378 research outputs found

    Estudio de laboratorio de la susceptibilidad a la corrosión intergranular del cinc y su relación con el contenido de aluminio

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    A method of test for determining the susceptibility of zinc to the intergranular corrosion was developped, considering that the action of water steam on zinc produces the mentioned type of corrosion. Local and foreing specimens have been studied. In the suscep- tibies specimens, the sign of intergranular corrosion, characterized by visual and micrographic observations, appears after 30 h exposition. Correlation between susceptibility and aluminium content was established: 0,005 $ of aluminium in laminated zinc was the maximum content in order to avoid corrosion.Se ideó un método de ensayo para, determinar la susceptibilidad del cinc a la corrosión intergranular, teniendo en cuenta que el ataque con vapor de agua provoca en el cinc ese tipo corrosión. Se ensayaron probetas de origen nacional y extranjero. En las muestras susceptibles,los signos, de corrosión intergranular — que fueron caracterizados mediante observaciones visuales y micrográficas -r aparecieron después de las 30, horas de exposición. Se estableció una correlación entre esa susceptibilidad y él contenido de aluminio, y se fijó como contenido máximo de aluminio en -cinc laminado el de 0,005 %

    Nivat's conjecture holds for sums of two periodic configurations

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    Nivat's conjecture is a long-standing open combinatorial problem. It concerns two-dimensional configurations, that is, maps Z2A\mathbb Z^2 \rightarrow \mathcal A where A\mathcal A is a finite set of symbols. Such configurations are often understood as colorings of a two-dimensional square grid. Let Pc(m,n)P_c(m,n) denote the number of distinct m×nm \times n block patterns occurring in a configuration cc. Configurations satisfying Pc(m,n)mnP_c(m,n) \leq mn for some m,nNm,n \in \mathbb N are said to have low rectangular complexity. Nivat conjectured that such configurations are necessarily periodic. Recently, Kari and the author showed that low complexity configurations can be decomposed into a sum of periodic configurations. In this paper we show that if there are at most two components, Nivat's conjecture holds. As a corollary we obtain an alternative proof of a result of Cyr and Kra: If there exist m,nNm,n \in \mathbb N such that Pc(m,n)mn/2P_c(m,n) \leq mn/2, then cc is periodic. The technique used in this paper combines the algebraic approach of Kari and the author with balanced sets of Cyr and Kra.Comment: Accepted for SOFSEM 2018. This version includes an appendix with proofs. 12 pages + references + appendi

    Separation Assurance and Scheduling Coordination in the Arrival Environment

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    Separation assurance (SA) automation has been proposed as either a ground-based or airborne paradigm. The arrival environment is complex because aircraft are being sequenced and spaced to the arrival fix. This paper examines the effect of the allocation of the SA and scheduling functions on the performance of the system. Two coordination configurations between an SA and an arrival management system are tested using both ground and airborne implementations. All configurations have a conflict detection and resolution (CD&R) system and either an integrated or separated scheduler. Performance metrics are presented for the ground and airborne systems based on arrival traffic headed to Dallas/ Fort Worth International airport. The total delay, time-spacing conformance, and schedule conformance are used to measure efficiency. The goal of the analysis is to use the metrics to identify performance differences between the configurations that are based on different function allocations. A surveillance range limitation of 100 nmi and a time delay for sharing updated trajectory intent of 30 seconds were implemented for the airborne system. Overall, these results indicate that the surveillance range and the sharing of trajectories and aircraft schedules are important factors in determining the efficiency of an airborne arrival management system. These parameters are not relevant to the ground-based system as modeled for this study because it has instantaneous access to all aircraft trajectories and intent. Creating a schedule external to the CD&R and the scheduling conformance system was seen to reduce total delays for the airborne system, and had a minor effect on the ground-based system. The effect of an external scheduler on other metrics was mixed

    The long-term Illinois rivers fish population monitoring program 2014

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    This report presents a summary of those data collected during segment 26(2014-15) of the Long-term Illinois Rivers Fish Population Monitoring Program(LTEF), an annual survey executed by members of the Illinois Natural History Survey with funds administered by the U.S. Fish and Wildlife Service and the Illinois Department of Natural Resources. Sampling for the LTEF program was conducted on: six reaches of the Illinois River Waterway, six segments or pools of the Mississippi River, and navigable portions of the Iroquois and Kankakee Rives. In all segments of the LTEF program, all fish species collected were accurately identified, tallied, measured, and weighed. The catch rates of sportfish species were calculated as the number of individuals collected per hour (CPUEN± standard error). Structural indices [Proportional Size Distribution (PSD) and Relative Weight (Wr)] were also calculated for species of interest to regional managers. Catch rates and species richness varied greatly among all sampling locations and sampling periods. Emerald Shiners and Gizzard Shad comprised the majority of the individuals caught, and Silver Carp and Common Carp accounted for the greatest proportion of the biomass collected in most sampling areas of the survey. The analysis of CPUEN and PSD trends in sportfish populations sampled by the program may indicate inter-annual recruitment patterns in sportfish populations around the state. Both Shovelnose Sturgeon and Blue Catfish were the two species most commonly encountered in the gill net surveys.IDNR Division of Fisheries Project F-101-R, Segment 26unpublishednot peer reviewe

