969 resultados para Nylon-666


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Introduction 1.1 Occurrence of polycyclic aromatic hydrocarbons (PAH) in the environment Worldwide industrial and agricultural developments have released a large number of natural and synthetic hazardous compounds into the environment due to careless waste disposal, illegal waste dumping and accidental spills. As a result, there are numerous sites in the world that require cleanup of soils and groundwater. Polycyclic aromatic hydrocarbons (PAHs) are one of the major groups of these contaminants (Da Silva et al., 2003). PAHs constitute a diverse class of organic compounds consisting of two or more aromatic rings with various structural configurations (Prabhu and Phale, 2003). Being a derivative of benzene, PAHs are thermodynamically stable. In addition, these chemicals tend to adhere to particle surfaces, such as soils, because of their low water solubility and strong hydrophobicity, and this results in greater persistence under natural conditions. This persistence coupled with their potential carcinogenicity makes PAHs problematic environmental contaminants (Cerniglia, 1992; Sutherland, 1992). PAHs are widely found in high concentrations at many industrial sites, particularly those associated with petroleum, gas production and wood preserving industries (Wilson and Jones, 1993). 1.2 Remediation technologies Conventional techniques used for the remediation of soil polluted with organic contaminants include excavation of the contaminated soil and disposal to a landfill or capping - containment - of the contaminated areas of a site. These methods have some drawbacks. The first method simply moves the contamination elsewhere and may create significant risks in the excavation, handling and transport of hazardous material. Additionally, it is very difficult and increasingly expensive to find new landfill sites for the final disposal of the material. The cap and containment method is only an interim solution since the contamination remains on site, requiring monitoring and maintenance of the isolation barriers long into the future, with all the associated costs and potential liability. A better approach than these traditional methods is to completely destroy the pollutants, if possible, or transform them into harmless substances. Some technologies that have been used are high-temperature incineration and various types of chemical decomposition (for example, base-catalyzed dechlorination, UV oxidation). However, these methods have significant disadvantages, principally their technological complexity, high cost , and the lack of public acceptance. Bioremediation, on the contrast, is a promising option for the complete removal and destruction of contaminants. 1.3 Bioremediation of PAH contaminated soil & groundwater Bioremediation is the use of living organisms, primarily microorganisms, to degrade or detoxify hazardous wastes into harmless substances such as carbon dioxide, water and cell biomass Most PAHs are biodegradable unter natural conditions (Da Silva et al., 2003; Meysami and Baheri, 2003) and bioremediation for cleanup of PAH wastes has been extensively studied at both laboratory and commercial levels- It has been implemented at a number of contaminated sites, including the cleanup of the Exxon Valdez oil spill in Prince William Sound, Alaska in 1989, the Mega Borg spill off the Texas coast in 1990 and the Burgan Oil Field, Kuwait in 1994 (Purwaningsih, 2002). Different strategies for PAH bioremediation, such as in situ , ex situ or on site bioremediation were developed in recent years. In situ bioremediation is a technique that is applied to soil and groundwater at the site without removing the contaminated soil or groundwater, based on the provision of optimum conditions for microbiological contaminant breakdown.. Ex situ bioremediation of PAHs, on the other hand, is a technique applied to soil and groundwater which has been removed from the site via excavation (soil) or pumping (water). Hazardous contaminants are converted in controlled bioreactors into harmless compounds in an efficient manner. 