959 resultados para The Impossible Is Possible


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Airway inflammation is a key feature of bronchial asthma. In asthma management, according to international guidelines, the gold standard is anti-inflammatory treatment. Currently, only conventional procedures (i.e., symptoms, use of rescue medication, PEF-variability, and lung function tests) were used to both diagnose and evaluate the results of treatment with anti-inflammatory drugs. New methods for evaluation of degree of airway inflammation are required. Nitric oxide (NO) is a gas which is produced in the airways of healthy subjects and especially produced in asthmatic airways. Measurement of NO from the airways is possible, and NO can be measured from exhaled air. Fractional exhaled NO (FENO) is increased in asthma, and the highest concentrations are measured in asthmatic patients not treated with inhaled corticosteroids (ICS). Steroid-treated patients with asthma had levels of FENO similar to those of healthy controls. Atopic asthmatics had higher levels of FENO than did nonatopic asthmatics, indicating that level of atopy affected FENO level. Associations between FENO and bronchial hyperresponsiveness (BHR) occur in asthma. The present study demonstrated that measurement of FENO had good reproducibility, and the FENO variability was reasonable both short- and long-term in both healthy subjects and patients with respiratory symptoms or asthma. We demonstrated the upper normal limit for healthy subjects, which was 12 ppb calculated from two different healthy study populations. We showed that patients with respiratory symptoms who did not fulfil the diagnostic criteria of asthma had FENO values significantly higher than in healthy subjects, but significantly lower than in asthma patients. These findings suggest that BHR to histamine is a sensitive indicator of the effect of ICS and a valuable tool for adjustment of corticosteroid treatment in mild asthma. The findings further suggest that intermittent treatment periods of a few weeks’ duration are insufficient to provide long-term control of BHR in patients with mild persistent asthma. Moreover, during the treatment with ICS changes in BHR and changes in FENO were associated. FENO level was associated with BHR measured by a direct (histamine challenge) or indirect method (exercise challenge) in steroid-naïve symptomatic, non-smoking asthmatics. Although these associations could be found only in atopics, FENO level in nonatopic asthma was also increased. It can thus be concluded that assessment of airway inflammation by measuring FENO can be useful for clinical purposes. The methodology of FENO measurements is now validated. Especially in those patients with respiratory symptoms who did not fulfil the diagnostic criteria of asthma, FENO measurement can aid in treatment decisions. Serial measurement of FENO during treatment with ICS can be a complementary or an alternative method for evaluation in patients with asthma.

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An analysis is performed to study the flow and heat transfer characteristics for the case of laminar mixed convection along a vertical circular cone. A mixed-convection parameter is introduced in the formulation of the problem such that smooth transition from one convective limit to the other is possible. The transformed conservation equations of the nonsimilar boundary layers are solved by an efficient finite-difference method.

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Multilevel inverters with hexagonal and dodecagonal voltage space vector structures have improved harmonic profile compared to two-level inverters. Further improvement in the quality of the waveform is possible using multilevel octadecagonal (18-sided polygon) voltage space vectors. This paper proposes an inverter circuit topology capable of generating multilevel octadecagonal voltage space vectors, by cascading two asymmetric three-level inverters. By the proper selection of dc-link voltages and the resultant switching states for the inverters, voltage space vectors, whose tips lie on three concentric octadecagons, are obtained. The advantages of octadecagonal voltage space vector-based pulsewidth modulation (PWM) techniques are the complete elimination of fifth, seventh, eleventh, and thirteenth harmonics in phase voltages and the extension of linear modulation range. In this paper, a simple PWM timing calculation method is also proposed. Experimental results have been presented in this paper to validate the proposed concept.

