485 research outputs found
Physical water scarcity metrics for monitoring progress towards SDG target 6.4: An evaluation of indicator 6.4.2 “Level of water stress”
Target 6.4 of the recently adopted Sustainable Development Goals (SDGs) deals with the reduction of water scarcity. To monitor progress towards this target, two indicators are used: Indicator 6.4.1 measuring water use efficiency and 6.4.2 measuring the level of water stress (WS). This paper aims to identify whether the currently proposed indicator 6.4.2 considers the different elements that need to be accounted for in a WS indicator. WS indicators compare water use with water availability. We identify seven essential elements: 1) both gross and net water abstraction (or withdrawal) provide important information to understand WS; 2) WS indicators need to incorporate environmental flow requirements (EFR); 3) temporal and 4) spatial disaggregation is required in a WS assessment; 5) both renewable surface water and groundwater resources, including their interaction, need to be accounted for as renewable water availability; 6) alternative available water resources need to be accounted for as well, like fossil groundwater and desalinated water; 7) WS indicators need to account for water storage in reservoirs, water recycling and managed aquifer recharge. Indicator 6.4.2 considers many of these elements, but there is need for improvement. It is recommended that WS is measured based on net abstraction as well, in addition to currently only measuring WS based on gross abstraction. It does incorporate EFR. Temporal and spatial disaggregation is indeed defined as a goal in more advanced monitoring levels, in which it is also called for a differentiation between surface and groundwater resources. However, regarding element 6 and 7 there are some shortcomings for which we provide recommendations. In addition, indicator 6.4.2 is only one indicator, which monitors blue WS, but does not give information on green or green-blue water scarcity or on water quality. Within the SDG indicator framework, some of these topics are covered with other indicators
2006 Author Recognition Bibliography
https://scholarworks.gvsu.edu/authorrecognition/1008/thumbnail.jp
An Integrated Approach to Aircraft Modelling and Flight Control Law Design
The design of flight control laws (FCLs) for automatic and manual (augmented) control of aircraft is a complicated task. FCLs have to fulfil large amounts of performance criteria and must work reliably in all flight conditions, for all aircraft configurations, and in adverse weather conditions. Consequently, a large part of the FCL design process involves extensive simulation analyses, hardware-in-the-loop testing, and, eventually, flight testing. Multi-disciplinary aspects hereby play an important role. For example, control laws heavily influence (aerodynamic) loads on the airframe during manoeuvring and in turbulence, as well as flutter stability of the structure. These aspects are extensively addressed, but only -after- the actual design phase. As a consequence, problems that arise with other disciplines usually give rise to re-design of control law functions. This thesis proposes an FCL design process that allows multi-disciplinary aspects to be addressed from the beginning. In the first place, this requires multi-disciplinary aspects to be present in the aircraft dynamics models used for FCL design. To this end, the use of object-oriented modelling techniques is proposed, which, in contrast to contemporary techniques, inherently supports the development of models consisting of components from various engineering areas. As a specific application, its use for development of integrated flight mechanics and aeroelastic aircraft models is discussed. In the second place, multi-disciplinary FCL design requires a means to automate tuning of design parameters, since consideration of the many additional criteria make manual parameter synthesis very elaborate. For this reason, the use of multi-objective optimisation is proposed. This technique allows parameters to be optimised with respect to many, possibly conflicting, design criteria via a so-called min-max approach. The process is demonstrated on the design of control laws for automatic landing (autoland) of a passenger aircraft. The certification of autoland systems requires extensive Monte Carlo (MC) analyses to be performed in order to show that landing mishaps in all sorts of extreme conditions are very unlikely. The proposed design process allows the MC analyses to be directly addressed in the synthesis of control law parameters, so that MC analyses for certification can be passed in one shot. The proposed multi-disciplinary design process further allows the control design department to increase participation in aircraft preliminary design, by providing a means for rapid control law prototyping. This methodology allows nonlinear control laws for a specific aircraft design status to be automatically generated from an object-oriented implementation of a current flight dynamics model, using the technique of feedback linearisation and the possibility of automatic model inversion from object-oriented model implementations. For the control department, rapid prototyping allows for quick experimentation with controller structures, the selection of command variables, etc. For other engineering departments, the methodology results in early availability of representative control laws to analyse dynamic flight characteristics of the current aircraft design status.Aerospace Engineerin
