991 resultados para COMPETITION 2003


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Tutkimuksen tarkoitus on kartoittaa Suomen talviukkosten ominaisuuksia ja klimatologiaa. Tiedot Suomen talviukkosten klimatologista tutkimusta varten kerättiin mm. salamanpaikantimilta ja ihmisten IL:lle tiedottamista havainnoista, SYNOP-kartoilta, rintama-analyyseistä, luotauksista ja luotaustietojen pohjalta piirretyistä salamakartoista sekä sadetutkan kuvista. Tutkimuksessa määriteltiin talviukkoseksi yksi tai useampi salamahavainto säätilanteessa, jossa salamahavaintopaikkaan ja -aikaan nähden lähimmistä synop-havainnoista ainakin yhdessä on havaittu joko ≤ 0 °C lämpötila tai lumi- tai räntäsadetta. Näin rajattuna vuosina 2003-2007 talviukkostapauksia oli 19 kpl. Tapaukset jakaantuivat melko tasaisesti loka-marraskuun vaihteen ja huhtikuun välille, pienet maksimit olivat marras- ja helmikuussa. Tapausten esiintymisajankohtia rajoitti siis vain talviukkosten määritelmän mukaisten sääolosuhteiden esiintyminen. Vuorokaudenajalla ei ollut merkittävää vaikutusta talvisalamoiden esiintymiselle. Alueellisesti talviukkoset painottuivat maan lounaisosaan mutta niitä havaittiin koko maassa Käsivarren Lappia myöten. 16 tapauksessa 19:sta talviukkoset havaittiin okluusiorintamaksi analysoidun rintaman yhteydessä. Yhdessä tapauksessa rintama oli analysoitu kylmäksi ja kahdessa rintama-analyysi oli epäselvä. Matalapaineen keskus sijaitsi iskuhavaintopaikkoihin nähden yleensä lännen puolella. Lännen puolen yleisyyden aiheutti okluusiorintamien kiertosuunta myötäpäivään matalapaineen keskukseen nähden. Pintalämpötila oli lähes kaikissa talviukkostapauksissa lähellä nollaa ja havaintopaikan lähellä olevissa SYNOP-havainnoissa havaittiin useissa tapauksissa sadetta sekä vetenä että kiinteässä olomuodossa. CAPE:n arvot olivat joko nollassa tai hyvin lähellä sitä iskuhavaintoihin nähden lähimmissä luotauksissa. Lämmintä advektiota havaittiin lähes kaikissa tutkituissa luotauksissa, myös sulan meren vaikutus näkyi tuloksissa talviukkosia edistävänä tekijänä. Maasalamoita havaittiin talviukkosten yhteydessä useimmin 1 tai 2 ja iskuja salamaa kohden 1 tai 2. Havaituista maasalamoista positiivisia oli 46 % ja negatiivisia 54 %. Tapaustutkimukset tehtiin kahdesta vuosien 2003-2007 talviukkosia hyvin edustavasta tapauksesta sekä yhdestä salamamäärältään poikkeuksellisen runsaasta tapauksesta.

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Genetic and physiological studies often comprise genotypes diverse in vigour, size and flowering time. This can make the phenotyping of complex traits challenging, particularly those associated with canopy development, biomass and yield, as the environment of one genotype can be influenced by a neighbouring genotype. Limited seed and space may encourage field assessment in single, spaced rows or in small, unbordered plots, whereas the convenience of a controlled environment or greenhouse makes pot studies tempting. However, the relevance of such growing conditions to commercial field-grown crops is unclear and often doubtful. Competition for water, light and nutrients necessary for canopy growth will be variable where immediate neighbours are genetically different, particularly under stress conditions, where competition for resources and influence on productivity is greatest. Small hills and rod-rows maximise the potential for intergenotypic competition that is not relevant to a crop’s performance in monocultures. Response to resource availability will typically vary among diverse genotypes to alter genotype ranking and reduce heritability for all growth-related traits, with the possible exception of harvest index. Validation of pot experiments to performance in canopies in the field is essential, whereas the planting of multirow plots and the simple exclusion of plot borders at harvest will increase experimental precision and confidence in genotype performance in target environments.

