given multi-century return times of the greatest earthquakes, ignorance of those return times and our very limited observation span, I suggest that we cannot yet make such determinations. Alternatively, using the length of a subduction zone that is available for slip as the predominant factor in determining maximum earthquake size, we cannot rule out that any subduction zone of a few hundred kilometers or more in length may be capable of producing a magnitude 9 or larger earthquake. Based on this method, the expected maximum size for the Japan Trench was 9.0 (McCaffrey, Geology, p. 263, 2008). The same approach portends a M > 9 for Java, with twice the population density as Honshu and much lower building standards. The Java Trench, and others where old crust subducts (Hikurangi, Marianas, Tonga, Kermadec), require increased awareness of the possibility for a great earthquake.

  20. Light-Induced Changes of the Circadian Clock of Humans: Increasing Duration is More Effective than Increasing Light Intensity

    PubMed Central

    Dewan, Karuna; Benloucif, Susan; Reid, Kathryn; Wolfe, Lisa F.; Zee, Phyllis C.

    2011-01-01

    Study Objectives: To evaluate the effect of increasing the intensity and/or duration of exposure on light-induced changes in the timing of the circadian clock of humans. Design: Multifactorial randomized controlled trial, between and within subject design Setting: General Clinical Research Center (GCRC) of an academic medical center Participants: 56 healthy young subjects (20-40 years of age) Interventions: Research subjects were admitted for 2 independent stays of 4 nights/3 days for treatment with bright or dim-light (randomized order) at a time known to induce phase delays in circadian timing. The intensity and duration of the bright light were determined by random assignment to one of 9 treatment conditions (duration of 1, 2, or 3 hours at 2000, 4000, or 8000 lux). Measurements and Results: Treatment-induced changes in the dim light melatonin onset (DLMO) and dim light melatonin offset (DLMOff) were measured from blood samples collected every 20-30 min throughout baseline and post-treatment nights. Comparison by multi-factor analysis of variance (ANOVA) of light-induced changes in the time of the circadian melatonin rhythm for the 9 conditions revealed that changing the duration of the light exposure from 1 to 3 h increased the magnitude of light-induced delays. In contrast, increasing from moderate (2,000 lux) to high (8,000 lux) intensity light did not alter the magnitude of phase delays of the circadian melatonin rhythm. Conclusions: Results from the present study suggest that for phototherapy of circadian rhythm sleep disorders in humans, a longer period of moderate intensity light may be more effective than a shorter exposure period of high intensity light. Citation: Dewan K; Benloucif S; Reid K; Wolfe LF; Zee PC. Light-induced changes of the circadian clock of humans: increasing duration is more effective than increasing light intensity. SLEEP 2011;34(5):593-599. PMID:21532952

  1. Hydrogenation of carbon dioxide catalyzed by ruthenium trimethylphosphine complexes: the accelerating effect of certain alcohols and amines.

    PubMed

    Munshi, Pradip; Main, A Denise; Linehan, John C; Tai, Chih-Cheng; Jessop, Philip G

    2002-07-10

    A trace amount of alcohol cocatalyst and a stoichiometric amount of base are required during the hydrogenation of CO(2) to formic acid catalyzed by ruthenium trimethylphosphine complexes. Variation of the choice of alcohol and base causes wide variation in the rate of reaction. Acidic, nonbulky alcohols and triflic acid increase the rate of hydrogenation an order of magnitude above that which can be obtained with traditionally used methanol or water. Similarly, use of DBU rather than NEt(3) increases the rate of reaction by an order of magnitude. Turnover frequencies up to 95,000 h(-1) have now been obtained, and even higher rates should be possible using the cocatalyst and amine combinations identified herein. Preliminary in situ NMR spectroscopic observations are described, and the possible roles of the alcohol and base are discussed.

  2. Typical whole body vibration exposure magnitudes encountered in the open pit mining industry.

    PubMed

    Howard, Bryan; Sesek, Richard; Bloswick, Don

    2009-01-01

    According to recent research, a causal link has been established between occupational exposure to whole body vibration and an increased occurrence of low back pain. To aid in the further development of an in-house health and safety program for a large open pit mining facility interested in reducing back pain among its operators, whole body vibration magnitudes were characterized for a range of jobs. Specifically, thirty-five individual jobs from five different areas across the facility were evaluated for tri-axial acceleration levels during normal operating conditions. Tri-axial acceleration magnitudes were categorized into thirteen job groups. Job groups were ranked according to exposure and compared to the ISO 2631-1 standard for health risk assessment. Three of the thirteen job groups produced tri-axial acceleration magnitudes below the ISO 2631-1 low/moderate health caution limit for a twelve hour exposure. Six of the thirteen job groups produced exposures within the moderate health risk range. Four job groups were found to subject operators to WBV acceleration magnitudes above the moderate/high health caution limit.

  3. Exploring earthquake databases for the creation of magnitude-homogeneous catalogues: tools for application on a regional and global scale

    NASA Astrophysics Data System (ADS)

    Weatherill, G. A.; Pagani, M.; Garcia, J.

    2016-09-01

    The creation of a magnitude-homogenized catalogue is often one of the most fundamental steps in seismic hazard analysis. The process of homogenizing multiple catalogues of earthquakes into a single unified catalogue typically requires careful appraisal of available bulletins, identification of common events within multiple bulletins and the development and application of empirical models to convert from each catalogue's native scale into the required target. The database of the International Seismological Center (ISC) provides the most exhaustive compilation of records from local bulletins, in addition to its reviewed global bulletin. New open-source tools are developed that can utilize this, or any other compiled database, to explore the relations between earthquake solutions provided by different recording networks, and to build and apply empirical models in order to harmonize magnitude scales for the purpose of creating magnitude-homogeneous earthquake catalogues. These tools are described and their application illustrated in two different contexts. The first is a simple application in the Sub-Saharan Africa region where the spatial coverage and magnitude scales for different local recording networks are compared, and their relation to global magnitude scales explored. In the second application the tools are used on a global scale for the purpose of creating an extended magnitude-homogeneous global earthquake catalogue. Several existing high-quality earthquake databases, such as the ISC-GEM and the ISC Reviewed Bulletins, are harmonized into moment magnitude to form a catalogue of more than 562 840 events. This extended catalogue, while not an appropriate substitute for a locally calibrated analysis, can help in studying global patterns in seismicity and hazard, and is therefore released with the accompanying software.

  4. Effects of Phonation Time and Magnitude Dose on Vocal Fold Epithelial Genes, Barrier Integrity, and Function

    PubMed Central

    Kojima, Tsuyoshi; Valenzuela, Carla V.; Novaleski, Carolyn K.; Van Deusen, Mark; Mitchell, Joshua R.; Garrett, C. Gaelyn; Sivasankar, M. Preeti; Rousseau, Bernard

    2014-01-01

    Objective To investigate the effects of increasing time and magnitude doses of vibration exposure on transcription of the vocal fold's junctional proteins, structural alterations, and functional tissue outcomes. Study Design Animal study. Methods 100 New Zealand White breeder rabbits were studied. Dependent variables were measured in response to increasing time doses (30, 60, or 120 minutes) and magnitude doses (control, modal intensity, and raised intensity) of vibration exposure. Messenger RNA expression of occludin, zonula occluden-1 (ZO-1), E-cadherin, β-catenin, interleukin 1β (IL-1β), cyclooxygenase-2 (COX-2), transforming growth factor β-1 (TGFβ1), and fibronectin were measured. Tissue structural alterations were assessed using transmission electron microscopy (TEM). Transepithelial resistance was used to measure functional tissue outcomes. Results Occludin gene expression was downregulated in vocal folds exposed to 120 minute time doses of raised intensity phonation, relative to control, and modal intensity phonation. ZO-1 gene expression was upregulated following a 120 minute time dose of modal intensity phonation, compared to control, and downregulated after a 120 minute time dose of raised intensity phonation, compared to modal intensity phonation. E-cadherin gene expression was downregulated after a120 minute time dose of raised intensity phonation, compared to control and modal intensity phonation. TEM revealed extensive desquamation of the stratified squamous epithelial cells with increasing time and magnitude doses of vibration exposure. A general observation of lower transepithelial resistance measures was made in tissues exposed to raised intensity phonation, compared to all other groups. Conclusions This study provides evidence of vocal fold tissue responses to varying time and magnitude doses of vibration exposure. Level of Evidence N/A PMID:25073715

  5. The need for harmonization of methods for finding locations and magnitudes of air pollution sources using observations of concentrations and wind fields

    NASA Astrophysics Data System (ADS)

    Hanna, Steven R.; Young, George S.

    2017-01-01

    What do the terms "top-down", "inverse", "backwards", "adjoint", "sensor data fusion", "receptor", "source term estimation (STE)", to name several appearing in the current literature, have in common? These varied terms are used by different disciplines to describe the same general methodology - the use of observations of air pollutant concentrations and knowledge of wind fields to identify air pollutant source locations and/or magnitudes. Academic journals are publishing increasing numbers of papers on this topic. Examples of scenarios related to this growing interest, ordered from small scale to large scale, are: use of real-time samplers to quickly estimate the location of a toxic gas release by a terrorist at a large public gathering (e.g., Haupt et al., 2009);

  6. Tachyon search speeds up retrieval of similar sequences by several orders of magnitude

    PubMed Central

    Tan, Joshua; Kuchibhatla, Durga; Sirota, Fernanda L.; Sherman, Westley A.; Gattermayer, Tobias; Kwoh, Chia Yee; Eisenhaber, Frank; Schneider, Georg; Maurer-Stroh, Sebastian

    2012-01-01

    Summary: The usage of current sequence search tools becomes increasingly slower as databases of protein sequences continue to grow exponentially. Tachyon, a new algorithm that identifies closely related protein sequences ~200 times faster than standard BLAST, circumvents this limitation with a reduced database and oligopeptide matching heuristic. Availability and implementation: The tool is publicly accessible as a webserver at http://tachyon.bii.a-star.edu.sg and can also be accessed programmatically through SOAP. Contact: sebastianms@bii.a-star.edu.sg Supplementary information: Supplementary data are available at the Bioinformatics online. PMID:22531216

  7. The Absolute Magnitude of the Sun in Several Filters

    NASA Astrophysics Data System (ADS)

    Willmer, Christopher N. A.

    2018-06-01

    This paper presents a table with estimates of the absolute magnitude of the Sun and the conversions from vegamag to the AB and ST systems for several wide-band filters used in ground-based and space-based observatories. These estimates use the dustless spectral energy distribution (SED) of Vega, calibrated absolutely using the SED of Sirius, to set the vegamag zero-points and a composite spectrum of the Sun that coadds space-based observations from the ultraviolet to the near-infrared with models of the Solar atmosphere. The uncertainty of the absolute magnitudes is estimated by comparing the synthetic colors with photometric measurements of solar analogs and is found to be ∼0.02 mag. Combined with the uncertainty of ∼2% in the calibration of the Vega SED, the errors of these absolute magnitudes are ∼3%–4%. Using these SEDs, for three of the most utilized filters in extragalactic work the estimated absolute magnitudes of the Sun are M B = 5.44, M V = 4.81, and M K = 3.27 mag in the vegamag system and M B = 5.31, M V = 4.80, and M K = 5.08 mag in AB.

  8. First and second order derivatives for optimizing parallel RF excitation waveforms.

    PubMed

    Majewski, Kurt; Ritter, Dieter

    2015-09-01

    For piecewise constant magnetic fields, the Bloch equations (without relaxation terms) can be solved explicitly. This way the magnetization created by an excitation pulse can be written as a concatenation of rotations applied to the initial magnetization. For fixed gradient trajectories, the problem of finding parallel RF waveforms, which minimize the difference between achieved and desired magnetization on a number of voxels, can thus be represented as a finite-dimensional minimization problem. We use quaternion calculus to formulate this optimization problem in the magnitude least squares variant and specify first and second order derivatives of the objective function. We obtain a small tip angle approximation as first order Taylor development from the first order derivatives and also develop algorithms for first and second order derivatives for this small tip angle approximation. All algorithms are accompanied by precise floating point operation counts to assess and compare the computational efforts. We have implemented these algorithms as callback functions of an interior-point solver. We have applied this numerical optimization method to example problems from the literature and report key observations. Copyright © 2015 Elsevier Inc. All rights reserved.

  9. N-Cadherin Maintains the Healthy Biology of Nucleus Pulposus Cells under High-Magnitude Compression.

    PubMed

    Wang, Zhenyu; Leng, Jiali; Zhao, Yuguang; Yu, Dehai; Xu, Feng; Song, Qingxu; Qu, Zhigang; Zhuang, Xinming; Liu, Yi

    2017-01-01

    Mechanical load can regulate disc nucleus pulposus (NP) biology in terms of cell viability, matrix homeostasis and cell phenotype. N-cadherin (N-CDH) is a molecular marker of NP cells. This study investigated the role of N-CDH in maintaining NP cell phenotype, NP matrix synthesis and NP cell viability under high-magnitude compression. Rat NP cells seeded on scaffolds were perfusion-cultured using a self-developed perfusion bioreactor for 5 days. NP cell biology in terms of cell apoptosis, matrix biosynthesis and cell phenotype was studied after the cells were subjected to different compressive magnitudes (low- and high-magnitudes: 2% and 20% compressive deformation, respectively). Non-loaded NP cells were used as controls. Lentivirus-mediated N-CDH overexpression was used to further investigate the role of N-CDH under high-magnitude compression. The 20% deformation compression condition significantly decreased N-CDH expression compared with the 2% deformation compression and control conditions. Meanwhile, 20% deformation compression increased the number of apoptotic NP cells, up-regulated the expression of Bax and cleaved-caspase-3 and down-regulated the expression of Bcl-2, matrix macromolecules (aggrecan and collagen II) and NP cell markers (glypican-3, CAXII and keratin-19) compared with 2% deformation compression. Additionally, N-CDH overexpression attenuated the effects of 20% deformation compression on NP cell biology in relation to the designated parameters. N-CDH helps to restore the cell viability, matrix biosynthesis and cellular phenotype of NP cells under high-magnitude compression. © 2017 The Author(s). Published by S. Karger AG, Basel.

  10. Does hearing in response to soft-tissue stimulation involve skull vibrations? A within-subject comparison between skull vibration magnitudes and hearing thresholds.

    PubMed

    Chordekar, Shai; Perez, Ronen; Adelman, Cahtia; Sohmer, Haim; Kishon-Rabin, Liat

    2018-04-03

    Hearing can be elicited in response to bone as well as soft-tissue stimulation. However, the underlying mechanism of soft-tissue stimulation is under debate. It has been hypothesized that if skull vibrations were the underlying mechanism of hearing in response to soft-tissue stimulation, then skull vibrations would be associated with hearing thresholds. However, if skull vibrations were not associated with hearing thresholds, an alternative mechanism is involved. In the present study, both skull vibrations and hearing thresholds were assessed in the same participants in response to bone (mastoid) and soft-tissue (neck) stimulation. The experimental group included five hearing-impaired adults in whom a bone-anchored hearing aid was implanted due to conductive or mixed hearing loss. Because the implant is exposed above the skin and has become an integral part of the temporal bone, vibration of the implant represented skull vibrations. To ensure that middle-ear pathologies of the experimental group did not affect overall results, hearing thresholds were also obtained in 10 participants with normal hearing in response to stimulation at the same sites. We found that the magnitude of the bone vibrations initiated by the stimulation at the two sites (neck and mastoid) detected by the laser Doppler vibrometer on the bone-anchored implant were linearly related to stimulus intensity. It was therefore possible to extrapolate the vibration magnitudes at low-intensity stimulation, where poor signal-to-noise ratio limited actual recordings. It was found that the vibration magnitude differences (between soft-tissue and bone stimulation) were not different than the hearing threshold differences at the tested frequencies. Results of the present study suggest that bone vibration magnitude differences can adequately explain hearing threshold differences and are likely to be responsible for the hearing sensation. Thus, the present results support the idea that bone and soft

  11. How Sequential Changes in Reward Magnitude Modulate Cognitive Flexibility: Evidence from Voluntary Task Switching

    ERIC Educational Resources Information Center

    Fröber, Kerstin; Dreisbach, Gesine

    2016-01-01

    There is much evidence that the prospect of reward modulates cognitive control in terms of more stable behavior. Increases in expected reward magnitude, however, have been suggested to increase flexible behavior as evidenced by reduced switch costs. In a series of experiments, the authors provide evidence that this increased cognitive flexibility…

  12. Neural representations of magnitude for natural and rational numbers.

    PubMed

    DeWolf, Melissa; Chiang, Jeffrey N; Bassok, Miriam; Holyoak, Keith J; Monti, Martin M

    2016-11-01

    Humans have developed multiple symbolic representations for numbers, including natural numbers (positive integers) as well as rational numbers (both fractions and decimals). Despite a considerable body of behavioral and neuroimaging research, it is currently unknown whether different notations map onto a single, fully abstract, magnitude code, or whether separate representations exist for specific number types (e.g., natural versus rational) or number representations (e.g., base-10 versus fractions). We address this question by comparing brain metabolic response during a magnitude comparison task involving (on different trials) integers, decimals, and fractions. Univariate and multivariate analyses revealed that the strength and pattern of activation for fractions differed systematically, within the intraparietal sulcus, from that of both decimals and integers, while the latter two number representations appeared virtually indistinguishable. These results demonstrate that the two major notations formats for rational numbers, fractions and decimals, evoke distinct neural representations of magnitude, with decimals representations being more closely linked to those of integers than to those of magnitude-equivalent fractions. Our findings thus suggest that number representation (base-10 versus fractions) is an important organizational principle for the neural substrate underlying mathematical cognition. Copyright © 2016 Elsevier Inc. All rights reserved.

  13. Spectroscopic evidence of odd frequency superconducting order

    PubMed Central

    Pal, Avradeep; Ouassou, J. A.; Eschrig, M.; Linder, J.; Blamire, M. G.

    2017-01-01

    Spin filter superconducting S/I/N tunnel junctions (NbN/GdN/TiN) show a robust and pronounced Zero Bias Conductance Peak (ZBCP) at low temperatures, the magnitude of which is several times the normal state conductance of the junction. Such a conductance anomaly is representative of unconventional superconductivity and is interpreted as a direct signature of an odd frequency superconducting order. PMID:28106102

  14. Fatigue properties for the fracture strength of columnar accessory minerals embedded within metamorphic tectonites: implications for stress magnitude in continental crust at the depth of the brittle-plastic transition zone

    NASA Astrophysics Data System (ADS)

    Kimura, N.; Iwashita, N.; Masuda, T.