1.4 Bioavailability of PAH in the subsurface Frequently, PAH contamination in the environment is occurs as contaminants that are sorbed onto soilparticles rather than in phase (NAPL, non aqueous phase liquids). It is known that the biodegradation rate of most PAHs sorbed onto soil is far lower than rates measured in solution cultures of microorganisms with pure solid pollutants (Alexander and Scow, 1989; Hamaker, 1972). It is generally believed that only that fraction of PAHs dissolved in the solution can be metabolized by microorganisms in soil. The amount of contaminant that can be readily taken up and degraded by microorganisms is defined as bioavailability (Bosma et al., 1997; Maier, 2000). Two phenomena have been suggested to cause the low bioavailability of PAHs in soil (Danielsson, 2000). The first one is strong adsorption of the contaminants to the soil constituents which then leads to very slow release rates of contaminants to the aqueous phase. Sorption is often well correlated with soil organic matter content (Means, 1980) and significantly reduces biodegradation (Manilal and Alexander, 1991). The second phenomenon is slow mass transfer of pollutants, such as pore diffusion in the soil aggregates or diffusion in the organic matter in the soil. The complex set of these physical, chemical and biological processes is schematically illustrated in Figure 1. As shown in Figure 1, biodegradation processes are taking place in the soil solution while diffusion processes occur in the narrow pores in and between soil aggregates (Danielsson, 2000). Seemingly contradictory studies can be found in the literature that indicate the rate and final extent of metabolism may be either lower or higher for sorbed PAHs by soil than those for pure PAHs (Van Loosdrecht et al., 1990). These contrasting results demonstrate that the bioavailability of organic contaminants sorbed onto soil is far from being well understood. Besides bioavailability, there are several other factors influencing the rate and extent of biodegradation of PAHs in soil including microbial population characteristics, physical and chemical properties of PAHs and environmental factors (temperature, moisture, pH, degree of contamination). Figure 1: Schematic diagram showing possible rate-limiting processes during bioremediation of hydrophobic organic contaminants in a contaminated soil-water system (not to scale) (Danielsson, 2000). 1.5 Increasing the bioavailability of PAH in soil Attempts to improve the biodegradation of PAHs in soil by increasing their bioavailability include the use of surfactants , solvents or solubility enhancers.. However, introduction of synthetic surfactant may result in the addition of one more pollutant. (Wang and Brusseau, 1993).A study conducted by Mulder et al. showed that the introduction of hydropropyl-ß-cyclodextrin (HPCD), a well-known PAH solubility enhancer, significantly increased the solubilization of PAHs although it did not improve the biodegradation rate of PAHs (Mulder et al., 1998), indicating that further research is required in order to develop a feasible and efficient remediation method. Enhancing the extent of PAHs mass transfer from the soil phase to the liquid might prove an efficient and environmentally low-risk alternative way of addressing the problem of slow PAH biodegradation in soil.

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Negli ultimi anni la longevità è divenuto un argomento di notevole interesse in diversi settori scientifici. Le ricerche volte ad indagare i meccanismi che regolano i fattori della longevità si sono moltiplicate nell’ultimo periodo interessando, in maniera diversa, alcune regioni del territorio italiano. Lo studio presentato nella tesi ha l’obiettivo di identificare eventuali aggregazioni territoriali caratterizzate da una significativa propensione alla longevità nella regione Emilia-Romagna mediante l’impiego di metodologie di clustering spaziale, alcune delle quali di recente implementazione. La popolazione in esame è costituita dagli individui residenti in Emilia- Romagna nel quinquennio 2000-2004 suddivisa in classi di età, sesso e comune. L’analisi è di tipo puramente spaziale, in cui l’unità geografica elementare è identificata dal comune, ed è stata condotta separatamente per i due sessi. L’identificazione delle aree regionali ad elevata longevità è avvenuta utilizzando quattro metodologie di clustering spaziale, basate sulla teoria della massima verosimiglianza, che si differenziano tra loro per la modalità di ricerca dei potenziali clusters. La differenza consiste nella capacità di identificare aggregazioni territoriali di forma regolare (spatial scan statistic, Kulldorff e Nagarwalla,1995; Kulldorff,1997, 1999) o dall’andamento geometrico “libero” (flexible scan statistic, Tango e Takahashi,2005; algoritmo genetico, Duczmal et al.,2007; greedy growth search, Yiannakoulias et al.,2007). Le caratteristiche di ciascuna metodologia consentono, in tal modo, di “catturare” le possibili conformazioni geografiche delle