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Australian shoppers have inadvertently invited global discount grocers to our shores by demonstrating their readiness to adopt private labels. In 2001, German discounter Aldi opened its first store in Sydney. The impact this business format would have on the Australian grocery sector was underestimated.

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Cultural practices alter patterns of crop growth and can modify dynamics of weed-crop competition, and hence need to be investigated to evolve sustainable weed management in dry-seeded rice (DSR). Studies on weed dynamics in DSR sown at different times under two tillage systems were conducted at the Agronomic Research Farm, University of Agriculture, Faisalabad, Pakistan. A commonly grown fine rice cultivar 'Super Basmati' was sown on 15th June and 7th July of 2010 and 2011 under zero-till (ZT) and conventional tillage (CONT) and it was subjected to different durations of weed competition [10, 20, 30, 40, and 50 days after sowing (DAS) and season-long competition]. Weed-free plots were maintained under each tillage system and sowing time for comparison. Grassy weeds were higher under ZT while CONT had higher relative proportion of broad-leaved weeds in terms of density and biomass. Density of sedges was higher by 175% in the crop sown on the 7th July than on the 15th June. Delaying sowing time of DSR from mid June to the first week of July reduced weed density by 69 and 43% but their biomass remained unaffected. Tillage systems had no effect on total weed biomass. Plots subjected to season-long weed competition had mostly grasses while broad-leaved weeds were not observed at harvest. In the second year of study, dominance of grassy weeds was increased under both tillage systems and sowing times. Significantly less biomass (48%) of grassy weeds was observed under CONT than ZT in 2010; however, during 2011, this effect was non-significant. Trianthema portulacastrum and Dactyloctenium aegyptium were the dominant broad-leaved and grassy weeds, respectively. Cyperus rotundus was the dominant sedge weed, especially in the crop sown on the 7th July. Relative yield loss (RYL) ranged from 3 to 13% and 7 to16% when weeds were allowed to compete only for 20 DAS. Under season-long weed competition, RYL ranged from 68 to 77% in 2010 and 74 to80% in 2011. The sowing time of 15th June was effective in minimizing weed proliferation and rectifying yield penalty associated with the 7th July sowing. The results suggest that DSR in Pakistan should preferably be sown on 15th June under CONT systems and weeds must be controlled before 20 DAS to avoid yield losses. Successful adoption of DSR at growers' fields in Pakistan will depend on whether growers can control weeds and prevent shifts in weed population from intractable weeds to more difficult-to-control weeds as a consequence of DSR adoption.

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This collection is mainly composed of correspondence between Ms. Stern and Mrs. Roosevelt, spanning the years from their first acquaintance in 1941 to Mrs. Roosevelt's decease in 1962. Letters that hold particular interest concern Ms. Stern's experience at the Summer Student Leadership Institute, and the White House. Additional material in the collection encompasses articles, newsclippings, programs, press releases, and photographs. The articles and newsclippings folder contains information pertaining to Ms. Stern's college career, the first Summer Student Leadership Institute, Mrs. Roosevelt's talk at Community Day, National Youth Association, and a donation of an ambulance to the war effort by Hunter college students. Naomi Block Manners Stern personal folder contains an article Naomi Block wrote in her college magazine, "Echo," describing her perceptions of President Roosevelt and Prime Minister Winston Churchill during her first visit at the White House. Also included is her graduation program, listing Mrs. Roosevelt as the main speaker, a commemoration of President Roosevelt in 1972 in which Ms. Stern took part, an article and press release describing Ms. Stern's career at Revlon, and a 2003 written summary of Ms. Stern's relationship with Mrs. Roosevelt. Photographs were taken by Naomi Block and others at the Summer Leadership Institute in 1941 portray identified fellow students, Mrs. Roosevelt, James Roosevelt, the Roosevelt home in Campobello, and Felix Frankfurter.