Radio sources in the Chandra Galactic Bulge Survey
We discuss radio sources in the Chandra Galactic Bulge Survey region. By cross-matching the X-ray sources in this field with the NRAO VLA Sky Survey archival data, we find 12 candidate matches. We present a classification scheme for radio/X-ray matches in surveys taken in or near the Galactic plane, taking into account other multiwavelength data. We show that none of the matches found here is likely to be due to coronal activity from normal stars because the radio to X-ray flux ratios are systematically too high. We show that one of the source could be a radio pulsar, and that one could be a planetary nebula, but that the bulk of the sources are likely to be background active galactic nuclei (AGN), with many confirmed through a variety of approaches. Several of the AGN are bright enough in the near-infrared (and presumably in the optical) to use as probes of the interstellar medium in the inner Galaxy
Quantification of food intake in Drosophila
Measurement of food intake in the fruit fly Drosophila melanogaster is often necessary for studies of behaviour, nutrition and drug administration. There is no reliable and agreed method for measuring food intake of flies in undisturbed, steady state, and normal culture conditions. We report such a method, based on measurement of feeding frequency by proboscis-extension, validated by short-term measurements of food dye intake. We used the method to demonstrate that (a) female flies feed more frequently than males, (b) flies feed more often when housed in larger groups and (c) fly feeding varies at different times of the day. We also show that alterations in food intake are not induced by dietary restriction or by a null mutation of the fly insulin receptor substrate chico. In contrast, mutation of takeout increases food intake by increasing feeding frequency while mutation of ovoD increases food intake by increasing the volume of food consumed per proboscis-extension. This approach provides a practical and reliable method for quantification of food intake in Drosophila under normal, undisturbed culture conditions
A systematic review of evidence on malignant spinal metastases : natural history and technologies for identifying patients at high risk of vertebral fracture and spinal cord compression
Background: Spinal metastases can lead to significant morbidity and reduction in quality of life due to spinal cord compression (SCC). Between 5% and 20% of patients with spinal metastases develop metastatic spinal cord compression during the course of their disease. An early study estimated average survival for patients with SCC to be between 3 and 7 months, with a 36% probability of survival to 12 months. An understanding of the natural history and early diagnosis of spinal metastases and prediction of collapse of the metastatic vertebrae are important.
Objective: To undertake a systematic review to examine the natural history of metastatic spinal lesions and to identify patients at high risk of vertebral fracture and SCC.
Data sources: The search strategy covered the concepts of metastasis, the spine and adults. Searches were undertaken from inception to June 2011 in 13 electronic databases [MEDLINE; MEDLINE In-Process & Other Non-Indexed Citations; EMBASE; Cochrane Database of Systematic Reviews; Cochrane Central Register of Controlled Trials (CENTRAL); Database of Abstracts of Reviews of Effects (DARE), NHS Economic Evaluation Database (NHS EED), HTA databases (NHS Centre for Reviews and Dissemination); Science Citation Index and Conference Proceedings (Web of Science); UK Clinical Research Network (UKCRN) Portfolio Database; Current Controlled Trials; ClinicalTrials.gov].
Review methods: Titles and abstracts of retrieved studies were assessed by two reviewers independently. Disagreement was resolved by consensus agreement. Full data were extracted independently by one reviewer. All included studies were reviewed by a second researcher with disagreements resolved by discussion. A quality assessment instrument was used to assess bias in six domains: study population, attrition, prognostic factor measurement, outcome measurement, confounding measurement and account, and analysis. Data were tabulated and discussed in a narrative review. Each tumour type was looked at separately.