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Multilevel inverters with hexagonal and dodecagonal voltage space vector structures have improved harmonic profile compared to two level inverters. Further improvement in the quality of the waveform is possible using multilevel octadecagonal (18 sided polygon) voltage space vectors. This paper proposes an inverter circuit topology capable of generating multilevel octadecagonal voltage space vectors, by cascading two asymmetric three level inverters. By proper selection of DC link voltages and the resultant switching states for the inverters, voltage space vectors, whose tips lie on three concentric octadecagons, are obtained. The advantages of octadecagonal voltage space vector based PWM techniques are the complete elimination of fifth, seventh, eleventh and thirteenth harmonics in phase voltages and the extension of linear modulation range. In this paper, a simple PWM timing calculation method is also proposed. Matlab simulation results and experimental results have been presented in this paper to validate the proposed concept.

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Detection of pathogens from infected biological samples through conventional process involves cell lysis and purification. The main objective of this work is to minimize the time and sample loss, as well as to increase the efficiency of detection of biomolecules. Electrical lysis of medical sample is performed in a closed microfluidic channel in a single integrated platform where the downstream analysis of the sample is possible. The device functions involve, in a sequence, flow of lysate from lysis chamber passed through a thermal denaturation counter where dsDNA is denatured to ssDNA, which is controlled by heater unit. A functionalized binding chamber of ssDNA is prepared by using ZnO nanorods as the matrix and functionalized with bifunctional carboxylic acid, 16-(2-pyridyldithiol) hexadecanoic acid (PDHA) which is further attached to a linker molecule 1-ethyl-3-(3-dimethylaminopropyl) (EDC). Linker moeity is then covalently bound to photoreactive protoporphyrin (PPP) molecule. The photolabile molecule protoporphyrin interacts with -NH2 labeled single stranded DNA (ssDNA) which thus acts as a probe to detect complimentary ssDNA from target organisms. Thereafter the bound DNA with protoporphyrin is exposed to an LED of particular wavelength for a definite period of time and DNA was eluted and analyzed. UV/Vis spectroscopic analysis at 260/280 nm wavelength confirms the purity and peak at 260 nm is reconfirmed for the elution of target DNA. Quantitative and qualitative data obtained from the current experiments show highly selective detection of biomolecule such as DNA which have large number of future applications in Point-of-Care devices.

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Investigations on the avoidance reactions of pelagic schooling fish (herring and sprat) released by an approaching fishery vessel were carried out during the 378th cruise of FRC "Solea" from 25 September to 3 October 1995 in the Arkona Sea, southern Baltic. An echosounder system EK 500/BI500 with a 38 kHz transducer mounted on a towed body as weIl as a 120 kHz hull mounted transducer were used. Fish densities were measured synchronously as well as under the ship as at a laterally distances from the ship by the transducer of the towed body. By these means the variation of fish densities up to a certain distance from the ship is possible. The advantage of using an echo integrating system for these measurements is, that it works also for not schooling fish and under conditions where schooling fish disperse (e.g. at night).

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ENGLISH: The population structure and production of Pacific yellowfin tuna, Thunnus albacares, were examined by studying most of the basic data available on stock assessment, as well as other data, for the period 1965 to 1972. The data were obtained mainly from the Japanese longline fishery in the Pacific Ocean east of about 1200E and from the purse-seine fishery in the eastern Pacific east of about 140oW. Data from genetic studies of subpopulations were not used due to their preliminary nature. It was concluded that the concept of "semi-independent" subpopulations proposed by Kamimura and Honma (1963) and Royce (1964) defines the population structure of Pacific yellowfin. At least three stocks (i.e. western, central and eastern), relatively independent of each other, are thought to exist, but the actual number and location of subpopulations is still unclear. Possible north-south separations, indicated to some extent by genetic studies and tagging, could be neither substantiated nor rejected on the basis of this study. Finally, unless some major change in the fishing technology occurs, it is doubtful if any significant sustainable increase in yellowfin production from the Pacific is possible. The greatest potential for increase, if any, appears to be based on changing the size structure of yellowfin in the catch from the central Pacific. SPANISH: Se examino la estructura de la población y la producción del atún aleta amarilla del Pacifico Thunnus albacares para estudiar la mayoría de los datos básicos que se tenían sobre el avalúo de la población, como también otra información correspondiente al periodo de 1965·1972. Los datos fueron obtenidos principalmente de las pescas palangreros japonesas del Océano Pacifico al este de los 1200 E y de las pescas con redes de cerco del Pacifico oriental, al este de los 140oW. No se emplearon los datos de estudios genéticos de las subpoblaciones porque eran mas bien preliminares. Se concluyo que el concepto propuesto por Kamimura y Honma (1963) y Royce (1964) de subpoblaciones "semiindependientes" define la estructura de la población del aleta amarilla en el Pacifico. Se cree que existen por 10 menos tres existencias (e.d. la occidental, central y oriental), relativamente independientes la una de la otra, pero no se conoce con certeza cuantas subpoblaciones hay y donde se encuentran. La posible separación norte-sur, indicada, hasta cierto punto, por los análisis genéticos y del marcado, no puede ni confirmarse ni rechazarse basados en este estudio. Finalmente, a no ser que ocurra algún gran cambio en la tecnología pesquera es dudoso que sea posible obtener un aumento constante e importante en la producción del aleta amarilla del Pacifico. El potencial mayor de aumento, si es que existe alguno, parece que se basa en el cambio de la estructura de talla en la captura del aleta amarilla del Pacifico central. (PDF contains 169 pages.)