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Individual movement is very versatile and inevitable in ecology. In this thesis, I investigate two kinds of movement body condition dependent dispersal and small-range foraging movements resulting in quasi-local competition and their causes and consequences on the individual, population and metapopulation level. Body condition dependent dispersal is a widely evident but barely understood phenomenon. In nature, diverse relationships between body condition and dispersal are observed. I develop the first models that study the evolution of dispersal strategies that depend on individual body condition. In a patchy environment where patches differ in environmental conditions, individuals born in rich (e.g. nutritious) patches are on average stronger than their conspecifics that are born in poorer patches. Body condition (strength) determines competitive ability such that stronger individuals win competition with higher probability than weak individuals. Individuals compete for patches such that kin competition selects for dispersal. I determine the evolutionarily stable strategy (ESS) for different ecological scenarios. My models offer explanations for both dispersal of strong individuals and dispersal of weak individuals. Moreover, I find that within-family dispersal behaviour is not always reflected on the population level. This supports the fact that no consistent pattern is detected in data on body condition dependent dispersal. It also encourages the refining of empirical investigations. Quasi-local competition defines interactions between adjacent populations where one population negatively affects the growth of the other population. I model a metapopulation in a homogeneous environment where adults of different subpopulations compete for resources by spending part of their foraging time in the neighbouring patches, while their juveniles only feed on the resource in their natal patch. I show that spatial patterns (different population densities in the patches) are stable only if one age class depletes the resource very much but mainly the other age group depends on it.

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Parthenium hysterophorus L., (Asteraceae) commonly known as parthenium weed, is a highly invasive plant that has become a problematic weed of pasture lands in Australia and many other countries around the world. For the management of this weed, an integrated approach comprising biological control and plant competition strategies was tested in southern central Queensland. Two competitive pasture plant species (butterfly pea and buffel grass), selected for their high competitive ability, worked successfully with the biological control agent (Epiblema strenuana Walker) to synergistically reduce the biomass of parthenium weed, by between 62 and 69%. In the presence of biological control agent, the corresponding biomass of competitive plants, butterfly pea and buffel grass increased in comparison to when the biological control agent had been excluded, by 15 and 35%, respectively. This suggests that biological control and competitive plants can complement one another to bring about improved management of parthenium weed in Australia. Further, this approach may be adopted in countries where some of the biological control agents are already present including South Africa, Ethiopia, India, Pakistan and Nepal.

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A national church, freedom of religion, and the state The interpretation of freedom of religion formulated by the Synod of the Evangelical Lutheran Church of Finland in reference to the relationship between the Church and the state from 1963 to 2003 This paper discusses the interpretation of freedom of religion formulated by the Synod of the Evangelical Lutheran Church of Finland during the years 1963-2003. The effect of these formulations and decisions made by the Synod on the relationship between the Church and the state is also discussed as the relationship has been a central issue in the debate about freedom of religion in Finland. Active co-operation with the state caused a dispute in the Church during this period. Another cause for concern for the Synod, a strong defender of the national church, was the weakening position of the Church in a society undergoing many changes. As the Synod of 1963 discussed the status of the Church, the Church began to reflect upon its identity as a national church, and to evaluate freedom of religion in the country, as well as the relationship between the Church and the state. Some of the radicals of the 1960s and 1970s presented the Church as an obstacle to freedom of religion. The Synod was keen to emphasize that, in accordance with international agreements on human rights, freedom of religion means the freedom to have and follow a religion, and also that freedom of religion was a right of the majority in Finnish society. As an active guardian of the rights of its members, the Synod defended such issues as the teaching of religion in schools. Throughout the dispute, the Church focused on its right to act freely and, according to its identity, to express spirituality in the society. At the end of the 1960s, several efforts to reform the law on the freedom of religion and the relationship between the Church and the state gained favour in the Synod. These formulations of the Church were the basis for the work of a parliamentary committee in the 1970s, but no significant changes resulted. Instead, freedom of religion in Finland was judged to be fairly good. The committee paper did, however, lead to preparations for greater independence of the Church. The Synod at the time chose to react to the changes presented to it, but it was not before the 1990s that the Synod became an active force of reform in these matters. Though the Synod, particularly from the 1970s onwards, began clearly to favour the improvement of the position of other religious communities in Finland, it felt it had reason to be cautious as each church and religious community had the freedom to decide individually its relationship with the state. Any changes that would have weakened the position of the Church in Finnish society were met with disapproval in the Synod. Even though some theological concerns regarding the national identity of the Church were raised, the Synod emphasized issues of church policy. Keen to preserve and protect its legal status in society, the Synod judged that this status supported the freedom of action enjoyed by the Church as well as the freedom of religion.