Results: In all, 2425 potentially relevant articles were identified, of which 31 met the inclusion criteria. No study examined natural history alone. Seventeen studies reported retrospective data, 10 were prospective studies, and three were other study designs. There was one systematic review. There were no randomised controlled trials (RCTs). Approximately 5782 participants were included. Sample sizes ranged from 41 to 859. The age of participants ranged between 7 and 92 years. Types of cancers reported on were lung alone (n= 3), prostate alone (n= 6), breast alone (n= 7), mixed cancers (n= 13) and unclear (n= 1). A total of 93 prognostic factors were identified as potentially significant in predicting risk of SCC or collapse. Overall findings indicated that the more spinal metastases present and the longer a patient was at risk, the greater the reported likelihood of development of SCC and collapse. There was an increased risk of developing SCC if a cancer had already spread to the bones. In the prostate cancer studies, tumour grade, metastatic load and time on hormone therapy were associated with increased risk of SCC. In one study, risk of SCC before death was 24%, and 2.37 times greater with a Gleason score 7 than with a score of < 7 (p= 0.003). Other research found that patients with six or more bone lesions were at greater risk of SCC than those with fewer than six lesions [odds ratio (OR) 2.9, 95% confidence interval (CI) 1.012 to 8.35, p= 0.047]. For breast cancer patients who received a computerised tomography (CT) scan for suspected SCC, multiple logistic regression in one study identified four independent variables predictive of a positive test: bone metastases 2 years (OR 3.0 95% CI 1.2 to 7.6; p= 0.02); metastatic disease at initial diagnosis (OR 3.4, 95% CI 1.0 to 11.4; p= 0.05); objective weakness (OR 3.8, 95% CI 1.5 to 9.5; p= 0.005); and vertebral compression fracture on spine radiograph (OR 2.6, 95% CI 1.0 to 6.5; p= 0.05). A further study on mixed cancers, among patients who received surgery for SCC, reported that vertebral body compression fractures were associated with presurgery chemotherapy (OR 2.283, 95% CI 1.064 to 4.898; p= 0.03), cancer type [primary breast cancer (OR 4.179, 95% CI 1.457 to 11.983; p= 0.008)], thoracic involvement (OR 3.505, 95% CI 1.343 to 9.143; p= 0.01) and anterior cord compression (OR 3.213, 95% CI 1.416 to 7.293; p= 0.005).
Limitations: Many of the included studies provided limited information about patient populations and selection criteria and they varied in methodological quality, rigour and transparency. Several studies identified type of cancer (e.g. breast, lung or prostate cancer) as a significant factor in predicting SCC, but it remains difficult to determine the risk differential partly because of residual bias. Consideration of quantitative results from the studies does not easily allow generation of a coherent numerical summary, studies were heterogeneous especially with regard to population, results were not consistent between studies, and study results almost universally lacked corroboration from other independent studies.
Conclusion: No studies were found which examined natural history. Overall burden of metastatic disease, confirmed metastatic bone involvement and immediate symptomatology suggestive of spinal column involvement are already well known as factors for metastatic SCC, vertebral collapse or progression of vertebral collapse. Although we identified a large number of additional possible prognostic factors, those which currently offer the most potential are unclear. Current clinical consensus favours magnetic resonance imaging and CT imaging modalities for the investigation of SCC and vertebral fracture. Future research should concentrate on: (1) prospective randomised designs to establish clinical and quality-of-life outcomes and cost-effectiveness of identification and treatment of patients at high risk of vertebral collapse and SCC; (2) Service Delivery and Organisation research on magnetic resonance imaging (MRI) scans and scanning (in tandem with research studies on use of MRI to monitor progression) in order to understand best methods for maximising use of MRI scanners; and (3) investigation of prognostic algorithms to calculate probability of a specified event using high-quality prospective studies, involving defined populations, randomly selected and clearly identified samples, and with blinding of investigators
Genetic associations at 53 loci highlight cell types and biological pathways relevant for kidney function
Reduced glomerular filtration rate defines chronic kidney disease and is associated with cardiovascular and all-cause mortality. We conducted a meta-analysis of genome-wide association studies for estimated glomerular filtration rate (eGFR), combining data across 133,413 individuals with replication in up to 42,166 individuals. We identify 24 new and confirm 29 previously identified loci. Of these 53 loci, 19 associate with eGFR among individuals with diabetes. Using bioinformatics, we show that identified genes at eGFR loci are enriched for expression in kidney tissues and in pathways relevant for kidney development and transmembrane transporter activity, kidney structure, and regulation of glucose metabolism. Chromatin state mapping and DNase I hypersensitivity analyses across adult tissues demonstrate preferential mapping of associated variants to regulatory regions in kidney but not extra-renal tissues. These findings suggest that genetic determinants of eGFR are mediated largely through direct effects within the kidney and highlight important cell types and biological pathways
