936 resultados para Jülich-Berg


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Collection consists of manuscripts and newspaper columns written by Shloyme Rosenberg (under his own name as well as under various pseudonyms). Collection also includes correspondence, journal publications, reviews, and speeches.

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Regulated transcription controls the diversity, developmental pathways and spatial organization of the hundreds of cell types that make up a mammal. Using single-molecule cDNA sequencing, we mapped transcription start sites (TSSs) and their usage in human and mouse primary cells, cell lines and tissues to produce a comprehensive overview of mammalian gene expression across the human body. We find that few genes are truly 'housekeeping', whereas many mammalian promoters are composite entities composed of several closely separated TSSs, with independent cell-type-specific expression profiles. TSSs specific to different cell types evolve at different rates, whereas promoters of broadly expressed genes are the most conserved. Promoter-based expression analysis reveals key transcription factors defining cell states and links them to binding-site motifs. The functions of identified novel transcripts can be predicted by coexpression and sample ontology enrichment analyses. The functional annotation of the mammalian genome 5 (FANTOM5) project provides comprehensive expression profiles and functional annotation of mammalian cell-type-specific transcriptomes with wide applications in biomedical research.

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With transplant rejection rendered a minor concern and survival rates after liver transplantation (LT) steadily improving, long-term complications are attracting more attention. Current immunosuppressive therapies, together with other factors, are accompanied by considerable long-term toxicity, which clinically manifests as renal dysfunction, high risk for cardiovascular disease, and cancer. This thesis investigates the incidence, causes, and risk factors for such renal dysfunction, cardiovascular risk, and cancer after LT. Long-term effects of LT are further addressed by surveying the quality of life and employment status of LT recipients. The consecutive patients included had undergone LT at Helsinki University Hospital from 1982 onwards. Data regarding renal function – creatinine and estimated glomerular filtration rate (GFR) – were recorded before and repeatedly after LT in 396 patients. The presence of hypertension, dyslipidemia, diabetes, impaired fasting glucose, and overweight/obesity before and 5 years after LT was determined among 77 patients transplanted for acute liver failure. The entire cohort of LT patients (540 patients), including both children and adults, was linked with the Finnish Cancer Registry, and numbers of cancers observed were compared to site-specific expected numbers based on national cancer incidence rates stratified by age, gender, and calendar time. Health-related quality of life (HRQoL), measured by the 15D instrument, and employment status were surveyed among all adult patients alive in 2007 (401 patients). The response rate was 89%. Posttransplant cardiovascular risk factor prevalence and HRQoL were compared with that in the age- and gender-matched Finnish general population. The cumulative risk for chronic kidney disease increased from 10% at 5 years to 16% at 10 years following LT. GFR up to 10 years after LT could be predicted by the GFR at 1 year. In patients transplanted for chronic liver disease, a moderate correlation of pretransplant GFR with later GFR was also evident, whereas in acute liver failure patients after LT, even severe pretransplant renal dysfunction often recovered. By 5 years after LT, 71% of acute liver failure patients were receiving antihypertensive medications, 61% were exhibiting dyslipidemia, 10% were diabetic, 32% were overweight, and 13% obese. Compared with the general population, only hypertension displayed a significantly elevated prevalence among patients – 2.7-fold – whereas patients exhibited 30% less dyslipidemia and 71% less impaired fasting glucose. The cumulative incidence of cancer was 5% at 5 years and 13% at 10. Compared with the general population, patients were subject to a 2.6-fold cancer risk, with non-melanoma skin cancer (standardized incidence ratio, SIR, 38.5) and non-Hodgkin lymphoma (SIR 13.9) being the predominant malignancies. Non-Hodgkin lymphoma was associated with male gender, young age, and the immediate posttransplant period, whereas old age and antibody induction therapy raised skin-cancer risk. HRQoL deviated clinically unimportantly from the values in the general population, but significant deficits among patients were evident in some physical domains. HRQoL did not seem to decrease with longer follow-up. Although 87% of patients reported improved working capacity, data on return to working life showed marked age-dependency: Among patients aged less than 40 at LT, 70 to 80% returned to work, among those aged 40 to 50, 55%, and among those above 50, 15% to 28%. The most common cause for unemployment was early retirement before LT. Those patients employed exhibited better HRQoL than those unemployed. In conclusion, although renal impairment, hypertension, and cancer are evidently common after LT and increase with time, patients’ quality of life remains comparable with that of the general population.