    2009-04-01

    .0005 to 0.2 mm/min, respectively. Pressure and relative humidity were set to room conditions. Tourmaline was chosen for testing (as representative of columnar accessory minerals embedded within metamorphic tectonites) because this is the only mineral for which crystals are available of sufficient size and quality. A total of 120 prism-shaped tourmaline test pieces (dimensions, 2×2×12 mm) were prepared from a single tourmaline block collected from Minas Gerais, Brazil. The flexural strength of tourmaline shows a clear decrease with decreasing crosshead speed at ambient temperature (with n ≈ 15 as the static fatigue parameter); however, this trend weakens with increasing temperature (n > 50); that is, the influence of static fatigue on the strength of tourmaline decreases with increasing temperature. A comparable result has been reported for glass materials because of difficulties in the absorption of moisture on sample surfaces under high-temperature conditions. The fabric pattern of fracture planes developed in tourmaline specimens in the present study, which show rectilinear scratches, arrests, or Wallner lines on smooth surfaces, is similar to that observed for glass materials. 3. Fractography of naturally deformed minerals A ‘striation-like' pattern resulting from cyclic fatigue fracture was observed by scanning electron microscope (SEM) analysis of a natural fracture plane developed within marble-hosted amphibole. The sample was collected from the eastern flank of the Red River shear zone (Luc Yen district), northern Vietnam. The brittle fracturing of amphibole (open fractures were filled by calcite, which deforms plastically) is considered to have occurred at 6 km depth at 25 Ma, based on geological criteria. 4. Order of stress magnitude in continental crust at the depth of the brittle-plastic transition zone Assuming that the fracture behaviour of columnar accessory minerals during the development of microboudinage is independent of the mineral species, the

  15. How Deep Is Your SNARC? Interactions Between Numerical Magnitude, Response Hands, and Reachability in Peripersonal Space.

    PubMed

    Lohmann, Johannes; Schroeder, Philipp A; Nuerk, Hans-Christoph; Plewnia, Christian; Butz, Martin V

    2018-01-01

    Spatial, physical, and semantic magnitude dimensions can influence action decisions in human cognitive processing and interact with each other. For example, in the spatial-numerical associations of response code (SNARC) effect, semantic numerical magnitude facilitates left-hand or right-hand responding dependent on the small or large magnitude of number symbols. SNARC-like interactions of numerical magnitudes with the radial spatial dimension (depth) were postulated from early on. Usually, the SNARC effect in any direction is investigated using fronto-parallel computer monitors for presentation of stimuli. In such 2D setups, however, the metaphorical and literal interpretation of the radial depth axis with seemingly close/far stimuli or responses are not distinct. Hence, it is difficult to draw clear conclusions with respect to the contribution of different spatial mappings to the SNARC effect. In order to disentangle the different mappings in a natural way, we studied parametrical interactions between semantic numerical magnitude, horizontal directional responses, and perceptual distance by means of stereoscopic depth in an immersive virtual reality (VR). Two VR experiments show horizontal SNARC effects across all spatial displacements in traditional latency measures and kinematic response parameters. No indications of a SNARC effect along the depth axis, as it would be predicted by a direct mapping account, were observed, but the results show a non-linear relationship between horizontal SNARC slopes and physical distance. Steepest SNARC slopes were observed for digits presented close to the hands. We conclude that spatial-numerical processing is susceptible to effector-based processes but relatively resilient to task-irrelevant variations of radial-spatial magnitudes.

  16. Differentiating induced and natural seismicity using space-time-magnitude statistics applied to the Coso Geothermal field

    USGS Publications Warehouse

    Schoenball, Martin; Davatzes, Nicholas C.; Glen, Jonathan M. G.

    2015-01-01

    A remarkable characteristic of earthquakes is their clustering in time and space, displaying their self-similarity. It remains to be tested if natural and induced earthquakes share the same behavior. We study natural and induced earthquakes comparatively in the same tectonic setting at the Coso Geothermal Field. Covering the preproduction and coproduction periods from 1981 to 2013, we analyze interevent times, spatial dimension, and frequency-size distributions for natural and induced earthquakes. Individually, these distributions are statistically indistinguishable. Determining the distribution of nearest neighbor distances in a combined space-time-magnitude metric, lets us identify clear differences between both kinds of seismicity. Compared to natural earthquakes, induced earthquakes feature a larger population of background seismicity and nearest neighbors at large magnitude rescaled times and small magnitude rescaled distances. Local stress perturbations induced by field operations appear to be strong enough to drive local faults through several seismic cycles and reactivate them after time periods on the order of a year.

  17. Spectroscopic characterization of digestates obtained from sludge mixed to increasing amounts of fruit and vegetable wastes

    NASA Astrophysics Data System (ADS)

    Provenzano, Maria Rosaria; Cavallo, Ornella; Malerba, Anna Daniela; Di Maria, Francesco; Ricci, Anna; Gigliotti, Giovanni

    2015-04-01

    Anaerobic digestion (AD) represents an efficient waste-treatment technology during which microorganisms break down biodegradable material in absence of oxygen yielding a biogas containing methane. The aim of this work was to investigate the transformations occurring in the organic matter during the co-digestion of waste mixed sludge (WMS) with an increasing amount of fruit and vegetable wastes (FVW) in a pilot scale apparatus reproducing a full-scale digester in an existing wastewater treatment plant. Samples comprised: sludge, FVW, sludge mixed with 10-20-30-40% FVW. Ingestates and digestates were analyzed by means of emission fluorescence spectroscopy and FTIR associated to Fourier self deconvolution (FSD) of spectra. With increasing the amount of FVW from 10% to 20% at which percentage biogas production reached the maximum value, FTIR spectra and FSD traces of digestates exhibited a decrease of intensity of peaks assigned to polysaccharides and aliphatics and an increase of peak assigned to aromatics as a result of the biodegradation of rapidly degradable materials and concentration of aromatic recalcitrant compounds. Digestates with 30 and 40% FVW exhibited a relative increase of intensity of peaks assigned to aliphatics likely as a result of the increasing amount of rapidly degradable materials and the consequent reduction of the hydraulic retention time. This may cause inhibition of methanogenesis and accumulation of volatile fatty acids. The highest emission fluorescence intensity was observed for the digestate with 20% FVW confirming the concentration of aromatic recalcitrant compounds in the substrate obtained at the highest biogas production.

  18. Maturation of cortical mismatch responses to occasional pitch change in early infancy: effects of presentation rate and magnitude of change.

    PubMed

    He, Chao; Hotson, Lisa; Trainor, Laurel J

    2009-01-01

    Previous studies have reported two types of event-related potential (ERP) mismatch responses in infants to infrequent auditory changes: a broad discriminative positivity in younger infants and a negativity resembling adult mismatch negativity (MMN) in older infants. In the present study, we investigated whether the positive discriminative slow wave and the adult-like MMN are functionally distinct by examining how they are affected by presentation rate and magnitude of change. We measured ERPs from adults, 2-month-olds, and 4-month-olds to a repeating piano tone (standard) that occasionally changed in pitch (deviant). The pitch changes between standards and deviants were either small (1/12 octave) or large (1/2 octave) in magnitude, and the stimulus presentation rate was either slow (800 ms SOA) or fast (400 ms SOA). As the presentation rate increased, both adults and 4-month-olds showed an MMN response that decreased in latency, but was unaffected in amplitude. As the magnitude of the pitch change increased, MMN increased in amplitude. On the other hand, only a broad positive mismatch response was seen in 2-month-olds. As the presentation rate increased, 2-month-olds' responses to standard tones decreased in amplitude while their responses to deviant tones were unaffected. The magnitude of the pitch change did not affect 2-month-olds' responses. These results suggest that pitch is processed differently in auditory cortex by 2-month-olds and 4-month-olds, and that a cortical change-detection mechanism for pitch discrimination similar to that of adults emerges between 2 and 4 months of age.

  19. Tunable Multiscale Nanoparticle Ordering by Polymer Crystallization

    PubMed Central

    2017-01-01

    While ∼75% of commercially utilized polymers are semicrystalline, the generally low mechanical modulus of these materials, especially for those possessing a glass transition temperature below room temperature, restricts their use for structural applications. Our focus in this paper is to address this deficiency through the controlled, multiscale assembly of nanoparticles (NPs), in particular by leveraging the kinetics of polymer crystallization. This process yields a multiscale NP structure that is templated by the lamellar semicrystalline polymer morphology and spans NPs engulfed by the growing crystals, NPs ordered into layers in the interlamellar zone [spacing of (10–100 nm)], and NPs assembled into fractal objects at the interfibrillar scale, (1–10 μm). The relative fraction of NPs in this hierarchy is readily manipulated by the crystallization speed. Adding NPs usually increases the Young’s modulus of the polymer, but the effects of multiscale ordering are nearly an order of magnitude larger than those for a state where the NPs are not ordered, i.e., randomly dispersed in the matrix. Since the material’s fracture toughness remains practically unaffected in this process, this assembly strategy allows us to create high modulus materials that retain the attractive high toughness and low density of polymers. PMID:28776017

  20. Pulmonary vasculature directed adenovirus increases epithelial lining fluid alpha-1 antitrypsin levels.

    PubMed

    Buggio, Maurizio; Towe, Christopher; Annan, Anand; Kaliberov, Sergey; Lu, Zhi Hong; Stephens, Calvin; Arbeit, Jeffrey M; Curiel, David T

    2016-01-01

    Gene therapy for inherited serum deficiency disorders has previously been limited by the balance between obtaining adequate expression and causing hepatic toxicity. Our group has previously described modifications of a replication deficient human adenovirus serotype 5 that increase pulmonary vasculature transgene expression. In the present study, we use a modified pulmonary targeted adenovirus to express human alpha-1 antitrypsin (A1AT) in C57BL/6 J mice. Using the targeted adenovirus, we were able to achieve similar increases in serum A1AT levels with less liver viral uptake. We also increased pulmonary epithelial lining fluid A1AT levels by more than an order of magnitude compared to that of untargeted adenovirus expressing A1AT in a mouse model. These gains are achieved along with evidence of decreased systemic inflammation and no evidence for increased inflammation within the vector-targeted end organ. In addition to comprising a step towards clinically viable gene therapy for A1AT, maximization of protein production at the site of action represents a significant technical advancement in the field of systemically delivered pulmonary targeted gene therapy. It also provides an alternative to the previous limitations of hepatic viral transduction and associated toxicities. Copyright © 2016 John Wiley & Sons, Ltd.

  1. Effect of Magnitude Estimation of Pleasantness and Intensity on fMRI Activation to Taste

    PubMed Central

    Cerf-Ducastel, B.; Haase, L.; Murphy, C.

    2012-01-01

    The goal of the present study was to investigate whether the psychophysical evaluation of taste stimuli using magnitude estimation influences the pattern of cortical activation observed with neuroimaging. That is, whether different brain areas are involved in the magnitude estimation of pleasantness relative to the magnitude estimation of intensity. fMRI was utilized to examine the patterns of cortical activation involved in magnitude estimation of pleasantness and intensity during hunger in response to taste stimuli. During scanning, subjects were administered taste stimuli orally and were asked to evaluate the perceived pleasantness or intensity using the general Labeled Magnitude Scale (Green 1996, Bartoshuk et al. 2004). Image analysis was conducted using AFNI. Magnitude estimation of intensity and pleasantness shared common activations in the insula, rolandic operculum, and the medio dorsal nucleus of the thalamus. Globally, magnitude estimation of pleasantness produced significantly more activation than magnitude estimation of intensity. Areas differentially activated during magnitude estimation of pleasantness versus intensity included, e.g., the insula, the anterior cingulate gyrus, and putamen; suggesting that different brain areas were recruited when subjects made magnitude estimates of intensity and pleasantness. These findings demonstrate significant differences in brain activation during magnitude estimation of intensity and pleasantness to taste stimuli. An appreciation for the complexity of brain response to taste stimuli may facilitate a clearer understanding of the neural mechanisms underlying eating behavior and over consumption. PMID:23227271

  2. Impact of Channel-like Erosion Patterns on the Frequency-Magnitude Distribution of Earthquakes

    NASA Astrophysics Data System (ADS)

    Rohmer, J.; Aochi, H.

    2015-12-01

    Reactive flow at depth (either related to underground activities like enhancement of hydrocarbon recovery, CO2 storage or to natural flow like in hydrothermal zones) can alter fractures' topography, which might in turn change their seismic responses. Depending on the flow and reaction rates, instability of the dissolution front can lead to a wormhole-like pronounced erosion pattern (Szymczak & Ladd, JGR, 2009). In a fractal structure of rupture process (Ide & Aochi, JGR, 2005), we question how the perturbation related to well-spaced long channels alters rupture propagation initiated on a weak plane and eventually the statistical feature of rupture appearance in Frequency-Magnitude Distribution FMD (Rohmer & Aochi, GJI, 2015). Contrary to intuition, a spatially uniform dissolution is not the most remarkable case, since it affects all the events proportionally to their sizes leading to a downwards translation of FMD: the slope of FMD (b-value) remains unchanged. An in-depth parametric study was carried out by considering different pattern characteristics: spacing S varying from 0 to 100 and length L from 50 to 800 and fixing the width w=1. The figure shows that there is a region of optimum channels' characteristics for which the b-value of the Gutenberg Richter law is significantly modified with p-value ~10% (corresponding to area with red-coloured boundaries) given spacing to length ratio of the order of ~1/40: large magnitude events are more significantly affected leading to an imbalanced distribution in the magnitude bins of the FMD. The larger the spacing, the lower the channel's influence. The decrease of the b-value between intact and altered fractures can reach values down to -0.08. Besides, a spatial analysis shows that the local seismicity anomaly concentrates in a limited zone around the channels: this opens perspective for detecting these eroded regions through high-resolution imaging surveys.

  3. Assessment of frequency specific auditory steady-state response using amplitude modulation with 2-order exponential envelope.

    PubMed

    Cevallos-Larrea, Pablo; Pereira, Thobias; Santos, Wagner; Frota, Silvana M; Infantosi, Antonio F; Ichinose, Roberto M; Tierra-Criollo, Carlos

    2016-08-01

    This study investigated the performance of Frequency Specific Auditory Steady-State Response (FS-ASSR) detection elicited by the amplitude modulated tone with 2-order exponential envelope (AM2), using objective response detection (ORD) techniques of Spectral F-Test (SFT) and Magnitude Squared Coherence (MSC). ASSRs from 24 normal hearing adults were obtained during binaural multi-tone stimulation of amplitude-modulation (AM) and AM2 at intensities of 60, 45 and 30 dBSPL. The carrier frequencies were 500, 1000, 2000, and 4000 Hz, modulated between 77 and 105 Hz. AM2 achieve FS-ASSR amplitudes higher than AM by 16%, 18% and 12% at 60, 45 and 30 dBSPL, respectively, with a major increase at 500 Hz (22.5%). AMS2PL increased the Detection Rate (DR) up to 8.3% at 500 Hz for 30 dBSPL, which is particularly beneficial for FS-ASSR detection near the hearing threshold. In addition, responses in 1000 and 4000 Hz were consistently increased. The MSC and SFT presented no differences in Detection Rate (DR). False Detection Rate (FDR) was close to 5% for both techniques and tones. Detection times to reach DR over 90% were 3.5 and 4.9 min at 60 and 45 dBSPL, respectively. Further investigation concerning efficient multiple FS-ASSR is still necessary, such as testing subjects with hearing loss.

  4. Design of recursive digital filters having specified phase and magnitude characteristics

    NASA Technical Reports Server (NTRS)

    King, R. E.; Condon, G. W.

    1972-01-01

    A method for a computer-aided design of a class of optimum filters, having specifications in the frequency domain of both magnitude and phase, is described. The method, an extension to the work of Steiglitz, uses the Fletcher-Powell algorithm to minimize a weighted squared magnitude and phase criterion. Results using the algorithm for the design of filters having specified phase as well as specified magnitude and phase compromise are presented.

  5. Trabecular bone adaptation to low-magnitude high-frequency loading in microgravity.

    PubMed

    Torcasio, Antonia; Jähn, Katharina; Van Guyse, Maarten; Spaepen, Pieter; Tami, Andrea E; Vander Sloten, Jos; Stoddart, Martin J; van Lenthe, G Harry

    2014-01-01

    Exposure to microgravity causes loss of lower body bone mass in some astronauts. Low-magnitude high-frequency loading can stimulate bone formation on earth. Here we hypothesized that low-magnitude high-frequency loading will also stimulate bone formation under microgravity conditions. Two groups of six bovine cancellous bone explants were cultured at microgravity on a Russian Foton-M3 spacecraft and were either loaded dynamically using a sinusoidal curve or experienced only a static load. Comparable reference groups were investigated at normal gravity. Bone structure was assessed by histology, and mechanical competence was quantified using μCT and FE modelling; bone remodelling was assessed by fluorescent labelling and secreted bone turnover markers. Statistical analyses on morphometric parameters and apparent stiffness did not reveal significant differences between the treatment groups. The release of bone formation marker from the groups cultured at normal gravity increased significantly from the first to the second week of the experiment by 90.4% and 82.5% in response to static and dynamic loading, respectively. Bone resorption markers decreased significantly for the groups cultured at microgravity by 7.5% and 8.0% in response to static and dynamic loading, respectively. We found low strain magnitudes to drive bone turnover when applied at high frequency, and this to be valid at normal as well as at microgravity. In conclusion, we found the effect of mechanical loading on trabecular bone to be regulated mainly by an increase of bone formation at normal gravity and by a decrease in bone resorption at microgravity. Additional studies with extended experimental time and increased samples number appear necessary for a further understanding of the anabolic potential of dynamic loading on bone quality and mechanical competence.

  6. The Effects of Injury Magnitude on the Kinetics of the Acute Phase Response

    PubMed Central

    Bauzá, Graciela; Miller, Glenn; Kaseje, Neema; Wigner, Nathan A.; Wang, Zhongyan; Gerstenfeld, Louis C.; Burke, Peter A.