aggregazioni presenti sul territorio e la teoria statistica di base, comune ad esse, consente di effettuare agevolmente un confronto tra i risultati ottenuti. La persistenza di un’area caratterizzata da un’elevata propensione alla longevità consente, infatti, di ritenere il cluster identificato di notevole interesse per approfondimenti successivi. Il criterio utilizzato per la valutazione della persistenza di un cluster è stato derivato dalla teoria dei grafi, con particolare riferimento ai multigrafi. L’idea è confrontare, a parità di parametri di ricerca, i grafi associati alle aggregazioni spaziali identificate con le diverse metodologie attraverso una valutazione delle occorrenze dei collegamenti esistenti tra le coppie di vertici. Alcune valutazioni di carattere demografico ed un esame della letteratura esistente sugli studi di longevità, hanno indotto alla definizione di una classe (aperta) di età per rappresentare il fenomeno nella nostra ricerca: sono stati considerati gli individui con età superiore o uguale a 95 anni (indicata con 95+). La misura di sintesi utilizzata per descrivere il fenomeno è un indicatore specifico di longevità, mutuato dalla demografia, indicato con Centenarian Rate (CR) (Robine e Caselli, 2005). Esso è definito dal rapporto tra la popolazione 95+ e la popolazione residente, nello stesso comune, al censimento del 1961. L’idea alla base del CR è confrontare gli individui longevi di un istante temporale con quelli presenti, nella stessa area, circa 40 anni prima dell’osservazione, ipotizzando che l’effetto migratorio di una popolazione possa ritenersi trascurabile oltre i 60 anni di età. La propensione alla longevità coinvolge in maniera diversa le aree del territorio dell’Emilia-Romagna. Le province della regione caratterizzate da una maggiore longevità sono Bologna, Ravenna e parte di Forlì-Cesena mentre la provincia di Ferrara si distingue per un livello ridotto del fenomeno. La distinzione per sesso non appare netta: gli uomini con età 95+, numericamente inferiori alle donne, risiedono principalmente nei comuni delle province di Bologna e Ravenna, con qualche estensione nel territorio forlivese, analogamente a quanto accade per la popolazione femminile che mostra, tuttavia, una maggiore prevalenza nei territori di Bologna e Forlì-Cesena, includendo alcune aree del riminese. Le province occidentali della regione, invece, non risultano interessate significativamente da questo fenomeno. Le metodologie di cluster detection utilizzate nello studio hanno prodotto risultati pressoché simili seppur con criteri di ricerca differenti. La spatial scan statistic si conferma una metodologia efficace e veloce ma il vincolo geometrico regolare imposto al cluster condiziona il suo utilizzo, rivelando una scarsa adattabilità nell’identificazione di aggregazioni irregolari. La metodologia FSC ha evidenziato buone capacità di ricerca e velocità di esecuzione, completata da una descrizione chiara e dettagliata dei risultati e dalla possibilità di poter visualizzare graficamente i clusters finali, anche se con un livello minimo di dettaglio. Il limite principale della metodologia è la dimensione ridotta del cluster finale: l’eccessivo impegno computazionale richiesto dalla procedura induce a fissare il limite massimo al di sotto delle 30 aree, rendendola così utilizzabile solo nelle indagini in cui si ipotizza un’estensione limitata del fenomeno sul territorio. L’algoritmo genetico GA si rivela efficace nell’identificazione di clusters di qualsiasi forma ed estensione, seppur con una velocità di esecuzione inferiore rispetto alle procedure finora descritte. Senza un’adeguata selezione dei parametri di ricerca,la procedura può individuare clusters molto irregolari ed estesi, consigliando l’uso di penalizzazione non nulla in fase di ricerca. La scelta dei parametri di ricerca non è comunque agevole ed immediata e, spesso, è lasciata all’esperienza del ricercatore. Questo modo di procedere, in aggiunta alla mancanza di informazioni a priori sul fenomeno, aumenta il grado di soggettività introdotto nella selezione dei parametri influenzando i risultati finali. Infine, la metodologia GGS richiede un carico computazionale nettamente superiore rispetto a quello necessario per le altre metodologie utilizzate e l’introduzione di due parametri di controllo favorisce una maggiore arbitrarietà nella selezione dei valori di ricerca adeguati; inoltre, la recente implementazione della procedura e la mancanza di studi su dati reali inducono ad effettuare un numero maggiore di prove durante la fase di ricerca dei clusters.