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Most behavioral tasks have time constraints for successful completion, such as catching a ball in flight. Many of these tasks require trading off the time allocated to perception and action, especially when only one of the two is possible at any time. In general, the longer we perceive, the smaller the uncertainty in perceptual estimates. However, a longer perception phase leaves less time for action, which results in less precise movements. Here we examine subjects catching a virtual ball. Critically, as soon as subjects began to move, the ball became invisible. We study how subjects trade-off sensory and movement uncertainty by deciding when to initiate their actions. We formulate this task in a probabilistic framework and show that subjects' decisions when to start moving are statistically near optimal given their individual sensory and motor uncertainties. Moreover, we accurately predict individual subject's task performance. Thus we show that subjects in a natural task are quantitatively aware of how sensory and motor variability depend on time and act so as to minimize overall task variability.

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The paper deals with the spawning cycle of the hake, Merluccius merluccius hubbsi in the fishing area of the Argentine fleet, SW Atlantic (35°- 46° L. S.: 53°- 63° L.W.; 30-160 fathoms depth). It was made on the basis of the weekly sampling of the commercial catch in the period January 1965 - March 1968. The results have been compared with those of the exploratory surveys made by the United Nations Fisheries Development Program (República Argentina - FAO). The histological study, which was made with 741 specimens, was most intensive in females than in males. The results have been compared with the sexual stage determinations of both sexes in the total samples during the period before mentioned. The conclusions are: 1. The analysis of the ovocytes frequency distributions showed a period of resting or slow recuperation (April - August) with a mode of 120 ~k and one of rapid transformation (October - December) from 120 μ tíll 830 ~k. After December it appears again the mode of 120 ~k which indicated the reserve stock. 2. The maturity factor shows in both sexes a period of low values , 0,52 to 2% (April - September) and, another with higher values (October - March). In the first period the values are concentrated, while in the second one a large dispersion is observed produced by the rapidity of the growth process of the gonads. It is more evident between November and December. 3. The liver weight variations, compared with the degree of ingestion and the values of the maturity factor, in time, demonstrated that: a) after two periods of abundant ingestion (March - April and October- November) there are two increases of the liver index; b) the increase of the Iiver index has a direct relation to the maturity factor; c) at the end of the summer season, when the values of the maturity factor decrease, those of the liver index are still high. This demonstrates that the hake does not arrive exhausted at the end of the spawning season and that a rapid recuperation for a new spawning by part of the stock is possible. 4. Females predominate in the samples during most of the year. In the period October - December, when sexual activation occurs, as it is demonstrated by the high values of the maturity factor, proportions are nearly 1 :1, and males at times are more numerous than females. 5. The analisys of the advaneed maturity stages, in relation to total length shows that in the hake, Iike in other fishes, the largest ones mature first. This applies for both sexes. 6. The study of the maturity factor values and the sexual stages of the samples allows the recognition of two spawning periods, the main one in summer (October - March) and another in winter (June - July). 7. Part of the summer spawners, with a rapid recuperation, should be able to spawn again in winter. This indicates that the hake population, acording to our samples, has two different possibilities of spawning. 8. After analysis of the frequency percentages composition of mature specimens it is concluded that during the summer season, when hake is fished in shallow waters and in a wide area (38°– 43° L.S.) the fleet is fishing on the spawning stocks. Some winter spawners specimens have been found at 37°- 38° L.S. and in waters of more than 100 fathoms depth. 9. A new maturity scale of seven stages is proposed, instead of the one of six stages now in use. The new added stage corresponds to the postspawners during its resting period.