    2013-01-01

    Background The acute-phase response (APR) is critical to the body's ability to successfully respond to injury. A murine model of closed unilateral femur fractures and bilateral femur fracture were used to study the effect of injury magnitude on this response. Methods Standardized unilateral femur fracture and bilateral femur fracture in mice were performed. The femur fracture sites, livers, and serum were harvested over time after injury. Changes in mRNA expression of cytokines, hepatic acute-phase proteins, and serum cytokines overtime were measured. Results There was a rapid and short-lived hepatic APR to fracture injuries. The overall pattern in both models was similar. Both acute-phase proteins' mRNA (fibrinogen-γ and serum amyloid A-3) showed increased mRNA expression over baseline within the first 48 hours and their levels positively correlated with the extent of injury. However, increased severity of injury resulted in a delayed induction of the APR. A similar effect on the gene expression of cytokines (interleukin [IL]-1β, IL-6, and tumor necrosis factor-α) at the fracture site was seen. Serum IL-6 levels increased with increased injury and showed no delay between injury models. Conclusions Greater severity of injury resulted in a delayed induction of the liver's APR and a diminished expression of cytokines at the fracture site. Serum IL-6 levels were calibrated to the extent of the injury, and changes may represent mechanisms by which the local organ responses to injury are regulated by the injury magnitude. PMID:20693926

  7. Order-crossing removal in Gabor order tracking by independent component analysis

    NASA Astrophysics Data System (ADS)

    Guo, Yu; Tan, Kok Kiong

    2009-08-01

    Order-crossing problems in Gabor order tracking (GOT) of rotating machinery often occur when noise due to power-frequency interference, local structure resonance, etc., is prominent in applications. They can render the analysis results and the waveform-reconstruction tasks in GOT inaccurate or even meaningless. An approach is proposed in this paper to address the order-crossing problem by independent component analysis (ICA). With the approach, accurate order analysis results can be obtained and the waveforms of the order components of interest can be reconstructed or extracted from the recorded noisy data series. In addition, the ambiguities (permutation and scaling) of ICA results are also solved with the approach. The approach is amenable to applications in condition monitoring and fault diagnosis of rotating machinery. The evaluation of the approach is presented in detail based on simulations and an experiment on a rotor test rig. The results obtained using the proposed approach are compared with those obtained using the standard GOT. The comparison shows that the presented approach is more effective to solve order-crossing problems in GOT.

  8. Association of O-Antigen Serotype with the Magnitude of Initial Systemic Cytokine Responses and Persistence in the Urinary Tract.

    PubMed

    Horvath, Dennis J; Patel, Ashay S; Mohamed, Ahmad; Storm, Douglas W; Singh, Chandra; Li, Birong; Zhang, Jingwen; Koff, Stephen A; Jayanthi, Venkata R; Mason, Kevin M; Justice, Sheryl S

    2016-01-11

    Urinary tract infection (UTI) is one of the most common ailments requiring both short-term and prophylactic antibiotic therapies. Progression of infection from the bladder to the kidney is associated with more severe clinical symptoms (e.g., fever and vomiting) as well as with dangerous disease sequelae (e.g., renal scaring and sepsis). Host-pathogen interactions that promote bacterial ascent to the kidney are not completely understood. Prior studies indicate that the magnitude of proinflammatory cytokine elicitation in vitro by clinical isolates of uropathogenic Escherichia coli (UPEC) inversely correlates with the severity of clinical disease. Therefore, we hypothesize that the magnitude of initial proinflammatory responses during infection defines the course and severity of disease. Clinical UPEC isolates obtained from patients with a nonfebrile UTI elicited high systemic proinflammatory responses early during experimental UTI in a murine model and were attenuated in bladder and kidney persistence. Conversely, UPEC isolates obtained from patients with febrile UTI elicited low systemic proinflammatory responses early during experimental UTI and exhibited prolonged persistence in the bladder and kidney. Soluble factors in the supernatant from saturated cultures as well as the lipopolysaccharide (LPS) serotype correlated with the magnitude of proinflammatory responses in vitro. Our data suggest that the structure of the O-antigen sugar moiety of the LPS may determine the strength of cytokine induction by epithelial cells. Moreover, the course and severity of disease appear to be the consequence of the magnitude of initial cytokines produced by the bladder epithelium during infection. The specific host-pathogen interactions that determine the extent and course of disease are not completely understood. Our studies demonstrate that modest changes in the magnitude of cytokine production observed using in vitro models of infection translate into significant

  9. High-Performance High-Order Simulation of Wave and Plasma Phenomena

    NASA Astrophysics Data System (ADS)

    Klockner, Andreas

    This thesis presents results aiming to enhance and broaden the applicability of the discontinuous Galerkin ("DG") method in a variety of ways. DG was chosen as a foundation for this work because it yields high-order finite element discretizations with very favorable numerical properties for the treatment of hyperbolic conservation laws. In a first part, I examine progress that can be made on implementation aspects of DG. In adapting the method to mass-market massively parallel computation hardware in the form of graphics processors ("GPUs"), I obtain an increase in computation performance per unit of cost by more than an order of magnitude over conventional processor architectures. Key to this advance is a recipe that adapts DG to a variety of hardware through automated self-tuning. I discuss new parallel programming tools supporting GPU run-time code generation which are instrumental in the DG self-tuning process and contribute to its reaching application floating point throughput greater than 200 GFlops/s on a single GPU and greater than 3 TFlops/s on a 16-GPU cluster in simulations of electromagnetics problems in three dimensions. I further briefly discuss the solver infrastructure that makes this possible. In the second part of the thesis, I introduce a number of new numerical methods whose motivation is partly rooted in the opportunity created by GPU-DG: First, I construct and examine a novel GPU-capable shock detector, which, when used to control an artificial viscosity, helps stabilize DG computations in gas dynamics and a number of other fields. Second, I describe my pursuit of a method that allows the simulation of rarefied plasmas using a DG discretization of the electromagnetic field. Finally, I introduce new explicit multi-rate time integrators for ordinary differential equations with multiple time scales, with a focus on applicability to DG discretizations of time-dependent problems.

  10. Breach Risk Magnitude: A Quantitative Measure of Database Security.

    PubMed

    Yasnoff, William A

    2016-01-01

    A quantitative methodology is described that provides objective evaluation of the potential for health record system breaches. It assumes that breach risk increases with the number of potential records that could be exposed, while it decreases when more authentication steps are required for access. The breach risk magnitude (BRM) is the maximum value for any system user of the common logarithm of the number of accessible database records divided by the number of authentication steps needed to achieve such access. For a one million record relational database, the BRM varies from 5.52 to 6 depending on authentication protocols. For an alternative data architecture designed specifically to increase security by separately storing and encrypting each patient record, the BRM ranges from 1.3 to 2.6. While the BRM only provides a limited quantitative assessment of breach risk, it may be useful to objectively evaluate the security implications of alternative database organization approaches.

  11. Influence of the order of reagent addition on NDMA formation during chloramination.

    PubMed

    Schreiber, I Marie; Mitch, William A

    2005-05-15

    The formation of the potent carcinogen, N-nitrosodimethylamine (NDMA), during chlorine disinfection has caused significant concern among drinking water and wastewater recycling utilities practicing intentional or unintentional chloramination. Previous research modeled NDMA formation as arising from a reaction between monochloramine and organic nitrogen precursors, such as dimethylamine, via an unsymmetrical dimethylhydrazine (UDMH) intermediate. Contrary to the importance of monochloramine indicated by previous studies, hypochlorite formed an order of magnitude more NDMA than monochloramine when applied to a secondary municipal wastewater effluent containing excess ammonia. Experiments involving variation of the order that each reagent (i.e., hypochlorite, ammonium chloride, and dimethylamine) was added to solution suggest two factors that may be more important for NDMA formation than the presence of monochloramine: (i) the chlorination state of organic nitrogen precursors and (ii) the partial formation of dichloramine. Although dichloramine formation was most influenced by the pH conditions under which inorganic chloramine formation was performed, mixing effects related to the order of reagent addition may be important at full-scale plants. Chloramination strategies are suggested that may reduce NDMA formation by nearly an order of magnitude.

  12. Numerical magnitude processing in children with mild intellectual disabilities.

    PubMed

    Brankaer, Carmen; Ghesquière, Pol; De Smedt, Bert

    2011-01-01

    The present study investigated numerical magnitude processing in children with mild intellectual disabilities (MID) and examined whether these children have difficulties in the ability to represent numerical magnitudes and/or difficulties in the ability to access numerical magnitudes from formal symbols. We compared the performance of 26 children with MID on a symbolic (digits) and a non-symbolic (dot-arrays) comparison task with the performance of two control groups of typically developing children: one group matched on chronological age and one group matched on mathematical ability level. Findings revealed that children with MID performed more poorly than their typically developing chronological age-matched peers on both the symbolic and non-symbolic comparison tasks, while their performance did not substantially differ from the ability-matched control group. These findings suggest that the development of numerical magnitude representation in children with MID is marked by a delay. This performance pattern was observed for both symbolic and non-symbolic comparison tasks, although difficulties on the former task were more prominent. Interventions in children with MID should therefore foster both the development of magnitude representations and the connections between symbols and the magnitudes they represent. Copyright © 2011 Elsevier Ltd. All rights reserved.

  13. The anabolic activity of bone tissue, suppressed by disuse, is normalized by brief exposure to extremely low-magnitude mechanical stimuli

    NASA Technical Reports Server (NTRS)

    Rubin, C.; Xu, G.; Judex, S.

    2001-01-01

    It is generally believed that mechanical signals must be large in order to be anabolic to bone tissue. Recent evidence indicates, however, that extremely low-magnitude (<10 microstrain) mechanical signals readily stimulate bone formation if induced at a high frequency. We examined the ability of extremely low-magnitude, high-frequency mechanical signals to restore anabolic bone cell activity inhibited by disuse. Adult female rats were randomly assigned to six groups: baseline control, age-matched control, mechanically stimulated for 10 min/day, disuse (hind limb suspension), disuse interrupted by 10 min/day of weight bearing, and disuse interrupted by 10 min/day of mechanical stimulation. After a 28 day protocol, bone formation rates (BFR) in the proximal tibia of mechanically stimulated rats increased compared with age-matched control (+97%). Disuse alone reduced BFR (-92%), a suppression only slightly curbed when disuse was interrupted by 10 min of weight bearing (-61%). In contrast, disuse interrupted by 10 min per day of low-level mechanical intervention normalized BFR to values seen in age-matched controls. This work indicates that this noninvasive, extremely low-level stimulus may provide an effective biomechanical intervention for the bone loss that plagues long-term space flight, bed rest, or immobilization caused by paralysis.

  14. Constraints on the frequency-magnitude relation and maximum magnitudes in the UK from observed seismicity and glacio-isostatic recovery rates

    NASA Astrophysics Data System (ADS)

    Main, Ian; Irving, Duncan; Musson, Roger; Reading, Anya

    1999-05-01

    Earthquake populations have recently been shown to have many similarities with critical-point phenomena, with fractal scaling of source sizes (energy or seismic moment) corresponding to the observed Gutenberg-Richter (G-R) frequency-magnitude law holding at low magnitudes. At high magnitudes, the form of the distribution depends on the seismic moment release rate Msolar and the maximum magnitude m_max . The G-R law requires a sharp truncation at an absolute maximum magnitude for finite Msolar. In contrast, the gamma distribution has an exponential tail which allows a soft or `credible' maximum to be determined by negligible contribution to the total seismic moment release. Here we apply both distributions to seismic hazard in the mainland UK and its immediate continental shelf, constrained by a mixture of instrumental, historical and neotectonic data. Tectonic moment release rates for the seismogenic part of the lithosphere are calculated from a flexural-plate model for glacio-isostatic recovery, constrained by vertical deformation rates from tide-gauge and geomorphological data. Earthquake focal mechanisms in the UK show near-vertical strike-slip faulting, with implied directions of maximum compressive stress approximately in the NNW-SSE direction, consistent with the tectonic model. Maximum magnitudes are found to be in the range 6.3-7.5 for the G-R law, or 7.0-8.2 m_L for the gamma distribution, which compare with a maximum observed in the time period of interest of 6.1 m_L . The upper bounds are conservative estimates, based on 100 per cent seismic release of the observed vertical neotectonic deformation. Glacio-isostatic recovery is predominantly an elastic rather than a seismic process, so the true value of m_max is likely to be nearer the lower end of the quoted range.

  15. The Effects of Reinforcement Magnitude on Skill Acquisition for Children with Autism

    ERIC Educational Resources Information Center

    Paden, Amber R.; Kodak, Tiffany

    2015-01-01

    We examined the effects of reinforcement magnitude on skill acquisition during discrete-trial training. After conducting a magnitude preference assessment, we compared acquisition during conditions with large and small magnitudes of edible reinforcement to a praise-only condition. Although all participants showed a preference for the…

  16. An Expansion Formula with Higher-Order Derivatives for Fractional Operators of Variable Order

    PubMed Central

    Almeida, Ricardo

    2013-01-01

    We obtain approximation formulas for fractional integrals and derivatives of Riemann-Liouville and Marchaud types with a variable fractional order. The approximations involve integer-order derivatives only. An estimation for the error is given. The efficiency of the approximation method is illustrated with examples. As applications, we show how the obtained results are useful to solve differential equations, and problems of the calculus of variations that depend on fractional derivatives of Marchaud type. PMID:24319382

  17. VizieR Online Data Catalog: R absolute magnitudes of Kuiper Belt objects (Peixinho+, 2012)

    NASA Astrophysics Data System (ADS)

    Peixinho, N.; Delsanti, A.; Guilbert-Lepoutre, A.; Gafeira, R.; Lacerda, P.

    2012-06-01

    Compilation of absolute magnitude HRα, B-R color spectral features used in this work. For each object, we computed the average color index from the different papers presenting data obtained simultaneously in B and R bands (e.g. contiguous observations within a same night). When individual R apparent magnitude and date were available, we computed the HRα=R-5log(r Delta), where R is the R-band magnitude, r and Delta are the helio- and geocentric distances at the time of observation in AU, respectively. When V and V-R colors were available, we derived an R and then HRα value. We did not correct for the phase-angle α effect. This table includes also spectral information on the presence of water ice, methanol, methane, or confirmed featureless spectra, as available in the literature. We highlight only the cases with clear bands in the spectrum, which were reported/confirmed by some other work. The 1st column indicates the object identification number and name or provisional designation; the 2nd column indicates the dynamical class; the 3rd column indicates the average HRα value and 1-σ error bars; the 4th column indicates the average $B-R$ color and 1-σ error bars; the 5th column indicates the most important spectral features detected; and the 6th column points to the bibliographic references used for each object. (3 data files).

  18. Empirical Retrieval of Surface Melt Magnitude from Coupled MODIS Optical and Thermal Measurements over the Greenland Ice Sheet during the 2001 Ablation Season.

    PubMed

    Lampkin, Derrick; Peng, Rui

    2008-08-22

    Accelerated ice flow near the equilibrium line of west-central Greenland Ice Sheet (GIS) has been attributed to an increase in infiltrated surface melt water as a response to climate warming. The assessment of surface melting events must be more than the detection of melt onset or extent. Retrieval of surface melt magnitude is necessary to improve understanding of ice sheet flow and surface melt coupling. In this paper, we report on a new technique to quantify the magnitude of surface melt. Cloud-free dates of June 10, July 5, 7, 9, and 11, 2001 Moderate Resolution Imaging Spectroradiometer (MODIS) daily reflectance Band 5 (1.230-1.250μm) and surface temperature images rescaled to 1km over western Greenland were used in the retrieval algorithm. An optical-thermal feature space partitioned as a function of melt magnitude was derived using a one-dimensional thermal snowmelt model (SNTHERM89). SNTHERM89 was forced by hourly meteorological data from the Greenland Climate Network (GC-Net) at reference sites spanning dry snow, percolation, and wet snow zones in the Jakobshavn drainage basin in western GIS. Melt magnitude or effective melt (E-melt) was derived for satellite composite periods covering May, June, and July displaying low fractions (0-1%) at elevations greater than 2500m and fractions at or greater than 15% at elevations lower than 1000m assessed for only the upper 5 cm of the snow surface. Validation of E-melt involved comparison of intensity to dry and wet zones determined from QSCAT backscatter. Higher intensities (> 8%) were distributed in wet snow zones, while lower intensities were grouped in dry zones at a first order accuracy of ~ ±2%.

  19. The Ml Magnitude Scale In Italy

    NASA Astrophysics Data System (ADS)

    Gasperini, P.; Lolli, B.; Filippucci, M.; de Simoni, B.

    To improve the reliability of Ml magnitude estimates in Italy, we have updated the database of real Wood-Anderson (WA) and of simulated Wood Anderson (SWA) am- plitudes recently revised by Gasperini (2002). This was done by the re-reading of orig- inal WA seismograms, made available by the SISMOS Project of the Istituto Nazionale di Geofisica (INGV), as well as by the analysis of further Very Broad Band (VBB) recordings of the MEDNET network of INGV for the period from 1996 to 1998. The full operability, in the last five years, of a VBB station located exactly at the same site (TRI) of a former WA instrument allowed us to reliably infer a new attenuation function from the joined WA and SWA dataset. We found a significant deviation of the attenuation law from the standard Richter table at distances larger than 400 km where the latter overestimates the magnitude up to about 0.3 units. We also computed regionalized attenuation functions accounting for the differences in the propagation properties of seismic waves between the Adriatic (less attenuating) and Tyrrhenian (more attenuating) sides of the Italian peninsula. Using this improved Ml magnitude database we were also able to further improve the computation of duration (Md) and amplitude (Ma) magnitudes computed from short period vertical seismometers of the INGV as well as to analyze the time variation of the station calibrations. We found that the absolute amplification of INGV stations is underestimated almost exactly by a factor 2 starting from the entering upon in operation of the digital acquisition system at INGV in middle 1984.

  20. Maximum magnitude estimations of induced earthquakes at Paradox Valley, Colorado, from cumulative injection volume and geometry of seismicity clusters

    NASA Astrophysics Data System (ADS)

    Yeck, William L.; Block, Lisa V.; Wood, Christopher K.; King, Vanessa M.

    2015-01-01

    overpredict maximum magnitude for this area or that long time delays are required for sufficient pore-pressure diffusion to occur to cause rupture along an entire fault segment. We note that earthquake clusters can initiate and grow rapidly over the course of 1 or 2 yr, thus making it difficult to predict maximum earthquake magnitudes far into the future. The abrupt onset of seismicity with injection indicates that pore-pressure increases near the well have been sufficient to trigger earthquakes under pre-existing tectonic stresses. However, we do not observe remote triggering from large teleseismic earthquakes, which suggests that the stress perturbations generated from those events are too small to trigger rupture, even with the increased pore pressures.

  1. Thermal Effusivity of Vegetable Oils Obtained by a Photothermal Technique

    NASA Astrophysics Data System (ADS)

    Cervantes-Espinosa, L. M.; de L. Castillo-Alvarado, F.; Lara-Hernández, G.; Cruz-Orea, A.; Hernández-Aguilar, C.; Domínguez-Pacheco, A.