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Structural specificity for the direct vesicle−vesicle exchange of phospholipids through stable molecular contacts formed by the antibiotic polymyxin B (PxB) is characterized by kinetic and spectroscopic methods. As shown elsewhere [Cajal, Y., Rogers, J., Berg, O. G., & Jain, M. K. (1996) Biochemistry 35, 299−308], intermembrane molecular contacts between anionic vesicles are formed by a small number of PxB molecules, which suggests that a stoichiometric complex may be responsible for the exchange of phospholipids. Larger clusters containing several vesicles are formed where each vesicle can make multiple contacts if sterically allowed. In this paper we show that the overall process can be dissected into three functional steps: binding of PxB to vesicles, formation of stable vesicle−vesicle contacts, and exchange of phospholipids. Polycationic PxB binds to anionic vesicles. Formation of molecular contacts and exchange of monoanionic phospholipids through PxB contacts does not depend on the chain length of the phospholipid. Only monoanionic phospholipids (with methanol, serine, glycol, butanol, or phosphatidylglycerol as the second phosphodiester substituent in the head group) exchange through these contacts, whereas dianionic phosphatidic acid does not. Selectivity for the exchange was also determined with covesicles of phosphatidylmethanol and other phospholipids. PxB does not bind to vesicles of zwitterionic phosphatidylcholine, and its exchange in covesicles is not mediated by PxB. Vesicles of dianionic phospholipids, like phosphatidic acid, bind PxB; however, this phospholipid does not exchange. The structural features of the contacts are characterized by the spectroscopic and chemical properties of PxB at the interface. PxB in intermembrane contacts is readily accessible from the aqueous phase to quenchers and reagents that modify amino groups. Results show that PxB at the interface can exist in two forms depending on the lipid/PxB ratio. Additional studies show that stable PxB-mediated vesicle−vesicle contacts may be structurally and functionally distinct from “stalks”, the putative transient intermediate for membrane fusion. The phenomenon of selective exchange of phospholipids through peptide-mediated contacts could serve as a prototype for intermembrane targeting and sorting of phospholipids during their biosynthesis and trafficking in different compartments of a cell. The protocols and results described here also extend the syllogistic foundations of interfacial equilibria and catalysis.

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This study examines gender as a dimension of group divisions and differences in physical education (PE) lessons at school. The aim is to look at those structures and practices which direct the ways the girls and the boys move their bodies at secondary school in 2000’s while growing up to become women and men. Theoretically, the goal is to clarify how the social is inscribed to the bodies in the context of physical education lessons at school. This ethnographic study was conducted in the physical education lessons of 7th graders (13-14-year-olds) by observing the everyday life in five PE groups and by interviewing pupils (N=27) and their teachers (N=2). This method has given the researcher “a sense of the game”; an embodied experience of the feel for the game of the studied phenomenon. The access to the contextual “positions of expertise” does not seem to be socially and materially equally distributed in physical education. In PE the criteria of inclusion and exclusion were intertwined with physical skills and friendships, these hierarchies becoming visible in the situations of team choice in PE lessons. Not all families have possibilities to enable their children to participate in expensive leisure sports activities. Therefore the family’s societal position is in relation to the construction of leisure time activities. The access to certain possibilities demands time and money. In Finland the physical education is mainly carried out in differentiated groups for girls and boys. In physical education, the gender-differentiated groups, and partially the different practices of these groups activate, and on the other hand suppress, situations of gender related borderwork. In this research, both pupils and PE teachers repeatedly mentioned the naturality of the differences while speaking about gender. The differences were also restored to gender. I apply Erving Goffman’s dramaturgical view to the social situations, ethnographic fieldwork and interviews. My central statement is that in ethnography the audience has access to the backstage of the researcher since reporting does not follow the traditional division to the public and the private.