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In this article, we propose a new way of approaching the topic of ethics for management and organization theory. We build on recent developments within critical organization studies that focus on the question of what kind of ethics is possible in organizational contexts that are inevitably beset by difference. Addressing this ‘ethics of difference’, we propose a turn to feminist theory, in which the topic has long been debated but which has been underutilized in organization theory until very recently. Specifically, we draw on the work of Bracha Ettinger to re-think and extend existing understandings. Inspired by gender studies, psychoanalysis, philosophy and art, Ettinger’s work has been celebrated for its revolutionary re-theorization of subjectivity. Drawing on a feminist ethics of the body inspired by psychoanalysis, she presents a concept of ‘trans-subjectivity’. In this, subjectivity is defined by connectedness, co-existence and compassion towards the other, and is grounded in what Ettinger terms the ‘matrixial borderspace’. An ethics of organization derived from the concept of the matrixial suggests that a different kind of ethical relation with the Other is possible. In this article, we demonstrate this through examining the issue of gender in the workplace. We conclude by outlining the implications of this perspective for rethinking ethics, embodiment and gender, and in particular for the development of a corporeal ethics for organization studies.

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Dissertação de mestrado, Engenharia Informática, Faculdade de Ciências e Tecnologia, Universidade do Algarve, 2015

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I present evidence of an antioxidant mechanism for vitamin E that correlates strongly with its physical location in a model lipid bilayer. These data address the overlooked problem of the physical distance between the vitamin's reducing hydrogen and lipid acyl chain radicals. The combined data from neutron diffraction, NMR and UV spectroscopy experiments, all suggest that reduction of reactive oxygen species and lipid radicals occurs specifically at the membrane's hydrophobic-hydrophilic interface. The latter is possible when the acyl chain adopts conformations in which they snorkel to the interface from the hydrocarbon matrix. Moreover, not all model lipids are equal in this regard, as indicated by the small differences in the vitamin's location. The present result is a clear example of the importance of lipid diversity in controlling the dynamic structural properties of biological membranes. Importantly, these results suggest that measurements of alpha-tocopherol oxidation kinetics, and its products, should be revisited by taking into consideration the physical properties of the membrane in which the vitamin resides.

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Les infrastructures linéaires sont reconnues pour faciliter la dispersion de plantes indésirables dans leur emprise et les habitats adjacents. Toutefois, les impacts des emprises de lignes électriques ont été peu étudiés, particulièrement en milieux humides. Cette étude a examiné la végétation des emprises de lignes électriques et de leurs habitats adjacents dans 23 tourbières ombrotrophes (bogs) et 11 minérotrophes (fens). Dans les fens, la dispersion des espèces indésirables est facilitée le long des emprises et certaines espèces peuvent se propager à plus de 43 m dans les habitats adjacents. Au contraire, ces infrastructures ne semblent pas favoriser la dispersion des espèces indésirables dans les bogs puisque leur présence était limitée à la marge des sites et était négligeable dans les habitats tourbeux adjacents. Finalement, les caractéristiques intrinsèques des tourbières, telles leur degré de minérotrophie (bog ou fen) et leur structure végétale (tourbière ouverte, semi-forestière ou forestière) semblent grandement influencer l’envahissement.