    2014-10-01

    Thermal properties of several vegetable oils such as soy, corn, and avocado commercial oils were obtained by using a photopyroelectric technique. The inverse photopyroelectric configuration was used in order to obtain the thermal effusivity of the oil samples. The theoretical equation for the photopyroelectric signal in this configuration, as a function of the incident light modulation frequency, was fitted to the experimental data in order to obtain the thermal effusivity of these samples. The obtained results are in good agreement with the thermal effusivity reported for other vegetable oils. All measurements were done at room temperature.

  2. Second-order advantage obtained from standard addition first-order instrumental data and multivariate curve resolution-alternating least squares. Calculation of the feasible bands of results.

    PubMed

    Mohseni, Naimeh; Bahram, Morteza; Olivieri, Alejandro C

    2014-03-25

    In order to achieve the second-order advantage, second-order data per sample is usually required, e.g., kinetic-spectrophotometric data. In this study, instead of monitoring the time evolution of spectra (and collecting the kinetic-spectrophotometric data) replicate spectra are used to build a virtual second order data. This data matrix (replicate mode×λ) is rank deficient. Augmentation of these data with standard addition data [or standard sample(s)] will break the rank deficiency, making the quantification of the analyte of interest possible. The MCR-ALS algorithm was applied for the resolution and quantitation of the analyte in both simulated and experimental data sets. In order to evaluate the rotational ambiguity in the retrieved solutions, the MCR-BANDS algorithm was employed. It has been shown that the reliability of the quantitative results significantly depends on the amount of spectral overlap in the spectral region of occurrence of the compound of interest and the remaining constituent(s). Copyright © 2013 Elsevier B.V. All rights reserved.

  3. Rational numbers: componential versus holistic representation of fractions in a magnitude comparison task.

    PubMed

    Meert, Gaëlle; Grégoire, Jacques; Noël, Marie-Pascale

    2009-08-01

    This study investigated whether the mental representation of the fraction magnitude was componential and/or holistic in a numerical comparison task performed by adults. In Experiment 1, the comparison of fractions with common numerators (x/a_x/b) and of fractions with common denominators (a/x_b/x) primed the comparison of natural numbers. In Experiment 2, fillers (i.e., fractions without common components) were added to reduce the regularity of the stimuli. In both experiments, distance effects indicated that participants compared the numerators for a/x_b/x fractions, but that the magnitudes of the whole fractions were accessed and compared for x/a_x/b fractions. The priming effect of x/a_x/b fractions on natural numbers suggested that the interference of the denominator magnitude was controlled during the comparison of these fractions. These results suggested a hybrid representation of their magnitude (i.e., componential and holistic). In conclusion, the magnitude of the whole fraction can be accessed, probably by estimating the ratio between the magnitude of the denominator and the magnitude of the numerator. However, adults might prefer to rely on the magnitudes of the components and compare the magnitudes of the whole fractions only when the use of a componential strategy is made difficult.

  4. Discounting of Delayed Food Rewards in Pigeons and Rats: Is There a Magnitude Effect

    ERIC Educational Resources Information Center

    Green, Leonard; Myerson, Joel; Holt, Daniel D.; Slavin, John R.; Estle, Sara J.

    2004-01-01

    Temporal discounting refers to the decrease in the present, subjective value of a reward as the time to its receipt increases. Results from humans have shown that a hyperbola-like function describes the form of the discounting function when choices involve hypothetical monetary rewards. In addition, magnitude effects have been reported in which…

  5. Magnitude Bias of Microlensed Sources toward the Large Magellanic Cloud.

    PubMed

    Zhao; Graff; Guhathakurta

    2000-03-20

    There are lines of evidence suggesting that some of the observed microlensing events in the direction of the Large Magellanic Cloud (LMC) are caused by ordinary star lenses as opposed to dark MACHOs in the Galactic halo. Efficient lensing by ordinary stars generally requires the presence of one or more additional concentrations of stars along the line of sight to the LMC disk. If such a population behind the LMC disk exists, then the source stars (for lensing by LMC disk objects) will be drawn preferentially from the background population and will show systematic differences from LMC field stars. One such difference is that the (lensed) source stars will be farther away than the average LMC field stars, and this should be reflected in their apparent baseline magnitudes. We focus on red clump stars; these should appear in the color-magnitude diagram at a few tenths of a magnitude fainter than the field red clump. Suggestively, one of the two near-clump confirmed events, MACHO-LMC-1, is a few tenths of magnitude fainter than the clump.

  6. Experimental evidence of impact ignition: 100-fold increase of neutron yield by impactor collision.

    PubMed

    Azechi, H; Sakaiya, T; Watari, T; Karasik, M; Saito, H; Ohtani, K; Takeda, K; Hosoda, H; Shiraga, H; Nakai, M; Shigemori, K; Fujioka, S; Murakami, M; Nagatomo, H; Johzaki, T; Gardner, J; Colombant, D G; Bates, J W; Velikovich, A L; Aglitskiy, Y; Weaver, J; Obenschain, S; Eliezer, S; Kodama, R; Norimatsu, T; Fujita, H; Mima, K; Kan, H

    2009-06-12

    We performed integrated experiments on impact ignition, in which a portion of a deuterated polystyrene (CD) shell was accelerated to about 600 km/s and was collided with precompressed CD fuel. The kinetic energy of the impactor was efficiently converted into thermal energy generating a temperature of about 1.6 keV. We achieved a two-order-of-magnitude increase in the neutron yield by optimizing the timing of the impact collision, demonstrating the high potential of impact ignition for fusion energy production.

  7. High-magnitude head impact exposure in youth football.

    PubMed

    Campolettano, Eamon T; Gellner, Ryan A; Rowson, Steven

    2017-12-01

    OBJECTIVE Even in the absence of a clinically diagnosed concussion, research suggests that neurocognitive changes may develop in football players as a result of frequent head impacts that occur during football games and practices. The objectives of this study were to determine the specific situations in which high-magnitude impacts (accelerations exceeding 40 g) occur in youth football games and practices and to assess how representative practice activities are of games with regard to high-magnitude head impact exposure. METHODS A total of 45 players (mean age 10.7 ± 1.1 years) on 2 youth teams (Juniors [mean age 9.9 ± 0.6 years; mean body mass 38.9 ± 9.9 kg] and Seniors [mean age 11.9 ± 0.6 years; mean body mass 51.4 ± 11.8 kg]) wore helmets instrumented with accelerometer arrays to record head impact accelerations for all practices and games. Video recordings from practices and games were used to verify all high-magnitude head impacts, identify specific impact characteristics, and determine the amount of time spent in each activity. RESULTS A total of 7590 impacts were recorded, of which 571 resulted in high-magnitude head impact accelerations exceeding 40 g (8%). Impacts were characterized based on the position played by the team member who received the impact, the part of the field where the impact occurred, whether the impact occurred during a game or practice play, and the cause of the impact. High-magnitude impacts occurred most frequently in the open field in both games (59.4%) and practices (67.5%). "Back" position players experienced a greater proportion of high-magnitude head impacts than players at other positions. The 2 teams in this study structured their practice sessions similarly with respect to time spent in each drill, but impact rates differed for each drill between the teams. CONCLUSIONS High-magnitude head impact exposure in games and practice drills was quantified and used as the basis for comparison of exposure in the 2 settings. In

  8. High-magnitude head impact exposure in youth football

    PubMed Central

    Campolettano, Eamon T.; Gellner, Ryan A.; Rowson, Steven

    2018-01-01

    OBJECTIVE Even in the absence of a clinically diagnosed concussion, research suggests that neurocognitive changes may develop in football players as a result of frequent head impacts that occur during football games and practices. The objectives of this study were to determine the specific situations in which high-magnitude impacts (accelerations exceeding 40g) occur in youth football games and practices and to assess how representative practice activities are of games with regard to high-magnitude head impact exposure. METHODS A total of 45 players (mean age 10.7 ± 1.1 years) on 2 youth teams (Juniors [mean age 9.9 ± 0.6 years; mean body mass 38.9 ± 9.9 kg] and Seniors [mean age 11.9 ± 0.6 years; mean body mass 51.4 ± 11.8 kg]) wore helmets instrumented with accelerometer arrays to record head impact accelerations for all practices and games. Video recordings from practices and games were used to verify all high-magnitude head impacts, identify specific impact characteristics, and determine the amount of time spent in each activity. RESULTS A total of 7590 impacts were recorded, of which 571 resulted in high-magnitude head impact accelerations exceeding 40g (8%). Impacts were characterized based on the position played by the team member who received the impact, the part of the field where the impact occurred, whether the impact occurred during a game or practice play, and the cause of the impact. High-magnitude impacts occurred most frequently in the open field in both games (59.4%) and practices (67.5%). “Back” position players experienced a greater proportion of high-magnitude head impacts than players at other positions. The 2 teams in this study structured their practice sessions similarly with respect to time spent in each drill, but impact rates differed for each drill between the teams. CONCLUSIONS High-magnitude head impact exposure in games and practice drills was quantified and used as the basis for comparison of exposure in the 2 settings. In

  9. Correlation between Ribosome Biogenesis and the Magnitude of Hypertrophy in Overloaded Skeletal Muscle.

    PubMed

    Nakada, Satoshi; Ogasawara, Riki; Kawada, Shigeo; Maekawa, Takahiro; Ishii, Naokata

    2016-01-01

    External loads applied to skeletal muscle cause increases in the protein translation rate, which leads to muscle hypertrophy. Although some studies have demonstrated that increases in the capacity and efficiency of translation are involved in this process, it remains unclear how these two factors are related to the magnitude of muscle hypertrophy. The present study aimed to clarify the roles played by the capacity and efficiency of translation in muscle hypertrophy. We used an improved synergist ablation in which the magnitude of compensatory hypertrophy could be controlled by partial removal of synergist muscles. Male rats were assigned to four groups in which the plantaris muscle was unilaterally subjected to weak (WK), moderate (MO), middle (MI), and strong (ST) overloading by four types of synergist ablation. Fourteen days after surgery, the weight of the plantaris muscle per body weight increased by 8%, 22%, 32% and 45%, in the WK, MO, MI and ST groups, respectively. Five days after surgery, 18+28S rRNA content (an indicator of translational capacity) increased with increasing overload, with increases of 1.8-fold (MO), 2.2-fold (MI), and 2.5-fold (ST), respectively, relative to non-overloaded muscle (NL) in the WK group. rRNA content showed a strong correlation with relative muscle weight measured 14 days after surgery (r = 0.98). The phosphorylated form of p70S6K (a positive regulator of translational efficiency) showed a marked increase in the MO group, but no further increase was observed with further increase in overload (increases of 22.6-fold (MO), 17.4-fold (MI), and 18.2-fold (ST), respectively, relative to NL in the WK group). These results indicate that increases in ribosome biogenesis at the early phase of overloading are strongly dependent on the amount of overloading, and may play an important role in increasing the translational capacity for further gain of muscular size.

  10. Magnitude estimation and runout analysis of a rockslide for the construction of a defensive structure

    NASA Astrophysics Data System (ADS)

    Gigli, G.; Casagli, N.; Lombardi, L.; Nocentini, M.; Balducci, M.; Venanti, L.

    2009-04-01

    In the past few years the Maiolica (micritic limestone) quarry of Torgiovannetto (Perugia, Italy) has suffered an increasing amount of rockfalls. The rock mass has loosened progressively and a perimetral crack longer than 100 meters has appeared. The huge block bounded by this crack, two lateral discontinuities and a stratigraphic layer, threatens two roads at the base of the slope. Since these are very important and busy traffic routes the Department of Earth Sciences of the University of Firenze performed magnitude estimations and runout analyses regarding two different aspects: 1) investigate the trajectories of single falling blocks and; 2) forecast the runout distance and the debris intensity distribution in case a large rockslide occurs. The magnitude of a landslide is, actually, the most important input parameter for correctly estimating the trajectory, the runout distance and the kinetic energy of a landslide. A detailed and updated knowledge of the actual morphological conditions is a good starting point for defining as accurately as possible the extent of a moving block. Due to the very high urgency and precision required, a detailed survey of the quarry area has been performed by means of a High Accuracy & Long Range 3D laser scanner (RIEGLE, LMS-Z.420i). In order to avoid shadow zones and to obtain a comprehensive digital elevation model of the quarry area, a total of more than 30 million points were taken from three different scan positions. The resulting point cloud was dense enough to reveal the main structural features of the rock mass, including the discontinuities bounding the moving block, which has a calculated volume of 180 000 m3. With the aim of confirming the block volume and assessing the deformational field of the moving mass, a multitemporal ground-based interferometric SAR survey was performed. The results of the survey precisely confirm the geometry of the unstable block and also indicate that the displacements decrease from E to W, due

  11. Combining conventional and thermal drilling in order to increase speed and reduce costs of drilling operations to access deep geothermal resources

    NASA Astrophysics Data System (ADS)

    Rossi, Edoardo; Kant, Michael A.; von Rohr, Philipp Rudolf; Saar, Martin O.

    2017-04-01

    The exploitation of deep geothermal resources for energy production relies on finding cost effective solutions to increase the drilling performance in hard rocks. Conventional rotary drilling techniques, based on mechanical rock exportation, result in high rates of drilling tool wearing, causing significant costs. Additionally, rotary drilling results in low drilling speeds in the typically hard crystalline basement rocks targeted for enhanced geothermal energy utilization technologies. Furthermore, even lower overall drilling rates result, when considering tripping times required to exchange worn drill tools. Therefore, alternative drilling techniques, such as hammering, thermal drilling, plasma drilling, and jetting processes are widely investigated in order to provide cost-effective alternatives to conventional drilling methods. A promising approach, that combines conventional rotary and thermal drilling techniques, is investigated in the present work. Here, the rock material is thermally weakened before being exported by conventional cutters. Heat is locally provided by a flame, which moves over the rock surface, heat-treating the material. Besides reducing the rock strength, an in-depth smoothening effect of the mechanical rock properties is observed due to the thermal treatment. This results in reduced rates of drill bit wearing and higher rates of penetration, which in turn decreases drilling costs significantly, particularly for deep-drilling projects. Due to the high heating rates, rock-hardening, commonly observed at moderate temperatures, can be avoided. The flame action can be modelled as a localized, high heat transfer coefficient flame treatment, which results in orders of magnitude higher heating rates than conventional oven treatments. Therefore, we analyse rock strength variations after different maximum temperatures, flame-based heating rates, and rock confinement pressures. The results show that flame treatments lead to a monotonous decrease of

  12. Preschool children use space, rather than counting, to infer the numerical magnitude of digits: Evidence for a spatial mapping principle.

    PubMed

    Sella, Francesco; Berteletti, Ilaria; Lucangeli, Daniela; Zorzi, Marco

    2017-01-01

    A milestone in numerical development is the acquisition of counting principles which allow children to exactly determine the numerosity of a given set. Moreover, a canonical left-to-right spatial layout for representing numbers also emerges during preschool. These foundational aspects of numerical competence have been extensively studied, but there is sparse knowledge about the interplay between the acquisition of the cardinality principle and spatial mapping of numbers in early numerical development. The present study investigated how these skills concurrently develop before formal schooling. Preschool children were classified according to their performance in Give-a-Number and Number-to-position tasks. Experiment 1 revealed three qualitatively different groups: (i) children who did not master the cardinality principle and lacked any consistent spatial mapping for digits, (ii) children who mastered the cardinality principle and yet failed in spatial mapping, and (iii) children who mastered the cardinality principle and displayed consistent spatial mapping. This suggests that mastery of the cardinality principle does not entail the emergence of spatial mapping. Experiment 2 confirmed the presence of these three developmental stages and investigated their relation with a digit comparison task. Crucially, only children who displayed a consistent spatial mapping of numbers showed the ability to compare digits by numerical magnitude. A congruent (i.e., numerically ordered) positioning of numbers onto a visual line as well as the concept that moving rightwards (in Western cultures) conveys an increase in numerical magnitude mark the mastery of a spatial mapping principle. Children seem to rely on this spatial organization to achieve a full understanding of the magnitude relations between digits. Copyright © 2016 Elsevier B.V. All rights reserved.

  13. Optical increase of photo-integrated micro- and nano-periodic susceptibility lattices

    NASA Astrophysics Data System (ADS)

    Smirnov, Vitaly A.; Vostrikova, Liubov I.

    2015-03-01

    It is demonstrated that the nonlinear photo-integrated micro- and nano-periodic second-order susceptibility lattices with very small amplitudes which were preliminarily recorded using bi-chromatic powerful laser light in amorphous glass materials can be increased up to some orders of magnitude under the action of a simple coherent monochromatic radiation. The optical increase of the small lattices takes place independent of the polarization and direction of propagation of the optical amplifying radiation and is achieved at various wavelengths. The observed phenomenon is not be explained only by nonlinear wave interaction in medium and also may be related to the microscopic asymmetry processes of the optical transitions between local centers in an isotropic medium that leads to the appearance and growth of the all-optically induced small micro- and nano-periodic electrical charges separations inside the sample. Possible mechanisms that may be responsible for the observed effects in the studied phosphate glasses are discussed.

  14. Application of a time-magnitude prediction model for earthquakes

    NASA Astrophysics Data System (ADS)

    An, Weiping; Jin, Xueshen; Yang, Jialiang; Dong, Peng; Zhao, Jun; Zhang, He

    2007-06-01

    In this paper we discuss the physical meaning of the magnitude-time model parameters for earthquake prediction. The gestation process for strong earthquake in all eleven seismic zones in China can be described by the magnitude-time prediction model using the computations of the parameters of the model. The average model parameter values for China are: b = 0.383, c=0.154, d = 0.035, B = 0.844, C = -0.209, and D = 0.188. The robustness of the model parameters is estimated from the variation in the minimum magnitude of the transformed data, the spatial extent, and the temporal period. Analysis of the spatial and temporal suitability of the model indicates that the computation unit size should be at least 4° × 4° for seismic zones in North China, at least 3° × 3° in Southwest and Northwest China, and the time period should be as long as possible.

  15. The Weight of Time: Affordances for an Integrated Magnitude System

    ERIC Educational Resources Information Center

    Lu, Aitao; Mo, Lei; Hodges, Bert H.