    Aggressive Regimens for Multidrug-Resistant Tuberculosis Decrease All-Cause Mortality

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    Rationale: A better understanding of the composition of optimal treatment regimens for multidrug-resistant tuberculosis (MDR-TB) is essential for expanding universal access to effective treatment and for developing new therapies for MDR-TB. Analysis of observational data may inform the definition of an optimized regimen. Objectives: This study assessed the impact of an aggressive regimen–one containing at least five likely effective drugs, including a fluoroquinolone and injectable–on treatment outcomes in a large MDR-TB patient cohort. Methods: This was a retrospective cohort study of patients treated in a national outpatient program in Peru between 1999 and 2002. We examined the association between receiving an aggressive regimen and the rate of death. Measurements and Main Results: In total, 669 patients were treated with individualized regimens for laboratory-confirmed MDR-TB. Isolates were resistant to a mean of 5.4 (SD 1.7) drugs. Cure or completion was achieved in 66.1% (442) of patients; death occurred in 20.8% (139). Patients who received an aggressive regimen were less likely to die (crude hazard ratio [HR]: 0.62; 95% CI: 0.44,0.89), compared to those who did not receive such a regimen. This association held in analyses adjusted for comorbidities and indicators of severity (adjusted HR: 0.63; 95% CI: 0.43,0.93). Conclusions: The aggressive regimen is a robust predictor of MDR-TB treatment outcome. TB policy makers and program directors should consider this standard as they design and implement regimens for patients with drug-resistant disease. Furthermore, the aggressive regimen should be considered the standard background regimen when designing randomized trials of treatment for drug-resistant TB

    Motherhood in academia : a novel dataset with an application to maternity leave uptake

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    Legislation over the past two decades enhanced the availability and quantity of statutory maternity leave in the United Kingdom. In high-skilled sectors, many employers top up this maternity leave in an effort to retain and develop the careers of women. As leave provision became more generous, debates emerged as to the role, if any, these enhanced benefits have in retaining women in high status occupation and facilitating their career growth. Further, individual situations and employment status may prevent women from taking advantage of enhanced benefits. This paper presents findings from a comprehensive survey of thousands of women in the UK Higher Education sector and documents how the lives of academic mothers changed over the past quarter century. Contract status and the partner’s participation in parenting has significant effects on the types of maternity leave taken. We reflect on these findings and discuss future research in the area of labour market equity and productivity the availability of this comprehensive quantitative survey of academic women can facilitate

    The motherhood penalties : insights from women in UK academia

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    We use an original survey of academic women in the UK to investigate different dimensions of the motherhood penalty. Being a mother has no effect on salaries, but still slows down career progression even in such a high-skilled sector. Motherhood has an ambivalent impact on women’s perception of their working environment: improving satisfaction, but reducing perception of salary fairness relative to men. Our paper also explores how different policies can mitigate the motherhood penalties. We find that more generous maternity provisions are associated with higher salary, potentially because generosity reduces the crowding out of research activity. Better availability of childcare and an even distribution of responsibilities within the household correlate positively with earnings. Our findings also highlight the importance of a supportive work environment for mothers’ career and well-being at the workplace. Taken together, these findings suggest the necessity of a multi-faceted policy response to the motherhood penalties

    Leaf Growth and Canopy Development of Three Sugarcane Genotypes under High Temperature Rainfed Conditions in Northeastern Mexico

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    The aim of this study was to compare sugarcane (Saccharum spp.) canopy developmental components of three commercial varieties (CP 72-2086, Mex 79-431, and Mex 68-P-23) in a subtropical environment under rainfed and high temperature conditions, a poorly described topic in the literature. A field experiment was carried out in southern Tamaulipas, Mexico, throughout November 2011–January 2013 crop cycle, during which 111 of the days had daily maximum temperatures at or above 35°C. Number of leaves, leaf area, leaf appearance rate, and leaf area index (LAI) were determined. Thermal time exposure, °Cd (°C day−1), was determined based on total number of green ligulate leaves using 10°C as the base temperature. At 5000°Cd the number of leaves per plant ranged from 32 to 40 and the dependence of leaf emergence rate as a function of temperature was confirmed. The leaf emergence rate of CP 72-2086 was significantly greater than that of the other two varieties. Cultivars did not differ with respect to leaf length but differed for all other parameters measured. These results show the potential importance of considering sugarcane varietal differences in leaf phenology and canopy development for breeding programs focusing on rainfed and high temperature conditions
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