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Cette étude porte sur l’analyse de l’identité, en termes de fonction, des monuments érigés sous tumulus dans le territoire actuel de la Bulgarie. Ces monuments sont généralement datés du Ve au IIIe siècle avant notre ère et ont été associés aux peuples thraces qui ont évolué sur ce territoire durant cette époque. Les monuments thraces sous tumulus, aux structures en blocs de pierre ou en moellons, ou d’un mélange de matériaux et de techniques différentes, ont été invariablement recouverts de monticules de terre dès l’Antiquité. Les tumuli ainsi obtenus ont été utilisés à différentes fins par les peuples locaux jusqu’à l’époque moderne. Les études plus ou moins détaillées des monuments thraces sous tumulus, qui ont débuté dès la fin du XIXe siècle de notre ère, ainsi que l’accumulation rapide de nouveaux exemplaires durant les deux dernières décennies, ont permis de constater une grande variabilité de formes architecturales en ce qui a trait aux différentes composantes de ces constructions. Cette variabilité a poussé certains chercheurs à proposer des typologies des monuments afin de permettre une meilleure maîtrise des données, mais aussi dans le but d’appuyer des hypothèses portant sur les origines des différents types de constructions sous tumulus, ou sur les origines des différentes formes architectoniques identifiées dans leurs structures. Des hypothèses portant sur la fonction de ces monuments, à savoir, sur l’usage qu’en ont fait les peuples thraces antiques, ont également été émises : certains chercheurs ont argumenté pour un usage funéraire, d’autres pour une fonction cultuelle. Un débat de plus en plus vif s’est développé durant les deux dernières décennies entre chercheurs de l’un et de l’autre camp intellectuel. Il a été constamment alimenté par de nouvelles découvertes sur le terrain, ainsi que par la multiplication des publications portant sur les monuments thraces sous tumulus. Il est, de ce fait, étonnant de constater que ni les hypothèses portant sur les origines possibles de ces constructions, ni celles ayant trait à leurs fonctions, n’ont été basées sur des données tangibles – situation qui a eu pour résultat la désignation des monuments thraces par « tombes-temples-mausolées », étiquette chargée sinon d’un sens précis, du moins d’une certaine connotation, à laquelle le terme « hérôon » a été ajouté relativement récemment. Notre étude propose de dresser un tableau actuel des recherches portant sur les monuments thraces sous tumulus, ainsi que d’analyser les détails de ce tableau, non pas dans le but de trancher en faveur de l’une ou de l’autre des hypothèses mentionnées, mais afin d’expliquer les origines et la nature des problèmes que les recherches portant sur ces monuments ont non seulement identifiés, mais ont également créés. Soulignant un fait déjà noté par plusieurs chercheurs-thracologues, celui du manque frappant de données archéologiques exactes et précises dans la grande majorité des publications des monuments thraces, nous avons décidé d’éviter la tendance optimiste qui persiste dans les études de ces derniers et qui consiste à baser toute analyse sur le plus grand nombre de trouvailles possible dans l’espoir de dresser un portrait « complet » du contexte archéologique immédiat des monuments ; portrait qui permettrait au chercheur de puiser les réponses qui en émergeraient automatiquement, puisqu’il fournirait les éléments nécessaires pour placer l’objet de l’analyse – les monuments – dans un contexte historique précis, reconstitué séparément. Ce manque de données précises nous a porté à concentrer notre analyse sur les publications portant sur les monuments, ainsi qu’à proposer une approche théoriquement informée de l’étude de ces derniers, en nous fondant sur les discussions actuelles portant sur les méthodes et techniques des domaines de l’archéologie, de l’anthropologie et de l’histoire – approche étayée dans la première partie de cette thèse. Les éléments archéologiques (avant tout architecturaux) qui ont servi de base aux différentes hypothèses portant sur les constructions monumentales thraces sont décrits et analysés dans le deuxième volet de notre étude. Sur la base de cette analyse, et en employant la méthodologie décrite et argumentée dans le premier volet de notre thèse, nous remettons en question les différentes hypothèses ayant trait à l’identité des monuments. L’approche