    2011-01-01

    In five experiments we explored the effects of weight on time in different action contexts to test the hypothesis that an integrated magnitude system is tuned to affordances. Larger magnitudes generally seem longer; however, Lu and colleagues (2009) found that if numbers were presented as weights in a range heavy enough to affect lifting, the…

  16. Threshold magnitudes for a multichannel correlation detector in background seismicity

    DOE PAGES

    Carmichael, Joshua D.; Hartse, Hans

    2016-04-01

    Colocated explosive sources often produce correlated seismic waveforms. Multichannel correlation detectors identify these signals by scanning template waveforms recorded from known reference events against "target" data to find similar waveforms. This screening problem is challenged at thresholds required to monitor smaller explosions, often because non-target signals falsely trigger such detectors. Therefore, it is generally unclear what thresholds will reliably identify a target explosion while screening non-target background seismicity. Here, we estimate threshold magnitudes for hypothetical explosions located at the North Korean nuclear test site over six months of 2010, by processing International Monitoring System (IMS) array data with a multichannelmore » waveform correlation detector. Our method (1) accounts for low amplitude background seismicity that falsely triggers correlation detectors but is unidentifiable with conventional power beams, (2) adapts to diurnally variable noise levels and (3) uses source-receiver reciprocity concepts to estimate thresholds for explosions spatially separated from the template source. Furthermore, we find that underground explosions with body wave magnitudes m b = 1.66 are detectable at the IMS array USRK with probability 0.99, when using template waveforms consisting only of P -waves, without false alarms. We conservatively find that these thresholds also increase by up to a magnitude unit for sources located 4 km or more from the Feb.12, 2013 announced nuclear test.« less

  17. Inter-examination Precision of Magnitude-based Magnetic Resonance Imaging for Estimation of Segmental Hepatic Proton Density Fat Fraction (PDFF) in Obese Subjects

    PubMed Central

    Negrete, Lindsey M.; Middleton, Michael S.; Clark, Lisa; Wolfson, Tanya; Gamst, Anthony C.; Lam, Jessica; Changchien, Chris; Deyoung-Dominguez, Ivan M.; Hamilton, Gavin; Loomba, Rohit; Schwimmer, Jeffrey; Sirlin, Claude B.

    2013-01-01

    Purpose To prospectively describe magnitude-based multi-echo gradient-echo hepatic proton density fat fraction (PDFF) inter-examination precision at 3T. Materials and Methods In this prospective, IRB approved, HIPAA compliant study, written informed consent was obtained from 29 subjects (body mass indexes > 30kg/m2). Three 3T magnetic resonance imaging (MRI) examinations were obtained over 75-90 minutes. Segmental, lobar, and whole liver PDFF were estimated (using three, four, five, or six echoes) by magnitude-based multi-echo MRI in co-localized regions of interest (ROIs). For estimate (using three, four, five, or six echoes), at each anatomic level (segmental, lobar, whole liver), three inter-examination precision metrics were computed: intra-class correlation coefficient (ICC), standard deviation (SD), and range. Results Magnitude-based PDFF estimates using each reconstruction method showed excellent inter-examination precision for each segment (ICC ≥ 0.992; SD ≤ 0.66%; range ≤ 1.24%), lobe (ICC ≥ 0.998; SD ≤ 0.34%; range ≤ 0.64%), and the whole liver (ICC = 0.999; SD ≤ 0.24%; range ≤ 0.45%). Inter-examination precision was unaffected by whether PDFF was estimated using three, four, five, or six echoes. Conclusion Magnitude-based PDFF estimation shows high inter-examination precision at segmental, lobar, and whole liver anatomic levels, supporting its use in clinical care or clinical trials. The results of this study suggest that longitudinal hepatic PDFF change greater than 1.6% is likely to represent signal rather than noise. PMID:24136736

  18. The Eddington Experiment during the 2017 Total Solar Eclipse Will Improve On Prior Work by Near Two Orders of Magnitude

    NASA Astrophysics Data System (ADS)

    Schaefer, Bradley E.

    2017-06-01

    The original Eddington experiment (measuring the gravitational bending of light for stars near a totally eclipsed Sun) in 1919 was one of the most famous and important experiments in all physics, becoming the iconic proof of Einstein's General Relativity (GR). The Eddington experiment has been run successfully for only 7 eclipses, last in 1973, never getting much better than ~10% measurement accuracy. Since then, precision tests of various predictions of GR have been big-time forefront physics, for example the recent discovery of gravitational waves with LIGO. The best measure of the gravitational bending of light comes from radio wavelengths with VLBI, where limits of 0.045% to 0.012% have been reported in the last decade.A modern version of the Eddington experiment can and should be run for the 21 August 2017 total solar eclipse, when we can improve on the historic results by orders of magnitude. This possibility of greatly improving the Eddington experiment has only just become feasible in the last few years, with the introduction of off-the-shelf CCD cameras with >4k pixels on a side. The near-optimal set of equipment is a 4-inch f/10 refractor with a 4096x4096 CCD all on a GOTO mount. With this, a 7-second image will record 101 unsaturated stars with angular distances from the center of the Sun from 41' to 86', each with centering accuracy of 0.06" to 0.25". A single exposure by itself will measure the gravitational bending of light to 2.3% accuracy. With Gaia positions, and many stars recorded over a large field, plus calibration images from the night sky, all known systematic errors will be much smaller than the final accuracy for any single observer. With many images during totality, one observer will measure the GR effect to an accuracy of 0.59%. With many observers, the accuracy will improve by a factor of the square root of the number of observers.On an independent track, a casual observer can now readily test Einstein's GR by better than anyone has done

  19. General description of circularly symmetric Bessel beams of arbitrary order

    NASA Astrophysics Data System (ADS)

    Wang, Jia Jie; Wriedt, Thomas; Lock, James A.; Mädler, Lutz

    2016-11-01

    A general description of circularly symmetric Bessel beams of arbitrary order is derived in this paper. This is achieved by analyzing the relationship between different descriptions of polarized Bessel beams obtained using different approaches. It is shown that a class of circularly symmetric Davis Bessel beams derived using the Hertz vector potentials possesses the same general functional dependence as the aplanatic Bessel beams generated using the angular spectrum representation (ASR). This result bridges the gap between different descriptions of Bessel beams and leads to a general description of circularly symmetric Bessel beams, such that the Davis Bessel beams and the aplanatic Bessel beams are merely the two simplest cases of an infinite number of possible circularly symmetric Bessel beams. Additionally, magnitude profiles of the electric and magnetic fields, the energy density and the Poynting vector are displayed for Bessel beams in both paraxial and nonparaxial cases. The results presented in this paper provide a fresh perspective on the description of Bessel beams and cast some insights into the light scattering and light-matter interactions problems in practice.

  20. The colour-magnitude relation as a constraint on the formation of rich cluster galaxies

    NASA Astrophysics Data System (ADS)

    Bower, Richard G.; Kodama, Tadayuki; Terlevich, Ale

    1998-10-01

    The colours and magnitudes of early-type galaxies in galaxy clusters are strongly correlated. The existence of such a correlation has been used to infer that early-type galaxies must be old passively evolving systems. Given the dominance of early-type galaxies in the cores of rich clusters, this view sits uncomfortably with the increasing fraction of blue galaxies found in clusters at intermediate redshifts, and with the late formation of galaxies favoured by cold dark matter type cosmologies. In this paper, we make a detailed investigation of these issues and examine the role that the colour-magnitude relation can play in constraining the formation history of galaxies currently found in the cores of rich clusters. We start by considering the colour evolution of galaxies after star formation ceases. We show that the scatter of the colour-magnitude relation places a strong constraint on the spread in age that is allowed for the bulk of the stellar population. In the extreme case that the stars are formed in a single event, the spread in age cannot be more than 4 Gyr. Although the bulk of stars must be formed in a short period, continuing formation of stars in a fraction of the galaxies is not so strongly constrained. We examine a model in which star formation occurs over an extended period of time in most galaxies with star formation being truncated randomly. This model is consistent with the formation of stars in a few systems until look-back times of ~5Gyr. An extension of this type of star formation history allows us to reconcile the small present-day scatter of the colour-magnitude relation with the observed blue galaxy fractions of intermediate redshift galaxy clusters. In addition to setting a limit on the variations in luminosity-weighted age between the stellar populations of cluster galaxies, the colour-magnitude relation can also be used to constrain the degree of merging between pre-existing stellar systems. This test relies on the slope of the colour-magnitude

  1. Interpretation of hydraulic conductivity in a fractured-rock aquifer over increasingly larger length dimensions

    USGS Publications Warehouse

    Shapiro, Allen M.; Ladderud, Jeffery; Yager, Richard M.

    2015-01-01

    A comparison of the hydraulic conductivity over increasingly larger volumes of crystalline rock was conducted in the Piedmont physiographic region near Bethesda, Maryland, USA. Fluid-injection tests were conducted on intervals of boreholes isolating closely spaced fractures. Single-hole tests were conducted by pumping in open boreholes for approximately 30 min, and an interference test was conducted by pumping a single borehole over 3 days while monitoring nearby boreholes. An estimate of the hydraulic conductivity of the rock over hundreds of meters was inferred from simulating groundwater inflow into a kilometer-long section of a Washington Metropolitan Area Transit Authority tunnel in the study area, and a groundwater modeling investigation over the Rock Creek watershed provided an estimate of the hydraulic conductivity over kilometers. The majority of groundwater flow is confined to relatively few fractures at a given location. Boreholes installed to depths of approximately 50 m have one or two highly transmissive fractures; the transmissivity of the remaining fractures ranges over five orders of magnitude. Estimates of hydraulic conductivity over increasingly larger rock volumes varied by less than half an order of magnitude. While many investigations point to increasing hydraulic conductivity as a function of the measurement scale, a comparison with selected investigations shows that the effective hydraulic conductivity estimated over larger volumes of rock can either increase, decrease, or remain stable as a function of the measurement scale. Caution needs to be exhibited in characterizing effective hydraulic properties in fractured rock for the purposes of groundwater management.

  2. Analysis of Magnitude Correlations in a Self-Similar model of Seismicity

    NASA Astrophysics Data System (ADS)

    Zambrano, A.; Joern, D.

    2017-12-01

    A recent model of seismicity that incorporates a self-similar Omori-Utsu relation, which is used to describe the temporal evolution of earthquake triggering, has been shown to provide a more accurate description of seismicity in Southern California when compared to epidemic type aftershock sequence models. Forecasting of earthquakes is an active research area where one of the debated points is whether magnitude correlations of earthquakes exist within real world seismic data. Prior to this work, the analysis of magnitude correlations of the aforementioned self-similar model had not been addressed. Here we present statistical properties of the magnitude correlations for the self-similar model along with an analytical analysis of the branching ratio and criticality parameters.

  3. Doped YbRh2Si2: not only ferromagnetic correlations but ferromagnetic order.

    PubMed

    Lausberg, S; Hannaske, A; Steppke, A; Steinke, L; Gruner, T; Pedrero, L; Krellner, C; Klingner, C; Brando, M; Geibel, C; Steglich, F

    2013-06-21

    YbRh2Si2 is a prototypical system for studying unconventional antiferromagnetic quantum criticality. However, ferromagnetic correlations are present which can be enhanced via isoelectronic cobalt substitution for rhodium in Yb(Rh(1-x)Co(x))2Si2. So far, the magnetic order with increasing x was believed to remain antiferromagnetic. Here, we present the discovery of ferromagnetism for x = 0.27 below T(C) = 1.30  K in single crystalline samples. Unexpectedly, ordering occurs along the c axis, the hard crystalline electric field direction, where the g factor is an order of magnitude smaller than in the basal plane. Although the spontaneous magnetization is only 0.1 μB/Yb it corresponds to the full expected saturation moment along c taking into account partial Kondo screening.

  4. A Novel Adaptive Modulation Based on Nondata-Aided Error Vector Magnitude in Non-Line-Of-Sight Condition of Wireless Sensor Network.

    PubMed

    Yang, Fan; Zeng, Xiaoping; Mao, Haiwei; Jian, Xin; Tan, Xiaoheng; Du, Derong

    2018-01-15

    The high demand for multimedia applications in environmental monitoring, invasion detection, and disaster aid has led to the rise of wireless sensor network (WSN). With the increase of reliability and diversity of information streams, the higher requirements on throughput and quality of service (QoS) have been put forward in data transmission between two sensor nodes. However, lower spectral efficiency becomes a bottleneck in non-line-of-sight (NLOS) transmission of WSN. This paper proposes a novel nondata-aided error vector magnitude based adaptive modulation (NDA-EVM-AM) to solve the problem. NDA-EVM is considered as a new metric to evaluate the quality of NLOS link for adaptive modulation in WSN. By modeling the NLOS scenario as the η - μ fading channel, a closed-form expression for the NDA-EVM of multilevel quadrature amplitude modulation (MQAM) signals over the η - μ fading channel is derived, and the relationship between SER and NDA-EVM is also formulated. Based on these results, NDA-EVM state machine is designed for adaptation strategy. The algorithmic complexity of NDA-EVM-AM is analyzed and the outage capacity of NDA-EVM-AM in an NLOS scenario is also given. The performances of NDA-EVM-AM are compared by simulation, and the results show that NDA-EVM-AM is an effective technique to be used in the NLOS scenarios of WSN. This technique can accurately reflect the channel variations and efficiently adjust modulation order to better match the channel conditions, hence, obtaining better performance in average spectral efficiency.

  5. Understanding Magnitudes to Understand Fractions

    ERIC Educational Resources Information Center

    Gabriel, Florence

    2016-01-01

    Fractions are known to be difficult to learn and difficult to teach, yet they are vital for students to have access to further mathematical concepts. This article uses evidence to support teachers employing teaching methods that focus on the conceptual understanding of the magnitude of fractions.

  6. Magnitude of parallel pseudo potential in a magnetosonic shock wave

    NASA Astrophysics Data System (ADS)

    Ohsawa, Yukiharu

    2018-05-01

    The parallel pseudo potential F, which is the integral of the parallel electric field along the magnetic field, in a large-amplitude magnetosonic pulse (shock wave) is theoretically studied. Particle simulations revealed in the late 1990's that the product of the elementary charge and F can be much larger than the electron temperature in shock waves, i.e., the parallel electric field can be quite strong. However, no theory was presented for this unexpected result. This paper first revisits the small-amplitude theory for F and then investigates the parallel pseudo potential F in large-amplitude pulses based on the two-fluid model with finite thermal pressures. It is found that the magnitude of F in a shock wave is determined by the wave amplitude, the electron temperature, and the kinetic energy of an ion moving with the Alfvén speed. This theoretically obtained expression for F is nearly identical to the empirical relation for F discovered in the previous simulation work.

  7. Examination of the site amplification factor of OBS and their application to magnitude estimation and ground-motion prediction for EEW

    NASA Astrophysics Data System (ADS)

    Hayashimoto, N.; Hoshiba, M.

    2013-12-01

    1. Introduction Ocean bottom seismograph (OBS) is useful for making Earthquake Early Warning (EEW) earlier. However, careful handling of these data is required because the installation environment of OBSs may be different from that of land stations. Site amplification factor is an important factor to estimate the magnitudes, and to predict ground motions (e.g. seismic intensity) in EEW. In this presentation, we discuss the site amplification factor of OBS in the Tonankai area of Japan from these two points of view. 2. Examination of magnitude correction of OBS In the EEW of JMA, the magnitude is estimated from the maximum amplitude of the displacement in real time. To provide the fast magnitude estimation, the magnitude-estimation algorithm switches from the P to S formula (Meew(P) to Meew(S)) depending on the expected S-phase arrival (Kamigaichi,2004). To estimate the magnitude correction for OBS, we determine Meew(P) and Meew(S) at OBSs and compare them with JMA magnitude (Mjma). We find Meew(S) at OBS is generally larger than Mjma by approximately 0.6. The slight differences of spatial distribution of Meew(S) amplification are also found among other OBSs. From the numerical simulations, Nakamura et al. (MGR,submitted) pointed out that the oceanic layer and the low-velocity sediment layers causes the large amplifications in low frequency range (0.1-0.2Hz) at OBSs. We conclude that the site effect of OBS characterized by such a low velocity sediment layers causes those amplification of Magnitude. 3. The frequency-dependent site factor of OBS estimated from Fourier spectrum ratio and their application for prediction of seismic intensity of land station We compare Fourier spectra of S-wave portion on OBSs with those on adjacent land stations. Station pair whose distance is smaller than 50 km is analyzed, and we obtain that spectral ratio of land station (MIEH05 of the KiK-net/NIED) to OBS (KMA01 of the DONET/JAMSTEC) is 5-20 for frequencies 10-20Hz for both

  8. Increasing correlations between personality traits and cortisol stress responses obtained by data aggregation.

    PubMed

    Pruessner, J C; Gaab, J; Hellhammer, D H; Lintz, D; Schommer, N; Kirschbaum, C

    1997-11-01

    Attempts to link personality traits and cortisol stress responses have often been inconclusive. The aim of this paper was to investigate this association by aggregating cortisol stress responses. Therefore, 20 healthy men were exposed to a task consisting of public speaking and mental arithmetics in front of an audience on five days. Six cortisol levels were measured in relation to the stressful task obtained at 10-min intervals on each day. Psychological assessment included the Questionnaire for Competence and Control (FKK) and the Giessen-Test (G-T). These questionnaires focus on assessing personality traits, i.e. locus of control and self-concept. Areas under the response curve (AUC) of the six cortisol samples were computed to obtain an index of the individual's cortisol stress response on each day. Since novelty is a random situational factor likely to mask individual differences in the stress response, the AUC cortisol stress responses of days two to five were consecutively aggregated, excluding the first day. Scales of the two questionnaires employed did not correlate with the AUC cortisol stress response of the first stress trial. The correlation pattern of the AUC cortisol measures of days two to five with the questionnaire scales was inconclusive. However, significant correlations emerged with an increasing number of cortisol stress responses aggregated. Correlations between the measure of social dominance and aggregated AUC cortisol stress responses rose from r = -.47 on day two of the experimental session to r = -.70 after aggregating days two to five. Similarly, measures of locus of control and cortisol stress responses became increasingly correlated with aggregation of several stress exposures. These data provide preliminary evidence for a relationship between questionnaire scales aiming at assessing personality traits and cortisol stress responses uncovered by repeated stress exposure and data aggregation. While novelty may mask the impact of

  9. Standardized residual as response function for order identification of multi input intervention analysis

    NASA Astrophysics Data System (ADS)

    Suhartono, Lee, Muhammad Hisyam; Rezeki, Sri

    2017-05-01

    Intervention analysis is a statistical model in the group of time series analysis which is widely used to describe the effect of an intervention caused by external or internal factors. An example of external factors that often occurs in Indonesia is a disaster, both natural or man-made disaster. The main purpose of this paper is to provide the results of theoretical studies on identification step for determining the order of multi inputs intervention analysis for evaluating the magnitude and duration of the impact of interventions on time series data. The theoretical result showed that the standardized residuals could be used properly as response function for determining the order of multi inputs intervention model. Then, these results are applied for evaluating the impact of a disaster on a real case in Indonesia, i.e. the magnitude and duration of the impact of the Lapindo mud on the volume of vehicles on the highway. Moreover, the empirical results showed that the multi inputs intervention model can describe and explain accurately the magnitude and duration of the impact of disasters on a time series data.

