293 research outputs found
TRADE REMEDY LAWS AND NAFTA AGRICULTURAL TRADE
Trade remedy law is viewed as a major vehicle for protection in U.S. agriculture. The objective of this paper is to summarize the use of trade remedy law by U.S. agriculture and to highlight examples of where the use of these laws conflicts with free trade agreements such as NAFTA. Empirical evidence is presented of the effects of U.S. trade remedy laws on agricultural imports. We find evidence that is consistent with trade diversion on positive rulings and an "investigation effect" on negative rulings.International Relations/Trade,
TRADE REMEDY LAWS AND NAFTA AGRICULTURAL TRADE
Agricultural and Food Policy, International Relations/Trade,
The influence of CO adsorption on the surface composition of cobalt/palladium alloys
AM is grateful for funding from SASOL Technology UK Ltd (PhD studentship); JG is grateful for the award of a fellowship from the Knut and Alice Wallenberg Foundation. TEJ and AGT acknowledge EPSRC funding of postdoctoral research (EP/E047580/1). The MEIS facility was funded via EPSRC grant EP/E003370/1.Segregation induced by the adsorption of gas phase species can strongly influence the composition of bimetallic surfaces and can therefore play an important role in influencing heterogeneous catalytic reactions. The addition of palladium to cobalt catalysts has been shown to promote Fischer Tropsch catalysis. We investigate the adsorption of CO onto bimetallic CoPd surfaces on Pd{111} using a combination of reflection absorption infrared spectroscopy and medium energy ion scattering. The vibrational frequency of adsorbed CO provides crucial information on the adsorption sites adopted by CO and medium energy ion scattering probes the surface composition before and after CO exposure. We show that cobalt segregation is induced by CO adsorption and rationalise these observations in terms of the strength of adsorption of CO in various surface adsorption sites.PostprintPeer reviewe
A review and critique of academic lab safety research
Over the past ten years, there have been several high-profile accidents in academic laboratories around the world, resulting in significant injuries and fatalities. The aftermath of these incidents is often characterized by calls for reflection and re-examination of the academic discipline’s approach to safety research and policy. However, the study of academic lab safety is still underdeveloped and necessary data about changes in safety attitudes and behaviours has not been gathered. This Review article critically examines the state of academic chemical safety research from a multifactorial stance, including research on the occurrence of lab accidents, contributors to lab accidents, the state of safety training research and the cultural barriers to conducting safety research and implementing safer lab practices. The Review concludes by delineating research questions that must be addressed to minimize future serious academic laboratory incidents as well as stressing the need for committed leadership from our research institutions
Shrub expansion in tundra ecosystems: dynamics, impacts and research priorities
Part of Focus on Dynamics of Arctic and Sub-Arctic Vegetation Recent research using repeat photography, long-term ecological monitoring and dendrochronology has documented shrub expansion in arctic, high-latitude and alpine tundra ecosystems. Here, we (1) synthesize these findings, (2) present a conceptual framework that identifies mechanisms and constraints on shrub increase, (3) explore causes, feedbacks and implications of the increased shrub cover in tundra ecosystems, and (4) address potential lines of investigation for future research. Satellite observations from around the circumpolar Arctic, showing increased productivity, measured as changes in 'greenness', have coincided with a general rise in high-latitude air temperatures and have been partly attributed to increases in shrub cover. Studies indicate that warming temperatures, changes in snow cover, altered disturbance regimes as a result of permafrost thaw, tundra fires, and anthropogenic activities or changes in herbivory intensity are all contributing to observed changes in shrub abundance. A large-scale increase in shrub cover will change the structure of tundra ecosystems and alter energy fluxes, regional climate, soil–atmosphere exchange of water, carbon and nutrients, and ecological interactions between species. In order to project future rates of shrub expansion and understand the feedbacks to ecosystem and climate processes, future research should investigate the species or trait-specific responses of shrubs to climate change including: (1) the temperature sensitivity of shrub growth, (2) factors controlling the recruitment of new individuals, and (3) the relative influence of the positive and negative feedbacks involved in shrub expansion
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Assessing the Implications of the 2016 Oregon Minimum Wage Increase for Direct Market Farmers and Their Employees