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Background Investigating population changes gives insight into effectiveness and need for prevention and rehabilitation services. Incidence rates of amputation are highly varied, making it difficult to meaningfully compare rates between studies and regions or to compare changes over time. Study Design Historical cohort study of transtibial amputation, knee disarticulation, and transfemoral amputations resulting from vascular disease or infection, with/without diabetes, in 2003-2004, in the three Northern provinces of the Netherlands. Objectives To report the incidence of first transtibial amputation, knee disarticulation, or transfemoral amputation in 2003-2004 and the characteristics of this population, and to compare these outcomes to an earlier reported cohort from 1991 to 1992. Methods Population-based incidence rates were calculated per 100,000 person-years and compared across the two cohorts. Results Incidence of amputation was 8.8 (all age groups) and 23.6 (≥45 years) per 100,000 person-years. This was unchanged from the earlier study of 1991-1992. The relative risk of amputation was 12 times greater for people with diabetes than for people without diabetes. Conclusions Investigation is needed into reasons for the unchanged incidence with respect to the provision of services from a range of disciplines, including vascular surgery, diabetes care, and multidisciplinary foot clinics. Clinical relevance This study shows an unchanged incidence of amputation over time and a high risk of amputation related to diabetes. Given the increased prevalence of diabetes and population aging, both of which present an increase in the population at risk of amputation, finding methods for reducing the rate of amputation is of importance.

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A national church, freedom of religion, and the state The interpretation of freedom of religion formulated by the Synod of the Evangelical Lutheran Church of Finland in reference to the relationship between the Church and the state from 1963 to 2003 This paper discusses the interpretation of freedom of religion formulated by the Synod of the Evangelical Lutheran Church of Finland during the years 1963-2003. The effect of these formulations and decisions made by the Synod on the relationship between the Church and the state is also discussed as the relationship has been a central issue in the debate about freedom of religion in Finland. Active co-operation with the state caused a dispute in the Church during this period. Another cause for concern for the Synod, a strong defender of the national church, was the weakening position of the Church in a society undergoing many changes. As the Synod of 1963 discussed the status of the Church, the Church began to reflect upon its identity as a national church, and to evaluate freedom of religion in the country, as well as the relationship between the Church and the state. Some of the radicals of the 1960s and 1970s presented the Church as an obstacle to freedom of religion. The Synod was keen to emphasize that, in accordance with international agreements on human rights, freedom of religion means the freedom to have and follow a religion, and also that freedom of religion was a right of the majority in Finnish society. As an active guardian of the rights of its members, the Synod defended such issues as the teaching of religion in schools. Throughout the dispute, the Church focused on its right to act freely and, according to its identity, to express spirituality in the society. At the end of the 1960s, several efforts to reform the law on the freedom of religion and the relationship between the Church and the state gained favour in the Synod. These formulations of the Church were the basis for the work of a parliamentary committee in the 1970s, but no significant changes resulted. Instead, freedom of religion in Finland was judged to be fairly good. The committee paper did, however, lead to preparations for greater independence of the Church. The Synod at the time chose to react to the changes presented to it, but it was not before the 1990s that the Synod became an active force of reform in these matters. Though the Synod, particularly from the 1970s onwards, began clearly to favour the improvement of the position of other religious communities in Finland, it felt it had reason to be cautious as each church and religious community had the freedom to decide individually its relationship with the state. Any changes that would have weakened the position of the Church in Finnish society were met with disapproval in the Synod. Even though some theological concerns regarding the national identity of the Church were raised, the Synod emphasized issues of church policy. Keen to preserve and protect its legal status in society, the Synod judged that this status supported the freedom of action enjoyed by the Church as well as the freedom of religion.