  10. Waveforms for optimal sub-keV high-order harmonics with synthesized two- or three-colour laser fields.

    PubMed

    Jin, Cheng; Wang, Guoli; Wei, Hui; Le, Anh-Thu; Lin, C D

    2014-05-30

    High-order harmonics extending to the X-ray region generated in a gas medium by intense lasers offer the potential for providing tabletop broadband light sources but so far are limited by their low conversion efficiency. Here we show that harmonics can be enhanced by one to two orders of magnitude without an increase in the total laser power if the laser's waveform is optimized by synthesizing two- or three-colour fields. The harmonics thus generated are also favourably phase-matched so that radiation is efficiently built up in the gas medium. Our results, combined with the emerging intense high-repetition MHz lasers, promise to increase harmonic yields by several orders to make harmonics feasible in the near future as general bright tabletop light sources, including intense attosecond pulses.

  11. Involvement of Working Memory in Longitudinal Development of Number-Magnitude Skills

    ERIC Educational Resources Information Center

    Kolkman, Meijke E.; Kroesbergen, Evelyn H.; Leseman, Paul P. M.

    2014-01-01

    The ability to connect numbers and magnitudes is an important prerequisite for math learning, here referred to as number-magnitude skills. It has been proposed that working memory plays an important role in constructing these connections. The aim of the current study was to examine if working memory accounts for constructing these connections by…

  12. Modeling of magnitude distributions by the generalized truncated exponential distribution

    NASA Astrophysics Data System (ADS)

    Raschke, Mathias

    2015-01-01

    The probability distribution of the magnitude can be modeled by an exponential distribution according to the Gutenberg-Richter relation. Two alternatives are the truncated exponential distribution (TED) and the cutoff exponential distribution (CED). The TED is frequently used in seismic hazard analysis although it has a weak point: when two TEDs with equal parameters except the upper bound magnitude are mixed, then the resulting distribution is not a TED. Inversely, it is also not possible to split a TED of a seismic region into TEDs of subregions with equal parameters except the upper bound magnitude. This weakness is a principal problem as seismic regions are constructed scientific objects and not natural units. We overcome it by the generalization of the abovementioned exponential distributions: the generalized truncated exponential distribution (GTED). Therein, identical exponential distributions are mixed by the probability distribution of the correct cutoff points. This distribution model is flexible in the vicinity of the upper bound magnitude and is equal to the exponential distribution for smaller magnitudes. Additionally, the exponential distributions TED and CED are special cases of the GTED. We discuss the possible ways of estimating its parameters and introduce the normalized spacing for this purpose. Furthermore, we present methods for geographic aggregation and differentiation of the GTED and demonstrate the potential and universality of our simple approach by applying it to empirical data. The considerable improvement by the GTED in contrast to the TED is indicated by a large difference between the corresponding values of the Akaike information criterion.

  13. Very Fast Estimation of Epicentral Distance and Magnitude from a Single Three Component Seismic Station Using Machine Learning Techniques

    NASA Astrophysics Data System (ADS)

    Ochoa Gutierrez, L. H.; Niño Vasquez, L. F.; Vargas-Jimenez, C. A.

    2012-12-01

    To minimize adverse effects originated by high magnitude earthquakes, early warning has become a powerful tool to anticipate a seismic wave arrival to an specific location and lets to bring people and government agencies opportune information to initiate a fast response. To do this, a very fast and accurate characterization of the event must be done but this process is often made using seismograms recorded in at least 4 stations where processing time is usually greater than the wave travel time to the interest area, mainly in coarse networks. A faster process can be done if only one three component seismic station is used that is the closest unsaturated station respect to the epicenter. Here we present a Support Vector Regression algorithm which calculates Magnitude and Epicentral Distance using only 5 seconds of signal since P wave onset. This algorithm was trained with 36 records of historical earthquakes where the input were regression parameters of an exponential function estimated by least squares, corresponding to the waveform envelope and the maximum value of the observed waveform for each component in one single station. A 10 fold Cross Validation was applied for a Normalized Polynomial Kernel obtaining the mean absolute error for different exponents and complexity parameters. Magnitude could be estimated with 0.16 of mean absolute error and the distance with an error of 7.5 km for distances within 60 to 120 km. This kind of algorithm is easy to implement in hardware and can be used directly in the field station to make possible the broadcast of estimations of this values to generate fast decisions at seismological control centers, increasing the possibility to have an effective reactiontribute and Descriptors calculator for SVR model training and test

  14. Surface waves magnitude estimation from ionospheric signature of Rayleigh waves measured by Doppler sounder and OTH radar.

    PubMed

    Occhipinti, Giovanni; Aden-Antoniow, Florent; Bablet, Aurélien; Molinie, Jean-Philippe; Farges, Thomas

    2018-01-24

    Surface waves emitted after large earthquakes are known to induce atmospheric infrasonic waves detectable at ionospheric heights using a variety of techniques, such as high frequency (HF) Doppler, global positioning system (GPS), and recently over-the-horizon (OTH) radar. The HF Doppler and OTH radar are particularly sensitive to the ionospheric signature of Rayleigh waves and are used here to show ionospheric perturbations consistent with the propagation of Rayleigh waves related to 28 and 10 events, with a magnitude larger than 6.2, detected by HF Doppler and OTH radar respectively. A transfer function is introduced to convert the ionospheric measurement into the correspondent ground displacement in order to compare it with classic seismometers. The ground vertical displacement, measured at the ground by seismometers, and measured at the ionospheric altitude by HF Doppler and OTH radar, is used here to compute surface wave magnitude. The ionospheric surface wave magnitude (M s iono ) proposed here introduces a new way to characterize earthquakes observing the signature of surface Rayleigh waves in the ionosphere. This work proves that ionospheric observations are useful seismological data to better cover the Earth and to explore the seismology of the Solar system bodies observing the ionosphere of other planets.

  15. Magnitude-Based Postfire Debris Flow Rainfall Accumulation-Duration Thresholds for Emergency-Response Planning

    NASA Astrophysics Data System (ADS)

    Cannon, S. H.; Boldt, E. M.; Laber, J. L.; Kean, J. W.; Staley, D. M.

    2011-12-01

    magnitude information. Magnitude 0 events can be expected when within-storm rainfall accumulations (A) of given durations (D) fall below the threshold A=0.4D0.5. Magnitude I events can be expected when storm rainfall conditions are above the threshold A=0.4D0.5 and below A=0.5D0.6 for durations greater than 1 hour. Magnitude II events will be generated in response to rainfall accumulations and durations between A=0.4D0.5 and A=0.9D0.5 for durations less than one hour, and between A=0.5D0.6 and A=0.9D0.5 for durations greater than one hour. Magnitude III events can be expected in response to rainfall conditions above the threshold A=0.9D 0.5. Rainfall threshold-magnitude relations are linked with potential emergency-response actions as an emergency-response decision chart, which leads a user through steps to determine potential event magnitudes and identify possible evacuation and resource-deployment levels. Use of this information in the planning and response decision-making process could result in increased safety for both the public and emergency responders.

  16. SNARC-like Congruency Based on Number Magnitude and Response Duration

    ERIC Educational Resources Information Center

    Kiesel, Andrea; Vierck, Esther

    2009-01-01

    Recent findings demonstrated that number magnitude affects the perception of display time (B. Xuan, D. Zhang, S. He, & X. Chen, 2007). Participants made fewer errors when display time (e.g., short) and magnitude (e.g., small) matched, suggesting an influence of magnitude on time perception. With the present experiment, the authors aimed to extend…

  17. Study of the influence of the cutting temperature on the magnitude of the contact forces in the machining fixtures

    NASA Astrophysics Data System (ADS)

    Cioată, V. G.; Kiss, I.; Alexa, V.; Raţiu, S. A.; Racov, M.

    2018-01-01

    In the machining process, the workpieces are installed in machining fixtures in order to establish a strictly determined position with the cutting tool or its trajectory. During the cutting process, the weight of the workpiece, the forces and moments of inertia, cutting forces and moments, clamping forces, the heat released during the cutting process determine the contact forces between the locators and the workpiece. The magnitude of these forces is important because too large value can destroy the surface of the workpiece, and a too small value can cause the workpiece to slip on the locators or even the loss of the contact with the workpiece. Both situations must be avoided. The paper presents a study, realized with CAE software, regarding the influence of the cutting temperature on the magnitude of the contact forces in a machining fixture for the milling a rectangular workpiece.

  18. Empirical Retrieval of Surface Melt Magnitude from Coupled MODIS Optical and Thermal Measurements over the Greenland Ice Sheet during the 2001 Ablation Season

    PubMed Central

    Lampkin, Derrick; Peng, Rui

    2008-01-01

    Accelerated ice flow near the equilibrium line of west-central Greenland Ice Sheet (GIS) has been attributed to an increase in infiltrated surface melt water as a response to climate warming. The assessment of surface melting events must be more than the detection of melt onset or extent. Retrieval of surface melt magnitude is necessary to improve understanding of ice sheet flow and surface melt coupling. In this paper, we report on a new technique to quantify the magnitude of surface melt. Cloud-free dates of June 10, July 5, 7, 9, and 11, 2001 Moderate Resolution Imaging Spectroradiometer (MODIS) daily reflectance Band 5 (1.230-1.250μm) and surface temperature images rescaled to 1km over western Greenland were used in the retrieval algorithm. An optical-thermal feature space partitioned as a function of melt magnitude was derived using a one-dimensional thermal snowmelt model (SNTHERM89). SNTHERM89 was forced by hourly meteorological data from the Greenland Climate Network (GC-Net) at reference sites spanning dry snow, percolation, and wet snow zones in the Jakobshavn drainage basin in western GIS. Melt magnitude or effective melt (E-melt) was derived for satellite composite periods covering May, June, and July displaying low fractions (0-1%) at elevations greater than 2500m and fractions at or greater than 15% at elevations lower than 1000m assessed for only the upper 5 cm of the snow surface. Validation of E-melt involved comparison of intensity to dry and wet zones determined from QSCAT backscatter. Higher intensities (> 8%) were distributed in wet snow zones, while lower intensities were grouped in dry zones at a first order accuracy of ∼ ±2%. PMID:27873793

  19. Reward magnitude, but not time of day, influences the trial-spacing effect in autoshaping with rats.

    PubMed

    Thomas, B; Huneycutt, D; Papini, M R

    1998-12-01

    The arousal hypothesis of the trial-spacing effect suggests that spaced-trial training increases emotional arousal and thus invigorates Pavlovian behavior, relative to massed-trial conditions. Emotional arousal was manipulated by varying reinforcer magnitude during training (either one or five food pellets/trial, across groups). In addition, autoshaping training was administered either in the morning (0900 h) or in the evening (1700 h). Rats were housed in an enclosed colony room and exposed to a regular light:dark cycle (light from 0700 to 1900 h). Available evidence indicates that reinforcer magnitude and time of day are related to arousal levels. As expected, a larger reinforcer magnitude led to a highly significant trial spacing effect. Evening training led to a higher response rate than morning training, but the trial-spacing effect was equally strong whether training was administered in the morning or in the evening. These results provide partial support for the arousal hypothesis and are discussed in the context of research on schedule-induced behavior.

  20. Rapid Ordering in “Wet Brush” Block Copolymer/Homopolymer Ternary Blends

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Doerk, Gregory S.; Yager, Kevin G.

    The ubiquitous presence of thermodynamically unfavored but kinetically trapped topological defects in nanopatterns formed via self-assembly of block copolymer thin films may prevent their use for many envisioned applications. Here, we demonstrate that lamellae patterns formed by symmetric polystyrene-block-poly(methyl methacrylate) diblock copolymers self-assemble and order extremely rapidly when the diblock copolymers are blended with low molecular weight homopolymers of the constituent blocks. Being in the “wet brush” regime, the homopolymers uniformly distribute within their respective self-assembled microdomains, preventing increases in domain widths. An order-of-magnitude increase in topological grain size in blends over the neat (unblended) diblock copolymer is achieved withinmore » minutes of thermal annealing as a result of the significantly higher power law exponent for ordering kinetics in the blends. Moreover, the blends are demonstrated to be capable of rapid and robust domain alignment within micrometer-scale trenches, in contrast to the corresponding neat diblock copolymer. Furthermore, these results can be attributed to the lowering of energy barriers associated with domain boundaries by bringing the system closer to an order–disorder transition through low molecular weight homopolymer blending.« less

  1. Rapid Ordering in “Wet Brush” Block Copolymer/Homopolymer Ternary Blends

    DOE PAGES

    Doerk, Gregory S.; Yager, Kevin G.

    2017-12-01

    The ubiquitous presence of thermodynamically unfavored but kinetically trapped topological defects in nanopatterns formed via self-assembly of block copolymer thin films may prevent their use for many envisioned applications. Here, we demonstrate that lamellae patterns formed by symmetric polystyrene-block-poly(methyl methacrylate) diblock copolymers self-assemble and order extremely rapidly when the diblock copolymers are blended with low molecular weight homopolymers of the constituent blocks. Being in the “wet brush” regime, the homopolymers uniformly distribute within their respective self-assembled microdomains, preventing increases in domain widths. An order-of-magnitude increase in topological grain size in blends over the neat (unblended) diblock copolymer is achieved withinmore » minutes of thermal annealing as a result of the significantly higher power law exponent for ordering kinetics in the blends. Moreover, the blends are demonstrated to be capable of rapid and robust domain alignment within micrometer-scale trenches, in contrast to the corresponding neat diblock copolymer. Furthermore, these results can be attributed to the lowering of energy barriers associated with domain boundaries by bringing the system closer to an order–disorder transition through low molecular weight homopolymer blending.« less

  2. Calibration of Al/Si order variations in anorthite

    NASA Astrophysics Data System (ADS)

    Carpenter, M. A.; Angel, R. J.; Finger, L. W.

    1990-07-01

    New single crystal diffraction data for natural and heat-treated anorthite crystals (Angel et al. 1990) allow the determination of their states of Al/Si order in terms of a macroscopic order parameter, Q OD , for the MediaObjects/410_2005_BF01575624_f1.tif transition. Numerical values of Q OD obtained from estimates of site occupancies are shown to vary with the scalar spontaneous strain, ɛ s , as ɛ s ∝ Q {/OD 2}, and with the ratio of the sums of type b (superlattice) reflections and type a (sublattice) reflections as ΣI b/ ΣI a ∝ Q {/OD 2}. An empirical calibration for pure anorthite is obtained givingQ_{OD} = 10.1left( 5 right)sqrt {\\varepsilon _s } varies between ˜ 0.92 and ˜ 0.87 in samples equilibrated at T≤1300° C, but then falls off relatively rapidly with increasing temperature, reaching ˜ 0.7 near the melting point (˜ 1557° C). The observed temperature dependence does not conform to the predictions of the simplest single order parameter models; coupling of Q OD with Q of the MediaObjects/410_2005_BF01575624_f2.tif transition is suspeeted.

  3. Ge auto-doping and out-diffusion in InGaP grown on Ge substrate and their effects on the ordering of InGaP

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Wu, Hong-Ming; Ho, Hao-I; Tsai, Shi-Jane

    2016-03-21

    We report on the Ge auto-doping and out-diffusion in InGaP epilayer with Cu-Pt ordering grown on 4-in. Ge substrate. Ge profiles determined from secondary ion mass spectrometry indicate that the Ge out-diffusion depth is within 100 nm. However, the edge of the wafer suffers from stronger Ge gas-phase auto-doping than the center, leading to ordering deterioration in the InGaP epilayer. In the edge, we observed a residual Cu-Pt ordering layer left beneath the surface, suggesting that the ordering deterioration takes place after the deposition rather than during the deposition and In/Ga inter-diffusion enhanced by Ge vapor-phase auto-doping is responsible for themore » deterioration. We thus propose a di-vacancy diffusion model, in which the amphoteric Ge increases the di-vacancy density, resulting in a Ge density dependent diffusion. In the model, the In/Ga inter-diffusion and Ge out-diffusion are realized by the random hopping of In/Ga host atoms and Ge atoms to di-vacancies, respectively. Simulation based on this model well fits the Ge out-diffusion profiles, suggesting its validity. By comparing the Ge diffusion coefficient obtained from the fitting and the characteristic time constant of ordering deterioration estimated from the residual ordering layer, we found that the hopping rates of Ge and the host atoms are in the same order of magnitude, indicating that di-vacancies are bound in the vicinity of Ge atoms.« less

  4. Contribution of jaw muscle size and craniofacial morphology to human bite force magnitude.

    PubMed

    Raadsheer, M C; van Eijden, T M; van Ginkel, F C; Prahl-Andersen, B

    1999-01-01

    The existence of an interaction among bite force magnitude, jaw muscle size (e.g., cross-sectional area, thickness), and craniofacial morphology is widely accepted. Bite force magnitude depends on the size of the jaw muscles and the lever arm lengths of bite force and muscle forces, which in turn are dictated by craniofacial morphology. In this study, the relative contributions of craniofacial morphology and jaw muscle thickness to the bite force magnitude were studied. In 121 adult individuals, both magnitude and direction of the maximal voluntary bite force were registered. Craniofacial dimensions were measured by anthropometrics and from lateral radiographs. The thicknesses of the masseter, temporal, and digastric muscles were registered by ultrasonography. After a factor analysis was applied to the anthropometric and cephalometric dimensions, the correlation between bite force magnitude, on the one hand, and the "craniofacial factors" and jaw muscle thicknesses, on the other, was assessed by stepwise multiple regression. Fifty-eight percent of the bite force variance could be explained. From the jaw muscles, only the thickness of the masseter muscle correlated significantly with bite force magnitude. Bite force magnitude also correlated significantly positively with vertical and transverse facial dimensions and the inclination of the midface, and significantly negatively with mandibular inclination and occlusal plane inclination. The contribution of the masseter muscle to the variation in bite force magnitude was higher than that of the craniofacial factors.