Oregon is one of several states to implement a new and innovative minimum wage policy. The Oregon policy defines three regions with each having a separate initial minimum wage and a different set of incremental increases over the next seven years. This paper explores how this policy change may impact the direct market (DM) agricultural sector through two questions: What impact, if any, will the Oregon minimum wage increase have on DM farmers and their employees? What are the environmental, economic, and social implications of this policy change for the DM sector? The Willamette Valley region of Oregon is well suited for this study as it has a vibrant food system with many small-to-mid sized, diversified farms that sell through direct and intermediated marketing channels. These DM farmers often take extra steps to protect the environment, but are heavily reliant on low-wage labor to keep the prices they charge competitive with larger scale conventional growers. Eighteen qualitative, semi-structured, open-ended interviews were conducted with DM farmers in the Willamette Valley to explore the adjustments producers might use to adapt to the minimum wage increase. Labor saving adjustments are documented which imply some reduction in labor use by these DM farms in response to the minimum wage increase. The Ingram and Schneider theory of social construction and policy design is then used to develop policy recommendations. Based on my interviews with DM growers, I recommend that the Oregon minimum wage increase remain as it is, with the caveat that the policy may need to be revisited in the coming years as the increase continues to take effect. I also discuss the implications of three alternate policy recommendations to consider moving forward
Conserved and Divergent Aspects of Robo Receptor Signaling and Regulation Between \u3ci\u3eDrosophila\u3c/i\u3e Robo1 And \u3ci\u3eC\u3c/i\u3e. \u3ci\u3eelegans\u3c/i\u3e SAX-3
The evolutionarily conserved Roundabout (Robo) family of axon guidance receptors control midline crossing of axons in response to the midline repellant ligand Slit in bilaterian animals including insects, nematodes, and vertebrates. Despite this strong evolutionary conservation, it is unclear whether the signaling mechanism(s) downstream of Robo receptors are similarly conserved. To directly compare midline repulsive signaling in Robo family members from different species, here we use a transgenic approach to express the Robo family receptor SAX-3 from the nematode Caenorhabditis elegans in neurons of the fruit fly, Drosophila melanogaster. We examine SAX-3’s ability to repel Drosophila axons from the Slit-expressing midline in gain of function assays, and test SAX-3’s ability to substitute for Drosophila Robo1 during fly embryonic development in genetic rescue experiments. We show that C. elegans SAX-3 is properly translated and localized to neuronal axons when expressed in the Drosophila embryonic CNS, and that SAX-3 can signal midline repulsion in Drosophila embryonic neurons, although not as efficiently as Drosophila Robo1. Using a series of Robo1/SAX-3 chimeras, we show that the SAX-3 cytoplasmic domain can signal midline repulsion to the same extent as Robo1 when combined with the Robo1 ectodomain. We show that SAX-3 is not subject to endosomal sorting by the negative regulator Commissureless (Comm) in Drosophila neurons in vivo, and that peri-membrane and ectodomain sequences are both required for Comm sorting of Drosophila Robo1
A Method of Calibrating Airspeed Installations on Airplanes at Transonic and Supersonic Speeds by the Use of Accelerometer and Attitude-Angle Measurements
A method is described for calibrating airspeed installation on airplanes at transonic and supersonic speeds in vertical-plane maneuvers in which use is made of measurements of normal and longitudinal accelerations and attitude angle. In this method all the required instrumentation is carried within the airplane. An analytical study of the effects of various sources of error on the accuracy of an airspeed calibration by the accelerometer method indicated that the required measurements can be made accurately enough to insure a satisfactory calibration
What Do Audiences Want from a Public Art Gallery in the Digital Age?
This paper outlines the human-centred design approach taken to create a new analytical framework to understand audiences and establish themes, patterns and behaviours at MOSTYN, a public contemporary art gallery in Llandudno, North Wales. Wrexham Glyndwr University PhD student Clare Harding collaborated with Dr Adrian Gradinar, and Dr Mark Lochrie from Media Innovation Studio, University of Central Lancashire, to test the conceptual framework with the EDGE (Experiential Display to Generate Engagement) research project that secured Innovate UK and the Arts Council of Wales funding. EDGE applied a Human Centred Design process to MOSTYN, Wales’ foremost contemporary Art Gallery MOSTYN to investigate audience expectations of a public art gallery in the digital age. EDGE was designed to help MOSTYN define their purpose as a public art gallery in the face of rapidly developing, culturally competing technologies. Phase one of the project used design thinking and iterative processes to explore new and authentic ways in which MOSTYN can co-design their visitor experience with audiences. Phase two, from April 2019, will use findings to build a digital interface within the gallery to create an interactive exhibition of digital art. This will be accompanied by a six-month engagement programme to build links with new audiences and up-skill both the general public and regional artists. The scope and limitation of the research as identified so far are discussed with a focus on how human-centred design approaches were used to create a new analytical framework. The testing of lo-fi prototypes will be discussed within the gallery setting and the insights uncovered by deployment of the framework, tools and MOSTYN’s engagement programme with a critical review of the methodological approach used and findings to date
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