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Concordia-lehti alkaessaan ilmestyä 1994 herätti ristiriitaisia reaktioita esimerkiksi SLEY:n henkilöstön keskuudessa. Alusta alkaen avainhenkilöitä ovat olleet Hannu Lehtonen, Hannu Halonen, Simo Kiviranta ja Sakari Korpinen. Ekumeniaan Concordia on suhtautunut kriittisesti arvioidessaan Porvoon sopimusta ja Yhteistä julistusta vanhurskauttamisesta. Keskeisiä teemoja tässä lehdessä ovat olleet tutkittavana aikana yleinen ja uskon kautta tapahtuva vanhurskauttaminen, Raamatun arvovallan korostaminen, sakramenttien merkityksen esillä pitäminen ja tietyt moraaliset ja eettiset periaatteet ja näkökulmat. Concordiassa on esiintynyt runsaasti sitaatteja Martti Lutherin teoksista, melko paljon myös luterilaisen ortodoksian edustajilta, kuten Martin Chemnitziltä ja Johann Gerhardilta. Ylivoimaisesti eniten artikkeleja kymmenen vuoden aikana on tehnyt päätoimittaja, pastori Hannu Lehtonen. Kirjoittajien joukossa maallikkojen osuus on ollut huomattava. Karismaattisia ilmiöitä arvioitaessa nähtiin osan armolahjoista kuuluneen ennen kaikkea alkukirkon aikaan, vaikka samalla todettiin ihmeitä voivan tapahtua nykyaikanakin. Concordian kirjoittajat eivät hyväksyneet läheskään kaikkia Suomen evankelis-luterilaisessa kirkossa tapahtuneita päätöksiä, asioita ja ilmiöitä. Voimakkaasti todettiin, että kirkossa ei tulisi samanaikaisesti sallia sekä totuutta että erilaisia harhaoppeja. Myös evankelisen liikkeen tai muiden herätysliikkeiden toimintaa ei aina pidetty tarpeeksi rohkeana, vaan katsottiin niiden mukautuneen liikaa yhteiskuntaan ja yleiseen ja valtaa pitävään kirkollisuuteen. Esimerkiksi Helsingin yliopistossa käytettyä historiallis-kriittistä metodia parempana metodina pidettiin historiallis-dogmaattista. Opetusta maailman syntymisestä pitkän evoluutio-prosessin seurauksena ei Concordiassa hyväksytty, vaan opetettiin Jumalan luoneen maailman kuudessa päivässä. Concordiassa kirjoittajina on esiintynyt myös useita tunnustuksellisen luterilaisuuden edustajia lähinnä Yhdysvalloista ja Pohjoismaista. Tutkitun lehden merkitys kirkollisessa kentässä ei ole tilaajamäärän pienuuden vuoksi kovin merkittävä, mutta eräänlaisena taustalla vaikuttajana ja keskustelun herättäjänä vaikutus on ollut suurempi. Concordian näkemyksen mukaan suuri enemmistö ei läheskään aina ole ollut oikeassa hengellisissä kysymyksissä. Evankeliseen liikkeeseen Concordian kirjoittajilla on ollut tietynlainen viha-rakkaussuhde, vaikka se on ollut monen kirjoittajan hengellinen koti. Lehdessä esiintynyttä pietismin arviointia tutkimus ei ole kovin paljon käsitellyt, koska se ei olisi kovin hyvin sopinut eri lukujen otsi- koiden alle. Helluntailaisuuden eri opinkäsityksiä Concordia on myös pyrkinyt kumoamaan. Lehti on halunnut koko ajan perustella opetuksensa selkeillä raamatunkohdilla ja edistää näin luterilaisen uskon ja opin tuntemusta. Tässä tutkimuksessa on ollut tietoinen valinta käyttää samoja raamatunkohtia lähteenä, joita Concordian kirjoittajat ovat itse käyttäneet. Kirkkohistoriaan kuuluvassa opinnäytteessä ei ole yleensä tyypillistä käyttää näin paljon viittauksia Raamattuun, mutta tällainen dogmatiikan mukaan ottaminen on perusteltua, koska se on niin olennainen osa Concordia-lehden teologiaa ja tapaa tuoda esille asioita. Tiivistetysti todeten ihmisten ainoa vapahtaja ja pelastaja on ollut tutkitun lehden mukaan ja on edelleen Jeesus Kristus.