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Leevi Haapala explores moving image works, sculptures and installations from a psychoanalytic perspective in his study The Unconscious in Contemporary Art. The Gaze, Voice and Time in Finnish Contemporary Art at the Turn of the Millennium . The artists included in the study are Eija-Liisa Ahtila, Hans-Christian Berg, Markus Copper, Liisa Lounila and Salla Tykkä. The theoretical framework includes different psychoanalytic readings of the concepts of the gaze, voice and temporality. The installations are based on spatiality and temporality, and their detailed reading emphasizes the medium-specific features of the works as well as their fragmentary nature, heterogeneity and affectivity. The study is cross-disciplinary in that it connects perspectives from the visual culture, new art history and theory to the interpretation of contemporary art. The most important concepts from psychoanalysis, affect theory and trauma discourse used in the study include affect, object a (objet petit a) as articulated by Jacques Lacan, Sigmund Freud s uncanny (das Unheimliche) and trauma. Das Unheimliche has been translated as uncanny in art history under the influence of Rosalind Krauss. The object of the study, the unconscious in contemporary art, is approached through these concepts. The study focuses on Lacan s additions to the list of partial drives: the gaze and voice as scopic and invocative drives and their interpretations in the studies of the moving image. The texts by the American film theorist and art historian Kaja Silverman are in crucial role. The study locates contemporary art as part of trauma culture, which has a tendency to define individual and historical experiences through trauma. Some of the art works point towards trauma, which may appear as a theoretic or fictitious construction. The study presents a comprehensive collection of different kinds of trauma discourse in the field of art research through the texts of Hal Foster, Cathy Caruth, Ruth Leys and Shoshana Felman. The study connects trauma theory with the theoretical analysis of the interference and discontinuity of the moving image in the readings by Susan Buck-Morss, Mary Ann Doane and Peter Osborn among others. The analysis emphasizes different ways of seeing and multisensoriality in the reception of contemporary art. With their reflections and inverse projections, the surprising mechanisms of Hans-Christian Berg s sculptures are connected with Lacan s views on the early mirroring and imitation attempts of the individual s body image. Salla Tykkä s film trilogy Cave invites one to contemplate the Lacanian theory of the gaze in relation to the experiences of being seen. The three oceanic sculpture installations by Markus Copper are studied through the vocality they create, often through an aggressive way of acting, as well as from the point of view of the functioning of an invocative drive. The study compares the work of fiction and Freud s texts on paranoia and psychosis to Eija-Liisa Ahtila s manuscripts and moving image installations about the same topic. The cinematic time in Liisa Lounila s time-slice video installations is approached through the theoretical study of the unconscious temporal structure. The viewer of the moving image is inside the work in an in-between state: in a space produced by the contents of the work and its technology. The installations of the moving image enable us to inhabit different kinds of virtual bodies or spaces, which do not correspond with our everyday experiences. Nevertheless, the works of art often try to deconstruct the identification to what has been shown on screen. This way, the viewer s attention can be fixed on his own unconscious experiences in parallel with the work s deconstructed nature as representation. The study shows that contemporary art is a central cultural practice, which allows us to discuss the unconscious in a meaningful way. The study suggests that the agency that is discursively diffuse and consists of several different praxes should be called the unconscious. The emergence of the unconscious can happen in two areas: in contemporary art through different senses and discursive elements, and in the study of contemporary art, which, being a linguistic activity is sensitive to the movements of the unconscious. One of the missions of art research is to build different kinds of articulated constructs and to open an interpretative space for the nature of art as an event.