  5. Effect of third-order aberrations on dynamic accommodation.

    PubMed

    López-Gil, Norberto; Rucker, Frances J; Stark, Lawrence R; Badar, Mustanser; Borgovan, Theodore; Burke, Sean; Kruger, Philip B

    2007-03-01

    We investigate the potential for the third-order aberrations coma and trefoil to provide a signed cue to accommodation. It is first demonstrated theoretically (with some assumptions) that the point spread function is insensitive to the sign of spherical defocus in the presence of odd-order aberrations. In an experimental investigation, the accommodation response to a sinusoidal change in vergence (1-3D, 0.2Hz) of a monochromatic stimulus was obtained with a dynamic infrared optometer. Measurements were obtained in 10 young visually normal individuals with and without custom contact lenses that induced low and high values of r.m.s. trefoil (0.25, 1.03 microm) and coma (0.34, 0.94 microm). Despite variation between subjects, we did not find any statistically significant increase or decrease in the accommodative gain for low levels of trefoil and coma, although effects approached or reached significance for the high levels of trefoil and coma. Theoretical and experimental results indicate that the presence of Zernike third-order aberrations on the eye does not seem to play a crucial role in the dynamics of the accommodation response.

  6. Color-magnitude relations in nearby galaxy clusters

    NASA Astrophysics Data System (ADS)

    Rasheed, Mariwan A.; Mohammad, Khalid K.

    2018-06-01

    The rest-frame (g-r) /Mr color-magnitude relations of 12 Abell-type clusters are analyzed in the redshift range (0.02≲ z ≲ 0.10) and within a projected radius of 0.75 Mpc using photometric data from SDSS-DR9. We show that the color-magnitude relation parameters (slope, zero-point, and scatter) do not exhibit significant evolution within this low-redshift range. Thus, we can say that during the look-back time of z ˜ 0.1 all red sequence galaxies evolve passively, without any star formation activity.

  7. Long-Range Order in Nanocrystal Assemblies Determines Charge Transport of Films

    DOE PAGES

    Sainato, Michela; Shevitski, Brian; Sahu, Ayaskanta; ...

    2017-07-18

    Self-assembly of semiconductor nanocrystals (NCs) into two-dimensional patterns or three-dimensional (2- 3D) superstructures has emerged as a promising low-cost route to generate thin-film transistors and solar cells with superior charge transport because of enhanced electronic coupling between the NCs. Here, we show that lead sulfide (PbS) NCs solids featuring either short-range (disordered glassy solids, GSs) or long-range (superlattices, SLs) packing order are obtained solely by controlling deposition conditions of colloidal solution of NCs. In this study, we demonstrate the use of the evaporation-driven self-assembly method results in PbS NC SL structures that are observed over an area of 1 mmmore » × 100 μm, with long-range translational order of up to 100 nm. A number of ordered domains appear to have nucleated simultaneously and grown together over the whole area, imparting a polycrystalline texture to the 3D SL films. By contrast, a conventional, optimized spin-coating deposition method results in PbS NC glassy films with no translational symmetry and much shorter-range packing order in agreement with state-of-the-art reports. Further, we investigate the electronic properties of both SL and GS films, using a field-effect transistor configuration as a test platform. The long-range ordering of the PbS NCs into SLs leads to semiconducting NC-based solids, the mobility (μ) of which is 3 orders of magnitude higher than that of the disordered GSs. Furthemore, although spin-cast GSs of PbS NCs have weak ambipolar behavior with limited gate tunability, SLs of PbS NCs show a clear p-type behavior with significantly higher conductivities.« less

  8. The role of order in distributed programs

    NASA Technical Reports Server (NTRS)

    Birman, Kenneth P.; Marzullo, Keith

    1989-01-01

    The role of order in building distributed systems is discussed. It is the belief that a principle of event ordering underlies the wide range of operating systems mechanisms that were put forward for building robust distributed software. Stated concisely, this principle achieves correct distributed behavior by ordering classes of distributed events that conflict with one another. By focusing on order, simplified descriptions can be obtained and convincingly correct solutions to problems that might otherwise have looked extremely complex. Moreover, it is observed that there are a limited number of ways to obtain order, and that the choice made impacts greatly on performance.

  9. Determining Timing and Magnitude of Dietary Shifts in Black Guillemots (Cepphus grylle) Using Stable Isotope Analysis of Flight Feathers

    NASA Astrophysics Data System (ADS)

    Kleese, M. C.; Boswell, K. M.; Divoky, G.; Barton, M. B.

    2016-02-01

    Recent decreases in Artic summer sea and increases in SST have caused changes in the marine ecosystems associated with ice-covered waters. A four-decade study of Black Guillemots (Cepphus grylle) on Cooper Island near Point Barrow, AK has shown that nestling quality and survival is linked to proximity to sea ice and SST. In recent years when sea ice retreats from the foraging area and SST increases to >4°C during the nestling period, parent guillemots have switched from their preferred prey, Arctic cod (Boreogadus saida), to less desirable fourhorn sculpin (Myoxocephalus quadricornis). The guillemots' shift from a cryopelagic fish to a nearshore demersal is hard to monitor through direct observation and we suggest a new method to assess the timing and magnitude of this dietary shift using stable isotope analysis of nestling flight feathers. Flight feathers (primaries, secondaries and tail feathers) provide a linear record of material incorporated into the body of the chick from the start of feather growth to fledging, a period of approximately 30 days. Arctic cod and fourhorn sculpin have distinctive diets and are reliant on different basal resources and should produce distinct isotopic signatures in guillemot tissues. We extracted vane tissues from sections of 30 black guillemot feathers grown in a breeding season that experienced an observed prey shift, and conducted stable carbon and nitrogen isotope analyses to determine whether such analyses could be used to assess the dietary shift linked with loss of sea ice and increasing SST. Most seabird populations are not as easily accessible as the guillemots of Cooper Island and thus observations of dietary composition are difficult to obtain. Development of a technique using nestling feathers to examine timing and magnitude of seasonal shifts in prey would preclude the need for daily observations and have great utility for monitoring the ecological effects of the continuing annual decrease in Arctic summer ice.

  10. Representations of numerical and non-numerical magnitude both contribute to mathematical competence in children.

    PubMed

    Lourenco, Stella F; Bonny, Justin W

    2017-07-01

    A growing body of evidence suggests that non-symbolic representations of number, which humans share with nonhuman animals, are functionally related to uniquely human mathematical thought. Other research suggesting that numerical and non-numerical magnitudes not only share analog format but also form part of a general magnitude system raises questions about whether the non-symbolic basis of mathematical thinking is unique to numerical magnitude. Here we examined this issue in 5- and 6-year-old children using comparison tasks of non-symbolic number arrays and cumulative area as well as standardized tests of math competence. One set of findings revealed that scores on both magnitude comparison tasks were modulated by ratio, consistent with shared analog format. Moreover, scores on these tasks were moderately correlated, suggesting overlap in the precision of numerical and non-numerical magnitudes, as expected under a general magnitude system. Another set of findings revealed that the precision of both types of magnitude contributed shared and unique variance to the same math measures (e.g. calculation and geometry), after accounting for age and verbal competence. These findings argue against an exclusive role for non-symbolic number in supporting early mathematical understanding. Moreover, they suggest that mathematical understanding may be rooted in a general system of magnitude representation that is not specific to numerical magnitude but that also encompasses non-numerical magnitude. © 2016 John Wiley & Sons Ltd.

  11. Decision Support Alerts for Medication Ordering in a Computerized Provider Order Entry (CPOE) System

    PubMed Central

    Beccaro, M. A. Del; Villanueva, R.; Knudson, K. M.; Harvey, E. M.; Langle, J. M.; Paul, W.

    2010-01-01

    Objective We sought to determine the frequency and type of decision support alerts by location and ordering provider role during Computerized Provider Order Entry (CPOE) medication ordering. Using these data we adjusted the decision support tools to reduce the number of alerts. Design Retrospective analyses were performed of dose range checks (DRC), drug-drug interaction and drug-allergy alerts from our electronic medical record. During seven sampling periods (each two weeks long) between April 2006 and October 2008 all alerts in these categories were analyzed. Another audit was performed of all DRC alerts by ordering provider role from November 2008 through January 2009. Medication ordering error counts were obtained from a voluntary error reporting system. Measurement/Results Between April 2006 and October 2008 the percent of medication orders that triggered a dose range alert decreased from 23.9% to 7.4%. The relative risk (RR) for getting an alert was higher at the start of the interventions versus later (RR= 2.40, 95% CI 2.28-2.52; p< 0.0001). The percentage of medication orders that triggered alerts for drug-drug interactions also decreased from 13.5% to 4.8%. The RR for getting a drug interaction alert at the start was 1.63, 95% CI 1.60-1.66; p< 0.0001. Alerts decreased in all clinical areas without an increase in reported medication errors. Conclusion We reduced the quantity of decision support alerts in CPOE using a systematic approach without an increase in reported medication errors PMID:23616845

  12. Present-day stress magnitude at depth from leak-off tests in Italy

    NASA Astrophysics Data System (ADS)

    Mariucci, M. T.; Montone, P.; Pierdominici, S.

    2012-04-01

    We present new results from the analysis of leak-off tests, performed in deep oil wells in Italy, to characterize the present-day stress magnitude and regime in the crust. In the last years we have collected a large number of data (more than 500) from different stress indicators, mainly borehole breakouts, earthquake focal mechanisms and fault data, which provided information on the present-day stress orientations. In some areas the tectonic regime has been inferred either from fault plane solutions of M≥4 earthquakes or from stress inversions of smaller earthquakes. Where seismicity lacks, the regime is not well constrained and little or no information on the magnitude of the crustal stresses is available. In order to improve our knowledge in stress regime and its magnitude in Italy, in this work we use the leak-off test technique. Each test is performed at the bottom of an open hole by sealing off a section and then slowly pressurizing with a fluid until hydraulic tensile fractures develop. The minimum horizontal stress is inferred by leak-off pressure record, the vertical stress is computed by rock density data and the maximum horizontal stress is estimated applying a specific formula from the literature. Thanks to ENI S.p.A. (Italian oil company), that kindly provided new well data, we have been able to perform a critical review of our preliminary calculations and to enhance our previous results concerning stress magnitudes. Totally, we have analyzed 192 leak-off tests at depth between 200 and 5400m (average 1800m). In particular, wells are located along the Italian peninsula and in Sicily: most of them are in the Po Plain and along the Apenninic foredeep; few are in southern Apenninic belt and a few tens are in Sicily. After an accurate selection of the most robust results, we better characterize the Italian stress regime at depth.

  13. 38 CFR 21.5725 - Obtaining benefits.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 38 Pensions, Bonuses, and Veterans' Relief 2 2010-07-01 2010-07-01 false Obtaining benefits. 21... benefits. (a) Actions required of the individual. In order to obtain benefits under the educational assistance and subsistence allowance program, an individual must— (1) File a claim for benefits with VA, and...

  14. 38 CFR 21.5725 - Obtaining benefits.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 38 Pensions, Bonuses, and Veterans' Relief 2 2013-07-01 2013-07-01 false Obtaining benefits. 21... benefits. (a) Actions required of the individual. In order to obtain benefits under the educational assistance and subsistence allowance program, an individual must— (1) File a claim for benefits with VA, and...

  15. 38 CFR 21.5725 - Obtaining benefits.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 38 Pensions, Bonuses, and Veterans' Relief 2 2014-07-01 2014-07-01 false Obtaining benefits. 21... benefits. (a) Actions required of the individual. In order to obtain benefits under the educational assistance and subsistence allowance program, an individual must— (1) File a claim for benefits with VA, and...

  16. 38 CFR 21.5725 - Obtaining benefits.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 38 Pensions, Bonuses, and Veterans' Relief 2 2011-07-01 2011-07-01 false Obtaining benefits. 21... benefits. (a) Actions required of the individual. In order to obtain benefits under the educational assistance and subsistence allowance program, an individual must— (1) File a claim for benefits with VA, and...

  17. 38 CFR 21.5725 - Obtaining benefits.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 38 Pensions, Bonuses, and Veterans' Relief 2 2012-07-01 2012-07-01 false Obtaining benefits. 21... benefits. (a) Actions required of the individual. In order to obtain benefits under the educational assistance and subsistence allowance program, an individual must— (1) File a claim for benefits with VA, and...

  18. Magnitude of crustal shortening and structural framework of the easternmost Himalayan orogen, northern Indo-Burma Ranges of northeastern India

    NASA Astrophysics Data System (ADS)

    Haproff, P. J.; Yin, A.

    2016-12-01

    Along-strike variation in crustal shortening throughout the Himalayan orogen has been attributed to (1) diachronous, eastward-increasing convergence, or (2) localized controls including pre-collisional stratigraphic configuration and climate. In this study, we present new geologic maps and balanced cross-sections across the easternmost segment of the Himalayan orogen, the N-S-trending N. Indo-Burma Ranges of northeastern India. First order structures are NE-dipping, km-wide ductile thrust shear zones with mylonitic fabrics indicating top-to-the SW motion. Major structures include the Mayodia klippe and Hunli window, generated during folding of the SW-directed Tidding thrust and duplexing of Lesser Himalayan rocks (LHS) at depth. Reconstruction of two balanced cross-sections yields minimum shortening estimates of 70% (48 km) and 71% (133 km), respectively. The widths of the orogen for each transect are 21 km and 54 km, respectively. Our percent strain values are comparable to that of western Arunachal Himalaya, reflecting eastward-increasing strain due to counterclockwise rotation of India during convergence or along-strike variation in India's subduction angle. However, shortening magnitudes much less than that of the Sikkim (641 km), Bhutan (414-615 km), and western Arunachal Himalaya (515-775 km) could signal eastward increasing shortening of a unique Himalayan stratigraphic framework, evidenced by few GHC rocks, absence of Tethyan strata, and an extensive subduction mélange and forearc complex.

  19. Effects of increased gravity force on nutations of sunflower hypocotyls

    NASA Technical Reports Server (NTRS)

    Brown, A. H.; Chapman, D. K.

    1977-01-01

    A centrifuge was used to provide sustained acceleration in order to study the hypocotyl nutation of 6-day-old Helianthus annuus L. over a range of g-forces, up to 20 times normal g. At the upper end of this g-range, nutation was impeded and at times was erratic evidently because the weight of the cotyledons exceeded the supportive abilities of the hypocotyls. Over the range 1 to 9 g, the period of nutation was independent of the resultant force vector. Over the same g-range, the amplitude of nutation was nearly independent of the chronic g-force. If nutation in sunflower seedlings is an oscillation caused by a succession of geotropic responses which continue to overshoot the equilibrium position (plumb line), its amplitude might be expected to be more sensitive to changes in magnitude of the sustained g-force. In order to preserve the geotropic model, in which nutation is considered to be a sustained oscillation driven by geotropic reactions, it is necessary to assume that geotropic response must increase with increasing g most rapidly in the region of the g-parameter below the terrestrial value of 1 g.

  20. Prevalence and magnitude of groundwater use by vegetation: a global stable isotope meta-analysis

    PubMed Central

    Evaristo, Jaivime; McDonnell, Jeffrey J.

    2017-01-01

    The role of groundwater as a resource in sustaining terrestrial vegetation is widely recognized. But the global prevalence and magnitude of groundwater use by vegetation is unknown. Here we perform a meta-analysis of plant xylem water stable isotope (δ2H and δ18O, n = 7367) information from 138 published papers – representing 251 genera, and 414 species of angiosperms (n = 376) and gymnosperms (n = 38). We show that the prevalence of groundwater use by vegetation (defined as the number of samples out of a universe of plant samples reported to have groundwater contribution to xylem water) is 37% (95% confidence interval, 28–46%). This is across 162 sites and 12 terrestrial biomes (89% of heterogeneity explained; Q-value = 1235; P < 0.0001). However, the magnitude of groundwater source contribution to the xylem water mixture (defined as the proportion of groundwater contribution in xylem water) is limited to 23% (95% CI, 20–26%; 95% prediction interval, 3–77%). Spatial analysis shows that the magnitude of groundwater source contribution increases with aridity. Our results suggest that while groundwater influence is globally prevalent, its proportional contribution to the total terrestrial transpiration is limited. PMID:28281644

  1. Magnitude and frequency of floods in western Oregon

    USGS Publications Warehouse

    Harris, David Dell; Hubbard, Larry L.; Hubbard, Lawrence E.

    1979-01-01

    A method for estimating the magnitude and frequency of floods is presented for unregulated streams in western Oregon. Equations relating flood magnitude to basin characteristics were developed for exceedance probabilities of 0.5 to 0.01 (2- to 100-year recurrence intervals). Separate equations are presented for four regions: Coast, Willamette, Rogue-Umpqua, and High Cascades. Also presented are values of flood discharges for selected exceedance probabilities and of basin characteristics for all gaging stations used in the analysis. Included are data for 230 stations in Oregon, 6 stations in southwestern Washington, and 3 stations in northwestern California. Drainage areas used in the analysis range from 0.21 to 7,280 square miles. Also included are maximum discharges for all western Oregon stations used in the analysis. (Woodard-USGS)

  2. Magnitude Scaling of the early displacement for the 2007, Mw 7.8 Tocopilla sequence (Chile)

    NASA Astrophysics Data System (ADS)

    Lancieri, M.; Fuenzalida, A.; Ruiz, S.; Madariaga, R. I.

    2009-12-01

    .5, but rather a slope change in the regression curve. To explain the causative link between the PD and the final magnitude, it has been argued that an earthquake fracture that initiates with a higher flow rate of the elastic energy has an increased probability of propagating to longer distances. As consequence, the stress drop and/or active slip surface have to scale with seismic moment in the initial stage of seismic ruptures. To test this hypothesis, we investigated the correlation between radiated energy (E), corner frequency (fc) and seismic moment (M0). A first analysis performed on the entire S-phase confirms that M0 is proportional to fc^3; the apparent stress drop does not depend from M0 and that the E and M0 scale with a slope of 1.5. Therefore it appears to be no clear violation of the self-similarity. The same relationships will be investigated on signal windows of 2 sec of P- and 2 sec S-wave, used for early warning.

  3. Automated Determination of Magnitude and Source Length of Large Earthquakes

    NASA Astrophysics Data System (ADS)

    Wang, D.; Kawakatsu, H.; Zhuang, J.; Mori, J. J.; Maeda, T.; Tsuruoka, H.; Zhao, X.