de l’étude des monuments thraces sous tumulus que nous avons adoptée tient compte tant de l’aspect méthodologique des recherches portant sur ceux-ci, que des données sur lesquelles les hypothèses présentées dans ces recherches ont été basées. Nous avons porté une attention particulière à deux aspects différents de ces recherches : celui du vocabulaire technique et théorique implicitement ou explicitement employé par les spécialistes et celui de la façon dont la perception de l’identité des monuments thraces a été affectée par l’emploi de ce vocabulaire. Ces analyses nous ont permis de reconstituer, dans le dernier volet de la présente étude, l’identité des monuments thraces telle qu’implicitement ou explicitement perçue par les thracologues et de comparer cette restitution à celle que nous proposons sur la base de nos propres études et observations. À son tour, cette comparaison des restitutions des différentes fonctions des monuments permet de conclure que celle optant pour une fonction funéraire, telle que nous la reconstituons dans cette thèse, est plus économe en inférences et mieux argumentée que celle identifiant les monuments thraces de lieux de culte. Cependant, l’impossibilité de réfuter complètement l’hypothèse des « tombes-temples » (notamment en raison du manque de données), ainsi que certains indices que nous avons repérés dans le contexte architectural et archéologique des monuments et qui pourraient supporter des interprétations allant dans le sens d’une telle identification de ces derniers, imposent, d’après nous, la réévaluation de la fonction des constructions thraces sous tumulus sur la base d’une restitution complète des pratiques cultuelles thraces d’après les données archéologiques plutôt que sur la base d’extrapolations à partir des textes grecs anciens. À notre connaissance, une telle restitution n’a pas encore été faite. De plus, le résultat de notre analyse des données archéologiques ayant trait aux monuments thraces sous tumulus, ainsi que des hypothèses et, plus généralement, des publications portant sur les origines et les fonctions de ces monuments, nous ont permis de constater que : 1) aucune des hypothèses en question ne peut être validée en raison de leur recours démesuré à des extrapolations non argumentées (que nous appelons des « sauts d’inférence ») ; 2) le manque flagrant de données ou, plus généralement, de contextes archéologiques précis et complets ne permet ni l’élaboration de ces hypothèses trop complexes, ni leur validation, justifiant notre approche théorique et méthodologique tant des monuments en question, que des études publiées de ceux-ci ; 3) le niveau actuel des connaissances et l’application rigoureuse d’une méthodologie d’analyse permettent d’argumenter en faveur de la réconciliation des hypothèses « funéraires » et « cultuelles » – fait qui ne justifie pas l’emploi d’étiquettes composites comme « templestombes », ni les conclusions sur lesquelles ces étiquettes sont basées ; 4) il y a besoin urgent dans le domaine de l’étude des monuments thraces d’une redéfinition des approches méthodologiques, tant dans les analyses théoriques des données que dans le travail sur le terrain – à défaut de procéder à une telle redéfinition, l’identité des monuments thraces sous tumulus demeurera une question d’opinion et risque de se transformer rapidement en une question de dogmatisme.

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Rhizome rot disease caused by Erwinia spp. is emerging as a major problem in banana nurseries and young plantations worldwide. Management of the disease is possible only in the initial stages of development. Currently no method is available for rescuing plant material already infected with this pathogen. A total of 95 Nanjanagud Rasabale and 212 Elakki Bale suckers were collected from different growing regions of Karnataka, India. During nursery maintenance of these lines, severe Erwinia infection was noticed. We present a method to rescue infected plants and establish them under field conditions. Differences were noticed in infection severity amongst the varieties and their accessions. Field data revealed good establishment and growth of most rescued plants under field conditions. The discussed rescue protocol coupled with good field management practices resulted in 89.19 and 82.59 percent field establishment of previously infected var. Nanjanagud Rasabale and var. Elakki Bale plants, respectively.