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Limiting ionic conductance (Lambda(0)) of rigid symmetrical unipositive ions in aqueous solution shows a strong temperature dependence. For example, Lambda(0) more than doubles when the temperature is increased from 283 to 318 K. A marked variation also occurs when the solvent is changed from ordinary water (H2O) to heavy water (D2O). In addition, Lambda(0) shows a nonmonotonic size dependence with a skewed maximum near Cs+. Although these important results have been known for a long time, no satisfactory theoretical explanation exists for these results. In this article we present a simple molecular theory which provides a nearly quantitative explanation in terms of microscopic structure and dynamics of the solvent. A notable feature of this theory is that it does not invoke any nonquantifiable models involving solvent-berg or clatherates. We find the strong temperature dependence of Lambda(0) to arise from a rather large number of microscopic factors, each providing a small but nontrivial contribution, but all acting surprisingly in the same direction. This work, we believe, provides, for the first time, a satisfactory explanation of both the anomalous size and temperature dependencies of Lambda(0) of unipositive ions in molecular terms. The marked change in Lambda(0) as the solvent is changed from H2O to D2O is found to arise partly from a change in the dielectric relaxation and partly from a change in the effective interaction of the ion with the solvent.

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The high species richness of tropical forests has long been recognized, yet there remains substantial uncertainty regarding the actual number of tropical tree species. Using a pantropical tree inventory database from closed canopy forests, consisting of 657,630 trees belonging to 11,371 species, we use a fitted value of Fisher's alpha and an approximate pantropical stem total to estimate the minimum number of tropical forest tree species to fall between similar to 40,000 and similar to 53,000, i.e., at the high end of previous estimates. Contrary to common assumption, the Indo-Pacific region was found to be as species-rich as the Neotropics, with both regions having a minimum of similar to 19,000-25,000 tree species. Continental Africa is relatively depauperate with a minimum of similar to 4,500-6,000 tree species. Very few species are shared among the African, American, and the Indo-Pacific regions. We provide a methodological framework for estimating species richness in trees that may help refine species richness estimates of tree-dependent taxa.

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Durante las épocas de primera y postrera del ciclo agrícola 1994/1995 , se llevó a cabo el presente trabajo con el objetivo de estudiar el efecto de dos variedades de frijol común (Phaseolus vulgaris L.) : Brunca y Dor 364 , así como de dos densidades: 30 y 45 semillas por metro cuadrado; sobre la dinámica de las malezas, el crecimiento y rendimiento del café (Coffea arabica L.) variedad Catuaí amarillo. de nueve años de edad, bajo sistema de asocio, el cual se realizó en el Centro Experimental del Café del Pacifico - Jardín Botánico - en Masatepe, Masaya Nicaragua. Al evaluarse las variables altura de planta, diámetro del tallo, longitud de bandolas, número de ramas pares y rendimiento del café. se encontró que no hubo diterencia estadística significativa en el efecto de variedades y densidades de frijol sobre el café. Los tratamientos mostraron abundancia de malezas al inicio. alrededor de 250 individuos por metro cuadrado y al final menores de 100 individuos por metro cuadrado y fue la variedad Brunca y la densidad 45 semillas por metro cuadrado las que menor diversidad permitieron con 10 y 9 especies por metro cuadrado. Sobresaliendo en el asocio las especies Panicum trichoides Swarts. Oplismenus burmannii Berg y Commelina diffusa Burm F. Con respecto a los rendimientos. fueron precisamente la misma variedad y densidad las que mostraron mejores resultados tanto para café con valores de 1 558.60 y 1 331 kg/ha: así como para el frijol con 435 y 329 kg/ha de asocio respectivamente en el periodo de primera. En postrera fue siempre la variedad Brunca la que obtuvo los mayores rendimientos de frijol con 430 kg/ha