    2017-12-01

    Rapid determination of earthquake magnitude is of importance for estimating shaking damages, and tsunami hazards. However, due to the complexity of source process, accurately estimating magnitude for great earthquakes in minutes after origin time is still a challenge. Mw is an accurate estimate for large earthquakes. However, calculating Mw requires the whole wave trains including P, S, and surface phases, which takes tens of minutes to reach stations at tele-seismic distances. To speed up the calculation, methods using W phase and body wave are developed for fast estimating earthquake sizes. Besides these methods that involve Green's Functions and inversions, there are other approaches that use empirically simulated relations to estimate earthquake magnitudes, usually for large earthquakes. The nature of simple implementation and straightforward calculation made these approaches widely applied at many institutions such as the Pacific Tsunami Warning Center, the Japan Meteorological Agency, and the USGS. Here we developed an approach that was originated from Hara [2007], estimating magnitude by considering P-wave displacement and source duration. We introduced a back-projection technique [Wang et al., 2016] instead to estimate source duration using array data from a high-sensitive seismograph network (Hi-net). The introduction of back-projection improves the method in two ways. Firstly, the source duration could be accurately determined by seismic array. Secondly, the results can be more rapidly calculated, and data derived from farther stations are not required. We purpose to develop an automated system for determining fast and reliable source information of large shallow seismic events based on real time data of a dense regional array and global data, for earthquakes that occur at distance of roughly 30°- 85° from the array center. This system can offer fast and robust estimates of magnitudes and rupture extensions of large earthquakes in 6 to 13 min (plus

  4. Automated Determination of Magnitude and Source Extent of Large Earthquakes

    NASA Astrophysics Data System (ADS)

    Wang, Dun

    2017-04-01

    Rapid determination of earthquake magnitude is of importance for estimating shaking damages, and tsunami hazards. However, due to the complexity of source process, accurately estimating magnitude for great earthquakes in minutes after origin time is still a challenge. Mw is an accurate estimate for large earthquakes. However, calculating Mw requires the whole wave trains including P, S, and surface phases, which takes tens of minutes to reach stations at tele-seismic distances. To speed up the calculation, methods using W phase and body wave are developed for fast estimating earthquake sizes. Besides these methods that involve Green's Functions and inversions, there are other approaches that use empirically simulated relations to estimate earthquake magnitudes, usually for large earthquakes. The nature of simple implementation and straightforward calculation made these approaches widely applied at many institutions such as the Pacific Tsunami Warning Center, the Japan Meteorological Agency, and the USGS. Here we developed an approach that was originated from Hara [2007], estimating magnitude by considering P-wave displacement and source duration. We introduced a back-projection technique [Wang et al., 2016] instead to estimate source duration using array data from a high-sensitive seismograph network (Hi-net). The introduction of back-projection improves the method in two ways. Firstly, the source duration could be accurately determined by seismic array. Secondly, the results can be more rapidly calculated, and data derived from farther stations are not required. We purpose to develop an automated system for determining fast and reliable source information of large shallow seismic events based on real time data of a dense regional array and global data, for earthquakes that occur at distance of roughly 30°- 85° from the array center. This system can offer fast and robust estimates of magnitudes and rupture extensions of large earthquakes in 6 to 13 min (plus

  5. Watershed erosion estimated from a high-resolution sediment core reveals a non-stationary frequency-magnitude relationship and importance of seasonal climate drivers

    NASA Astrophysics Data System (ADS)

    Gavin, D. G.; Colombaroli, D.; Morey, A. E.

    2015-12-01

    The inclusion of paleo-flood events greatly affects estimates of peak magnitudes (e.g., Q100) in flood-frequency analysis. Likewise, peak events also are associated with certain synoptic climatic patterns that vary on all time scales. Geologic records preserved in lake sediments have the potential to capture the non-stationarity in frequency-magnitude relationships, but few such records preserve a continuous history of event magnitudes. We present a 10-meter 2000-yr record from Upper Squaw Lake, Oregon, that contains finely laminated silt layers that reflect landscape erosion events from the 40 km2 watershed. CT-scans of the core (<1 mm resolution) and a 14C-dated chronology yielded a pseudo-annual time series of erosion magnitudes. The most recent 80 years of the record correlates strongly with annual peak stream discharge and road construction. We examined the frequency-magnitude relationship for the entire pre-road period and show that the seven largest events fall above a strongly linear relationship, suggesting a distinct process (e.g., severe fires or earthquakes) operating at low-frequency to generate large-magnitude events. Expressing the record as cumulative sediment accumulation anomalies showed the importance of the large events in "returning the system" to the long-term mean rate. Applying frequency-magnitude analysis in a moving window showed that the Q100 and Q10 of watershed erosion varied by 1.7 and 1.0 orders of magnitude, respectively. The variations in watershed erosion are weakly correlated with temperature and precipitation reconstructions at the decadal to centennial scale. This suggests that dynamics both internal (i.e., sediment production) and external (i.e., earthquakes) to the system, as well as more stochastic events (i.e., single severe wildfires) can at least partially over-ride external climate forcing of watershed erosion at decadal to centennial time scales.

  6. An analysis of the magnitude and frequency of floods on Oahu, Hawaii

    USGS Publications Warehouse

    Nakahara, R.H.

    1980-01-01

    An analysis of available peak-flow data for the island of Oahu, Hawaii, was made by using multiple regression techniques which related flood-frequency data to basin and climatic characteristics for 74 gaging stations on Oahu. In the analysis, several different groupings of stations were investigated, including divisions by geographic location and size of drainage area. The grouping consisting of two leeward divisions and one windward division produced the best results. Drainage basins ranged in area from 0.03 to 45.7 square miles. Equations relating flood magnitudes of selected frequencies to basin characteristics were developed for the three divisions of Oahu. These equations can be used to estimate the magnitude and frequency of floods for any site, gaged or ungaged, for any desired recurrence interval from 2 to 100 years. Data on basin characteristics, flood magnitudes for various recurrence intervals from individual station-frequency curves, and computed flood magnitudes by use of the regression equation are tabulated to provide the needed data. (USGS)

  7. Immorally obtained principal increases investors' risk preference.

    PubMed

    Chen, Chuqian; Chen, Jiaxin; He, Guibing

    2017-01-01

    Capital derived from immoral sources is increasingly circulated in today's financial markets. The moral associations of capital are important, although their impact on investment remains unknown. This research aims to explore the influence of principal source morality on investors' risk preferences. Three studies were conducted in this regard. Study 1 finds that investors are more risk-seeking when their principal is earned immorally (through lying), whereas their risk preferences do not change when they invest money earned from neutral sources after engaging in immoral behavior. Study 2 reveals that guilt fully mediates the relationship between principal source morality and investors' risk preferences. Studies 3a and 3b introduce a new immoral principal source and a new manipulation method to improve external validity. Guilt is shown to the decrease the subjective value of morally flawed principal, leading to higher risk preference. The findings show the influence of morality-related features of principal on people's investment behavior and further support mental account theory. The results also predict the potential threats of "grey principal" to market stability.

  8. Immorally obtained principal increases investors’ risk preference

    PubMed Central

    Chen, Jiaxin; He, Guibing

    2017-01-01

    Capital derived from immoral sources is increasingly circulated in today’s financial markets. The moral associations of capital are important, although their impact on investment remains unknown. This research aims to explore the influence of principal source morality on investors’ risk preferences. Three studies were conducted in this regard. Study 1 finds that investors are more risk-seeking when their principal is earned immorally (through lying), whereas their risk preferences do not change when they invest money earned from neutral sources after engaging in immoral behavior. Study 2 reveals that guilt fully mediates the relationship between principal source morality and investors’ risk preferences. Studies 3a and 3b introduce a new immoral principal source and a new manipulation method to improve external validity. Guilt is shown to the decrease the subjective value of morally flawed principal, leading to higher risk preference. The findings show the influence of morality-related features of principal on people’s investment behavior and further support mental account theory. The results also predict the potential threats of “grey principal” to market stability. PMID:28369117

  9. Mass culture of photobacteria to obtain luciferase

    NASA Technical Reports Server (NTRS)

    Chappelle, E. W.; Picciolo, G. L.; Rich, E., Jr.

    1969-01-01

    Inoculating preheated trays containing nutrient agar with photobacteria provides a means for mass culture of aerobic microorganisms in order to obtain large quantities of luciferase. To determine optimum harvest time, growth can be monitored by automated light-detection instrumentation.

  10. Dynamic evolution characteristics of a fractional order hydropower station system

    NASA Astrophysics Data System (ADS)

    Gao, Xiang; Chen, Diyi; Yan, Donglin; Xu, Beibei; Wang, Xiangyu

    2018-01-01

    This paper investigates the dynamic evolution characteristics of the hydropower station by introducing the fractional order damping forces. A careful analysis of the dynamic characteristics of the generator shaft system is carried out under different values of fractional order. It turns out the vibration state of the axis coordinates has a certain evolution law with the increase of the fractional order. Significantly, the obtained law exists in the horizontal evolution and vertical evolution of the dynamical behaviors. Meanwhile, some interesting dynamical phenomena were found in this process. The outcomes of this study enrich the nonlinear dynamic theory from the engineering practice of hydropower stations.

  11. Extended Pausing by Humans on Multiple Fixed-Ratio Schedules with Varied Reinforcer Magnitude and Response Requirements

    PubMed Central

    Williams, Dean C; Saunders, Kathryn J; Perone, Michael

    2011-01-01

    We conducted three experiments to reproduce and extend Perone and Courtney's (1992) study of pausing at the beginning of fixed-ratio schedules. In a multiple schedule with unequal amounts of food across two components, they found that pigeons paused longest in the component associated with the smaller amount of food (the lean component), but only when it was preceded by the rich component. In our studies, adults with mild intellectual disabilities responded on a touch-sensitive computer monitor to produce money. In Experiment 1, the multiple-schedule components differed in both response requirement and reinforcer magnitude (i.e., the rich component required fewer responses and produced more money than the lean component). Effects shown with pigeons were reproduced in all 7 participants. In Experiment 2, we removed the stimuli that signaled the two schedule components, and participants' extended pausing was eliminated. In Experiment 3, to assess sensitivity to reinforcer magnitude versus fixed-ratio size, we presented conditions with equal ratio sizes but disparate magnitudes and conditions with equal magnitudes but disparate ratio sizes. Sensitivity to these manipulations was idiosyncratic. The present experiments obtained schedule control in verbally competent human participants and, despite procedural differences, we reproduced findings with animal participants. We showed that pausing is jointly determined by past conditions of reinforcement and stimuli correlated with upcoming conditions. PMID:21541121

  12. The Distribution and Magnitude of Glacial Erosion on 103-year Timescales at Engabreen, Norway

    NASA Astrophysics Data System (ADS)

    Rand, C.; Goehring, B. M.

    2017-12-01

    We derive the magnitudes of glacial erosion integrated over 103-year timescales across a transect transverse to the direction of ice flow at Engabreen, Norway. Understanding the distribution of glacial erosion is important for several reasons, including sediment budgeting to fjord environments, development of robust landscape evolution models, and if a better understanding between erosion and ice-bed interface properties (e.g., sliding rate, basal water pressure) can be developed, we can use records of glacial erosion to infer glaciological properties that can ultimately benefit models of past and future glaciers. With few exceptions, measurements of glacial erosion are limited to the historical past and even then are rare owing to the difficulty of accessing the glacier bed. One method proven useful in estimating glacial erosion on 103-year timescales is to measure the remaining concentrations of cosmogenic nuclides that accumulate in exposed bedrock during periods of retracted glacier extent and are removed by glacial erosion and radioactive decay during ice cover. Here we will present measurements of 14C and 10Be measured in proglacial bedrock from Engabreen. Our transects are ca. 600 and 400 meters in front of the modern ice front, and based on historical imagery, was ice covered until the recent past. Initial 10Be results show an increase in concentrations of nearly an order of magnitude from the samples near the center of the glacial trough to those on the lateral margin, consistent with conceptual models of glacial erosion parameterized in terms of sliding velocity. Naïve exposure ages that assume no subglacial erosion range from 0.22 - 9.04 ka. More importantly, we can estimate erosion depths by assuming zero erosion of the highest concentration sample along the two transects and calculate the amount of material removed to yield the lower concentrations elsewhere along the two transects. Results indicate minimum erosion depths of 1-183 cm for most ice

  13. Error Patterns in Ordering Fractions among At-Risk Fourth-Grade Students

    PubMed Central

    Malone, Amelia S.; Fuchs, Lynn S.

    2016-01-01

    The 3 purposes of this study were to: (a) describe fraction ordering errors among at-risk 4th-grade students; (b) assess the effect of part-whole understanding and accuracy of fraction magnitude estimation on the probability of committing errors; and (c) examine the effect of students' ability to explain comparing problems on the probability of committing errors. Students (n = 227) completed a 9-item ordering test. A high proportion (81%) of problems were completed incorrectly. Most (65% of) errors were due to students misapplying whole number logic to fractions. Fraction-magnitude estimation skill, but not part-whole understanding, significantly predicted the probability of committing this type of error. Implications for practice are discussed. PMID:26966153

  14. The Effects of Numerical Magnitude, Size, and Color Saturation on Perceived Interval Duration

    ERIC Educational Resources Information Center

    Alards-Tomalin, Doug; Leboe-McGowan, Jason P.; Shaw, Joshua D. M.; Leboe-McGowan, Launa C.

    2014-01-01

    The relative magnitude (or intensity) of an event can have direct implications on timing estimation. Previous studies have found that greater magnitude stimuli are often reported as longer in duration than lesser magnitudes, including Arabic digits (Xuan, Zhang, He, & Chen, 2007). One explanation for these findings is that different…

  15. Electric Field Magnitude and Radar Reflectivity as a Function of Distance from Cloud Edge

    NASA Technical Reports Server (NTRS)

    Ward, Jennifer G.; Merceret, Francis J.

    2004-01-01

    The results of analyses of data collected during a field investigation of thunderstorm anvil and debris clouds are reported. Statistics of the magnitude of the electric field are determined as a function of distance from cloud edge. Statistics of radar reflectivity near cloud edge are also determined. Both analyses use in-situ airborne field mill and cloud physics data coupled with ground-based radar measurements obtained in east-central Florida during the summer convective season. Electric fields outside of anvil and debris clouds averaged less than 3 kV/m. The average radar reflectivity at the cloud edge ranged between 0 and 5 dBZ.

  16. Categorizing sources of risk and the estimated magnitude of risk.

    PubMed

    Aragonés, Juan Ignacio; Moyano, Emilio; Talayero, Fernando

    2008-05-01

    The social perception of risk is considered a multidimensional task, yet little attention has been paid to the cognitive components that organize sources of risk, despite their having been discovered in various research studies. This study attempts to concretely analyze the cultural dimension involved in those processes. In the first phase, we tried to discover to what extent sources of risk are organized into the same categories by people from different countries. In order to do so, two groups of participants were formed: 60 Spanish psychology students and 60 Chilean psychology students classified 43 sources of risk into different groups according to the criteria they found appropriate. The two samples classified risk into identical groups: acts of violence, drugs, electricity and home appliances, household chemicals, chemicals in the environment, public construction projects, transportation, sports, and natural disasters. In a second study, 100 Spanish and 84 Chilean students were asked to evaluate the magnitude of the damage incurred by 17 sources of risk. In both groups, it was observed that the evaluation of damage resulting from each source of risk was affected by its category.

  17. 10-fold detection range increase in quadrant-photodiode position sensing for photonic force microscope

    NASA Astrophysics Data System (ADS)

    Perrone, Sandro; Volpe, Giovanni; Petrov, Dmitri

    2008-10-01

    We propose a technique that permits one to increase by one order of magnitude the detection range of position sensing for the photonic force microscope with quadrant photodetectors (QPDs). This technique takes advantage of the unavoidable cross-talk between output signals of the QPD and does not assume that the output signals are linear in the probe displacement. We demonstrate the increase in the detection range from 150 to 1400 nm for a trapped polystyrene sphere with radius of 300 nm as probe.

  18. 10-fold detection range increase in quadrant-photodiode position sensing for photonic force microscope

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Perrone, Sandro; Volpe, Giovanni; Petrov, Dmitri

    2008-10-15

    We propose a technique that permits one to increase by one order of magnitude the detection range of position sensing for the photonic force microscope with quadrant photodetectors (QPDs). This technique takes advantage of the unavoidable cross-talk between output signals of the QPD and does not assume that the output signals are linear in the probe displacement. We demonstrate the increase in the detection range from 150 to 1400 nm for a trapped polystyrene sphere with radius of 300 nm as probe.

  19. 10-fold detection range increase in quadrant-photodiode position sensing for photonic force microscope.

    PubMed

    Perrone, Sandro; Volpe, Giovanni; Petrov, Dmitri

    2008-10-01

    We propose a technique that permits one to increase by one order of magnitude the detection range of position sensing for the photonic force microscope with quadrant photodetectors (QPDs). This technique takes advantage of the unavoidable cross-talk between output signals of the QPD and does not assume that the output signals are linear in the probe displacement. We demonstrate the increase in the detection range from 150 to 1400 nm for a trapped polystyrene sphere with radius of 300 nm as probe.

  20. Osteocyte calcium signals encode strain magnitude and loading frequency in vivo.

    PubMed

    Lewis, Karl J; Frikha-Benayed, Dorra; Louie, Joyce; Stephen, Samuel; Spray, David C; Thi, Mia M; Seref-Ferlengez, Zeynep; Majeska, Robert J; Weinbaum, Sheldon; Schaffler, Mitchell B

    2017-10-31

    Osteocytes are considered to be the major mechanosensory cells of bone, but how osteocytes in vivo process, perceive, and respond to mechanical loading remains poorly understood. Intracellular calcium (Ca 2+ ) signaling resulting from mechanical stimulation has been widely studied in osteocytes in vitro and in bone explants, but has yet to be examined in vivo. This is achieved herein by using a three-point bending device which is capable of delivering well-defined mechanical loads to metatarsal bones of living mice while simultaneously monitoring the intracellular Ca 2+ responses of individual osteocytes by using a genetically encoded fluorescent Ca 2+ indicator. Osteocyte responses are imaged by using multiphoton fluorescence microscopy. We investigated the in vivo responses of osteocytes to strains ranging from 250 to 3,000 [Formula: see text] and frequencies from 0.5 to 2 Hz, which are characteristic of physiological conditions reported for bone. At all loading frequencies examined, the number of responding osteocytes increased strongly with applied strain magnitude. However, Ca 2+ intensity within responding osteocytes did not change significantly with physiological loading magnitudes. Our studies offer a glimpse into how these critical bone cells respond to mechanical load in vivo, as well as provide a technique to determine how the cells encode magnitude and frequency of loading. Published under the PNAS license.