Using support vector machines with multiple indices of diffusion for automated classification of mild cognitive impairment
Few studies have looked at the potential of using diffusion tensor imaging (DTI) in conjunction with machine learning algorithms in order to automate the classification of healthy older subjects and subjects with mild cognitive impairment (MCI). Here we apply DTI to 40 healthy older subjects and 33 MCI subjects in order to derive values for multiple indices of diffusion within the white matter voxels of each subject. DTI measures were then used together with support vector machines (SVMs) to classify control and MCI subjects. Greater than 90% sensitivity and specificity was achieved using this method, demonstrating the potential of a joint DTI and SVM pipeline for fast, objective classification of healthy older and MCI subjects. Such tools may be useful for large scale drug trials in Alzheimer’s disease where the early identification of subjects with MCI is critical
Complete decoding of TAL effectors for DNA recognition
Cell BiologySCI(E)PubMed中国科技核心期刊(ISTIC)中国科学引文数据库(CSCD)[email protected]
Indo-European vocabulary in Old Chinese : a new thesis on the emergence of Chinese language and civilization in the late Neolithic age
This study is a much expanded version of the paper I read at the XXXII International Congress for Asian and North African Studies on August 28, 1986 in Hamburg (Germany). Contents 1. Recent developments in the field of historical linguistics 2. Monosyllabic structure of Chinese words and Indo-European stems 3. Tonal accents of Middle Chinese 4. Preliminaries on the comparison of consonants and vowels 5. Some IE stems corresponding to Chinese words of entering tone 6. Middle Chinese tones and final consonants of IE stems 7. Some IE stems corresponding to Chinese words of rising tone 8. Some IE stems corresponding to Chinese words of vanishing tone 9. Some IE stems corresponding to Chinese words of level tone 10. Reconstruction of Middle Chinese vocalism according to Yün-ching 11. Old Chinese vocalism 12. Vocalic correspondences between Chinese and IE 13. Initials of Old Chinese 14. Initial consonant clusters in Old Chinese as seen from IE-stems 15. Proximity of Chinese to Germanic 16. Relation of Old Chinese to neighboring languages 17. Emergence of Chinese Empire and language in the middle of the third millennium B.C. Appendix * Abbrevations * Bibliography * Rhyme Tables of Early Middle Chinese (600) * Rhyme Tables of Early Mandarin (1300) * Word Index o English o Pinyin In 1786, just over two hundred years ago, comparative historical linguistics was born, when Sir William Jones (1746-1794) discovered the relationship between Old-Indian Sanskrit, Greek, and Latin. Since then, the emerging Indo-European philology has thrown much light on the early history of mankind in Eurasia. During the past two hundred years, many suggestions were also made in regard to relationships of Indo-European to other languages such as Semitic, Altaic, Austronesian, Korean etc., but Indo-Europeanists commonly rejected such attempts for want of convincing evidence. As to Chinese, Joseph Edkins was the first to advance the thesis of its proximity to Indo-European. In his work China's Place in Philology. An Attempt to show that the Language of Europe and Asia have a Common Origin (1871) he presented a number of Chinese words similar to those of Indo-European. In his time, Edkins' thesis seemed bold and extravagant. But today, more than a hundred years later, we are in a much better position to carry out a comprehensive and well-founded comparative study. Since the end of the nineteenth century, many Sinologists have been engaged in reconstruction of the mediaeval and archaic readings of Chinese characters. Among them, Karlgren (1889-1978) was the most successful, and in 1940 he published a comprehensive phonological and etymological dictionary entitled Grammata Serica. In the meantime, the Indo-Europeanists Alois Walde (1869-1924) and Julius Pokorny (1887-1970) were devoting themselves to the compilation of a useful etymological dictionary. The result was the Indogermanisches Etymologisches Wörterbuch by Pokorny (1959) which provides a solid basis for our lexical comparisons. Soon thereafter, some Sinologists made use of the two dictionaries by Karlgren and Pokorny to compare Chinese and Indo-European words. In 1967, an unaffiliated German scholar, Jan Ulenbrook, published an article "Einige Übereinstirnrnungen zwischen dem Chinesischen und dem Indogermanischen", in which he claimed that 57 words are related. Shortly afterwards, Tor Ulving of the University of Goteborg, Sweden, wrote a review of this article framing the title as a question: "Indo-European elements in Chinese?" While working on his thesis on word families in Chinese, Ulving compiled for his own use two dictionaries: "Archaic Chinese - English" and "English - Archaic Chinese", and discovered thereby 238 Chinese words similar to Indo-European roots. In spite of this considerable number of word equivalents, however, Mr. Ulving became discouraged and, as he told me in his letter of April, 1986, has given up his researches in this field. The skepticism, common among Indo-Europeanists in regard to comparative studies with other languages, is largely based on the dogmatic