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Presentamos aquí una lista actualizada de los condrictios (tiburones, rayas, quimeras y pez elefante) que han sido citados de la Argentina y Uruguay, incluyendo las especies de agua dulce de la familia Potamotrygonidae. Cuando una especie está presente en Argentina o en Uruguay, se lo indica a continuación de la especie; las demás, son compartidas. No se indica la distribución de las especies en otras áreas. Muchas de las especies conocidas de Uruguay terminan allí su distribución meridional, y ocasionalmente algunas entran a aguas argentinas y otras podrían hacerlo. Estas presencias ocasionales parecen no ser muy comunes. La progresiva disminución de las capturas de Dasyatis violacea con la disminución de temperatura hacia el sur ha sido demostrada (Domingo et al., 2005). En 1981 Menni publicó una lista de las familias de peces que no sobrepasaban la latitud del Río de La Plata, y de los condrictios mencionados, Orectolobidae, Ginglymostomatidae y Rhinopteridae, sólo una especie de la última familia ha sido citada en años recientes de Uruguay. Al contrario, especies que han sido citadas de la Argentina, como Sphyrna tudes de Mar del Plata por Berg (1895) o Narcine brasiliensis de la provincia de Buenos Aires por Lahille (1928), no han sido halladas de nuevo. La lista está basada en el catálogo crítico de Menni et al. (1984), y se han hecho las modificaciones taxonómicas necesarias y agregado las especies nuevas para el área. Debido al carácter práctico de esta lista, sólo se incluyen los autores de las especies y la fecha de su descripción. En los nuevos registros se agrega un breve comentario fundamentando la inclusión. Estando disponible el catálogo de Eschmeyer (1998) y su versión on-line, nos pareció que más detalles eran innecesarios. En la macrosistemática de los holocéfalos se sigue a Didier (2004), en la de los tiburones a Compagno (2005) y en la de los batoideos a McEachran & Aschliman (2004). Para las especies de Uruguay se ha seguido principalmente a Nion et al. (2002) y a Meneses y Paesch (1997), y deben mencionarse los trabajos anteriores de Ximénez (1962) y de Carrera (1991) que proveen referencias previas. La bibliografía se limita a trabajos generales que pueden ser de utilidad, los trabajos en que se basan las nuevas referencias, y los que corresponden a comentarios. No se han incluido numerosos trabajos sobre biología y ecología de estos organismos, que han modificado mucho la información resumida en Menni (1986), pero sí algunos que muestran cambios considerables de distribución. (PDF tiene 18 paginas.)

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La presente contribución al conocimiento de la fauna de peces argentina y otras que le siguen, son una continuación natural de un trabajo publicado en esta revista bajo el título un poco largo, pero deliveradamente comprensivo, de Nuevos conceptos sobre la distribución geográfica de los peces argentinos, basados en expediciones del Museo de La Plata. Sigo aquí el mismo método de descripciones y aplico el mismo criterio taxonómico y ecológico para alcanzar las conclusiones zoogeográficas. Se verá nuevamente, pues, cuánto falta aún para delimitar el contenido de la fauna sudamericana, y cuán necesario es descibir minuciosamente, con materiales de procedencia cierta y con conocimiento del ambiente, si se quiere iniciarse de una vez en la vía de la identificación sistemática de las formas pero en función del hábitat, como se ve en las obras de Leo Berg, Hubbs, y otros maestros de la ictiología contemporánea.