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This study comprises an introductory section and three essays analysing Russia's economic transition from the early 1990s up to the present. The papers present a combination of both theoretical and empirical analysis on some of the key issues Russia has faced during its somewhat troublesome transformation from state-controlled command economy to market-based economy. The first essay analyses fiscal competition for mobile capital between identical regions in a transition country. A standard tax competition framework is extended to account for two features of a transition economy: the presence of two sectors, old and new, which differ in productivity; and a non-benevolent regional decision-maker. It is shown that in very early phase of transition, when the old sector clearly dominates, consumers in a transition economy may be better off in a competitive equilibrium. Decision-makers, on the other hand, will prefer to coordinate their fiscal policies. The second essay uses annual data for 1992-2003 to examine income dispersion and convergence across 76 Russian regions. Wide disparities in income levels have indeed emerged during the transition period. Dispersion has increased most among the initially better-off regions, whereas for the initially poorer regions no clear trend of divergence or convergence could be established. Further, some - albeit not highly robust - evidence was found of both unconditional and conditional convergence, especially among the initially richer regions. Finally, it is observed that there is much less evidence of convergence after the economic crisis of 1998. The third essay analyses industrial firms' engagement in provision of infrastructure services, such as heating, electricity and road maintenance. Using a unique dataset of 404 large and medium-sized industrial enterprises in 40 regions of Russia, the essay examines public infrastructure provision by Russian industrial enterprises. It is found that to a large degree engagement in infrastructure provision, as proxied by district heating production, is a Soviet legacy. Secondly, firms providing district heating to users outside their plant area are more likely to have close and multidimensional relations with the local public sector.

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A vast amount of public services and goods are contracted through procurement auctions. Therefore it is very important to design these auctions in an optimal way. Typically, we are interested in two different objectives. The first objective is efficiency. Efficiency means that the contract is awarded to the bidder that values it the most, which in the procurement setting means the bidder that has the lowest cost of providing a service with a given quality. The second objective is to maximize public revenue. Maximizing public revenue means minimizing the costs of procurement. Both of these goals are important from the welfare point of view. In this thesis, I analyze field data from procurement auctions and show how empirical analysis can be used to help design the auctions to maximize public revenue. In particular, I concentrate on how competition, which means the number of bidders, should be taken into account in the design of auctions. In the first chapter, the main policy question is whether the auctioneer should spend resources to induce more competition. The information paradigm is essential in analyzing the effects of competition. We talk of a private values information paradigm when the bidders know their valuations exactly. In a common value information paradigm, the information about the value of the object is dispersed among the bidders. With private values more competition always increases the public revenue but with common values the effect of competition is uncertain. I study the effects of competition in the City of Helsinki bus transit market by conducting tests for common values. I also extend an existing test by allowing bidder asymmetry. The information paradigm seems to be that of common values. The bus companies that have garages close to the contracted routes are influenced more by the common value elements than those whose garages are further away. Therefore, attracting more bidders does not necessarily lower procurement costs, and thus the City should not implement costly policies to induce more competition. In the second chapter, I ask how the auctioneer can increase its revenue by changing contract characteristics like contract sizes and durations. I find that the City of Helsinki should shorten the contract duration in the bus transit auctions because that would decrease the importance of common value components and cheaply increase entry which now would have a more beneficial impact on the public revenue. Typically, cartels decrease the public revenue in a significant way. In the third chapter, I propose a new statistical method for detecting collusion and compare it with an existing test. I argue that my test is robust to unobserved heterogeneity unlike the existing test. I apply both methods to procurement auctions that contract snow removal in schools of Helsinki. According to these tests, the bidding behavior of two of the bidders seems consistent with a contract allocation scheme.