opinion that only morphology is relevant but not vocabulary. Since the typology of Chinese seems to preclude a cognate relation to Indo-European, they are inclined to discard any lexical correspondences as merely accidental or onomatopoetic. Besides, prehistorical contacts and mixtures between these languages seem not conceivable, as the Indo-Europeans are supposed to have originated in Northern Europe or at best in the Central Asian steppe, thousands of miles away from East Asia. Hence, any research into a relationship between Old Chinese and Indo-European languages would be but futile from the outset. Yet there are also opposing views among Indo-Europeanists. Investigations into Germanic languages and the oldest Indo-European language, Hittite, led some of them to a critical revision of the prevailing conception about a Proto-Indo-European. Hermann Hirt (1934) for instance states: "Inflexion of Indo-European languages is due to a relatively late development, and its correct comprehension can be achieved only by proceeding from the time of non-inflexion." And Carl Karstien (1936) holds the opinion that "Chinese corresponds most ideally to the hypothetic prototype of Indo-European." Regarding vocabulary, there are striking similarities in the monosyllabic structure of the basic words. In modern German and English, all the words of everyday speech are monosyllabic and their stereotypical structure is: initial consonant(s) + vowel(s) + final consonant(s). The same word structure is valid for Chinese as well. It is fundamentally different from the disyllabic structure of Altaic words and from the triconsonantal-disyllabic structure of Semitic words. Characteristic of the monosyllabic word structure is, besides, the complexity of the syllable nucleus, which consists of different vowels and vowel clusters in contrast to the monophthongal vocalism of polysyllabic words. Another objection raised to comparisons between Chinese and Indo-European is the existence of tonal accents in Chinese. Since most modern Indo-European languages have only expiratory accents, Chinese is considered to be a highly exotic language. Yet, even in Chinese, the use of tonal accents as a means of lexical differentiation is a result of comparatively recent development in the long history of Chinese language, the earliest monuments of which date back to 1300 B.C. (cf. Chang 1970, p.21). Unknown to Old Chinese, the existence of tonal accents was for the first time mentioned in the 5th century by Shen Yüeh (441-513). In Middle Chinese (Mch.) there were four tone categories: A P'ing-sheng 平 a level tone (which developed into Mandarin tone 1 or 2). B Shang-sheng 上 a rising tone (Mandarin tone 3). C Ch'u-sheng 去 a vanishing, i.e. falling tone (Mandarin tone 4). D Ju-sheng 入 an entering tone with a staccato effect, the word being abruptly stopped by a final consonant -p, -t, -k. (In Early Mandarin the words of this tone lost their final consonant and were distributed among the tones 2, 3 and 4, respectively according to the phonation of initials). In Middle Chinese, words of the entering tone were the only group which still preserved the final stops and therefore a close syllabic structure. So they are most appropriate for convincing comparisons with monosyllabic Indo-European word stems. The final stops -p, -t, -k of the entering tone are nowadays still extant in daily speech of several dialects in South China as well as in Chinese borrowings in Japanese, Vietnamese and Korean. As a speaker of a Taiwan dialect of Minnan origin, I could immediately identify some Indo-European stems with corresponding Chinese words. Besides, the command of Japanese and German was also a great help for this study. In the following lists I have chosen a number of Indo-European stems which are phonetically and semantically equivalent to Chinese words. Correspondences in initial and final consonants refer to the points of articulation, thus we have equations: IE labials = Old Chinese labials, IE dentals = dentals, IE l, r = dentals (cf. p. 31); Ø, i (final and medial) IE velars = velars and laryngeals, and occasionally (the so-called "satem"-forms) IE velars = dental sibilants and affricates. Regarding the manner of articulation, there are no regular correspondences between Indo-European and Chinese consonants like Grimm's law which is valid among Indo-European dialects to a certain extent. But this is not astonishing, since in Old Chinese the alternation of initials in voicing was a conventional means of creating new words from one basic form. The rules of vocalic correpondences among Indo-European dialects are quite complex. Vowels permanently change their qualities from one language to another, and from time to time within one language also, as is well known from the history of English pronunciations. Generally, the vocalism of Old Greek is taken as the standard for Proto-Indo-European. Old Chinese vowels corresponds nearly (cf. p. 30), but the details about the reconstruction of Middle and Old Chinese vocalism will be treated later (pp. 26-30). For the moment, it is necessary to notice in advance that the stem of ablauting Germanic verbs is the form of preterite or noun, rather than that of infinitive as assumed hitherto. Therefore, in some cases I must slightly modify the basic vowel of verbal stems given in Pokorny, in order to get better basis for comparison. As Old Chinese verbs were non-flexional, they might probably have preserved the original vowel the best
- …