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O estudo objetivou avaliar a composição florística e estrutural dos componentes arbustivo-arbóreo da Floresta Ombrófila Densa submontana em diferentes estágios de regeneração natural, na vertente sudeste do Parque Estadual da Ilha Grande/RJ. Para o inventário florístico foram realizadas coletas assistemáticas em diferentes trechos nessa vertente. A complementação da lista de espécies foi feita a partir, da consulta às exsicatas dos herbários do Rio de Janeiro (FCAB, GUA, HB, HRJ, R, RB, RBR, RFA, RFFP e RUSU) e do inventário fitossociológico. Foi verificado o status de conservação das espécies inventariadas para a Flora Brasileira. Para o inventário fitossociológico foram estabelecidas 34 parcelas amostrais, totalizando 1,02 ha de área amostrada. Todos os indivíduos arbustivo-arbóreos com DAP ≥ 5 cm foram registrados e, após identificação, foram depositados no Herbário da Universidade do Estado do Rio de Janeiro (HRJ). O pacote estatístico FITOPAC 2.1. foi utilizado para a análise dos dados. A similaridade entre o remanescente investigado neste estudo e as outras quatorze áreas distintas do Rio de Janeiro, da própria Ilha Grande ou não, foi avaliada, utilizando-se o coeficiente de Similaridade de Sorensen; pelo critério de agrupamento por ligação média não ponderada (UPGMA) e pelo método de autorreamostragem para a estrutura de grupos; utilizados os programas PAST v1.34 e Multiv 2.4. A partir do levantamento em herbários e dos inventários florístico e fitossociológico realizados neste trabalho, foram analisados 3.470 registros, sendo 1.778 do levantamento de herbários, 1.536 do levantamento fitossociológico e 156 do inventário florístico. Esses registros corresponderam a 606 espécies ou morfo-espécies de Angiospermas e uma de Pteridófita. Os resultados obtidos revelaram a existência de 22 espécies ameaçadas de extinção para a Flora do Brasil. Dentre, as quais, sete são exclusivas da amostragem fitossociológica: Abarema cochliacarpos (Gomes) Barneby & J.W. Grimes, Chrysophyllum flexuosum Mart., Ficus pulchella Schott ex Spreng., Macrotorus utriculatus Perkins, Myrceugenia myrcioides (Cambess.) O.Berg, Rudgea interrupta Benth e Urbanodendron bahiense (Meisn.) Rohwer. No estudo fitossociológico, inventariou-se 1.536 indivíduos de 217 espécies, subordinadas a 53 famílias. O índice de diversidade de Shannon (H) calculado foi de 4,702 nats/ind e equabilidade (J) de 0,874. As 10 famílias com maior riqueza foram: Myrtaceae (31 spp.), Rubiaceae (21), Fabaceae (17), Lauraceae (12), Euphorbiaceae (11), Monimiaceae (8), Melastomataceae (7), Sapindaceae (7), Sapotaceae (6) e Annonaceae (6). Os 10 maiores Valores de Importância das espécies foram para Chrysophyllum flexuosum (3,43%), Lamanonia ternata Vell. (3,40%), Hyeronima alchorneoides Allemão (2,83%), Actinostemon verticillatus (Klotzsch) Baill. (2,55%), Psychotria brasiliensis Vell. (2,55%), Eriotheca pentaphylla (Vell.) A. Robyns (2,28%), Guatteria australis A. St.-Hil. (2,12%), Mabea brasiliensis Müll. Arg. (2,04%), Miconia prasina (Sw.) DC. (1,89%) e Rustia formosa (Cham. & Schltdl. ex DC.) Klotzsch (1,82%). Amostraram-se 27% de espécies representadas por apenas um indivíduo. As análises florísticas avaliadas a partir do Índice de Similaridade de Sorensen indicaram como principais variáveis para a formação dos blocos, os diferentes valores de diversidade para as áreas e a distribuição fitogeográfica das espécies. Os resultados obtidos junto aos dados dos grupos ecológicos, para os indivíduos da fitossociologia, indicaram maior percentual de indivíduos secundários tardios amostrados. Conclui-se que a área de estudo é uma floresta secundária em estágio intermediário de regeneração, com grande riqueza de espécies, muitas das quais de relevante importância ecológica.

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Nas últimas décadas, teorias têm sido formuladas para interpretar o comportamento de solos não saturados e estas têm se mostrado coerentes com resultados experimentais. Paralelamente, várias técnicas de campo e de laboratório têm sido desenvolvidas. No entanto, a determinação experimental dos parâmetros dos solos não saturados é cara, morosa, exige equipamentos especiais e técnicos experientes. Como resultado, essas teorias têm aplicação limitada a pesquisas acadêmicas e são pouco utilizados na prática da engenharia. Para superar este problema, vários pesquisadores propuseram equações para representar matematicamente o comportamento de solos não saturados. Estas proposições são baseadas em índices físicos, caracterização do solo, em ensaios convencionais ou simplesmente em ajustes de curvas. A relação entre a umidade e a sucção matricial, convencionalmente denominada curva característica de sucção do solo (SWCC) é também uma ferramenta útil na previsão do comportamento de engenharia de solos não saturados. Existem muitas equações para representar matematicamente a SWCC. Algumas são baseadas no pressuposto de que sua forma está diretamente relacionada com a distribuição dos poros e, portanto, com a granulometria. Nestas proposições, os parâmetros são calibrados pelo ajuste da curva de dados experimentais. Outros métodos supõem que a curva pode ser estimada diretamente a partir de propriedades físicas dos solos. Estas propostas são simples e conveniente para a utilização prática, mas são substancialmente incorretas, uma vez que ignoram a influência do teor de umidade, nível de tensões, estrutura do solo e mineralogia. Como resultado, a maioria tem sucesso limitado, dependendo do tipo de solo. Algumas tentativas têm sido feitas para prever a variação da resistência ao cisalhamento com relação a sucção matricial. Estes procedimentos usam, como uma ferramenta, direta ou indiretamente, a SWCC em conjunto com os parâmetros efetivos de resistência c e . Este trabalho discute a aplicabilidade de três equações para previsão da SWCC (Gardner, 1958; van Genuchten, 1980; Fredlund; Xing, 1994) para vinte e quatro amostras de solos residuais brasileiros. A adequação do uso da curva característica normalizada, proposta por Camapum de Carvalho e Leroueil (2004), também foi investigada. Os parâmetros dos modelos foram determinados por ajuste de curva, utilizando técnicas de problema inverso; dois métodos foram usados: algoritmo genético (AG) e Levenberq-Marquardt. Vários parâmetros que influênciam o comportamento da SWCC são discutidos. A relação entre a sucção matricial e resistência ao cisalhamento foi avaliada através de ajuste de curva utilizando as equações propostas por Öberg (1995); Sällfors (1997), Vanapalli et al., (1996), Vilar (2007); Futai (2002); oito resultados experimentais foram analisados. Os vários parâmetros que influênciam a forma da SWCC e a parcela não saturadas da resistência ao cisalhamento são discutidos.

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[ES] La entrada en vigor del proyecto de Solvencia II transformará por completo el sistema de determinación de las necesidades de capital del sector asegurador europeo. Recientemente se ha presentado el último estudio de impacto cuantitativo (QIS5), donde se establece la forma de cálculo del modelo estándar para la determinación de los requerimientos de capital. Este trabajo trata de analizar la adecuación de la calibración del riesgo de crédito de la contraparte mediante los modelos que se proponen en los últimos informes de impacto cuantitativo (cuarto y quinto). Para ello comparamos las necesidades de capital que se obtienen por ambas alternativas, frente a las que resultarían de aplicar un modelo de simulación basado en el enfoque estructural. Los resultados obtenidos muestran que el uso de probabilidades basadas en la metodología de Merton frente a aquellas basadas en ratings, dan lugar a requerimientos de capital sustancialmente mayores. Además, el modelo propuesto en QIS4 basado en la distribución de Vasicek no es adecuado cuando el número de contrapartes es reducido, situación habitual en el sector asegurador europeo. Por otra parte, la nueva propuesta (QIS5 o modelo de Ter Berg) es más versátil y adecuada que su antecesora pero requiere analizar con más detenimiento las hipótesis de calibración para de este modo aproximar mejor las estimaciones al riesgo realmente asumido.