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Liquid Crystal Polymer Brushes and their Application as Alignment Layers in Liquid Crystal Cells Polymer brushes with liquid crystalline (LC) side chains were synthesized on planar glass substrates and their nematic textures were investigated. The LC polymers consist of an acrylate or a methacrylate main chain and a phenyl benzoate group as the mesogenic unit which is connected to the main chain via a flexible alkyl spacer composed of six CH2 units. The preparation of the LC polymer brushes was carried out according to the “grafting from” technique: polymerization is carried out from azo-initiators that have been previously self-assembled on the substrate. LC polymer brushes with a thickness from a few nm to 230 nm were synthesized by varying the monomer concentration and the polymerization time. The LC polymer brushes were thick enough to allow for direct observation of the nematic textures with a polarizing microscope. The LC polymer brushes grown on untreated glass substrates exhibited irregular textures (“polydomains”). The domain size is in the range of some micrometers and depends only weakly on the brush thickness. The investigations on the texture-temperature relationship of the LC brushes revealed that the brushes exhibit a surface memory effect, that is, the identical texture reappears after the LC brush sample has experienced a thermal isotropization or a solvent treatment, at which the nematic LC state has been completely destroyed. The surface memory effect is attributed to a strong anchoring of the orientation of the mesogenic units to heterogeneities at the substrate surface. The exact nature of the surface heterogeneities is unknown. The effect was observed for the LC brushes swollen with low molecular weight nematic molecules, as well. Rubbing the glass substrate with a piece of velvet cloth prior to the surface modification with the initiator and the brush growth gives rise to the formation of homogenous alignment of the mesogenic units in the LC polymer side chains. Monodomain textures were obtained for these LC brushes. The mechanism for the homogeneous alignment is based on the transfer of Nylon fibers during the rubbing process. A surfactant was mixed with the azo-initiator in modifying rubbed substrates for subsequent brush generation. Such brushes exhibited biaxial optical properties. Hybrid LC cells made from a substrate modified with biaxial brushes and a rubbed glass substrate show an orientation with a tilt angle of a = –15.6 . This work shows that LC brushes grown on rubbed surfaces fulfill the important criteria for alignment layers: the formation of macroscopic monodomains. First results indicate that by diluting the brush with molecules which are also covalently bound to the surface but induce a different orientation, a system is obtained in which the two conflicting alignment mechanisms can be used to generate a tilted alignment. In order to allow for an application of the alignment layers into a potential product, subsequent work should focus on the questions how easy and in which range the tilt angle can be controlled.

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Es wurde ein genomischer DNA-Array der Modellpflanze Arabidopsis thaliana mit einer 13.800 EST-Klone umfassenden cDNA-Bibliothek entwickelt und in der Genexpressionsanalyse der pflanzlichen Pathogenabwehr eingesetzt. Mittels PCR-Amplifikation sind 13.000 PCR-Produkte der cDNA-Fragmente hergestellt worden, mit denen 66 genomische Arabidopsis-Arrays auf Nylon und Polypropylen als Trägermaterial hergestellt werden konnten. Die Validierung mit Fluoreszenz- und Radiaktivhybridisierung sowie der Vergleich von drei Normalisierungsmethoden führte zu reproduzierbaren Ergebnissen bei hohem Korrelationskoeffizienten. Die etablierte DNA-Array-Technologie wurde zur Genexpressionsanalyse der pathogeninduzierten Abwehrmechanismen der Pflanze Arabidopsis thaliana in den ersten 24 Stunden nach Infektion mit dem avirulenten Bakterium Pseudomonas syringae pv. tomato eingesetzt. In einer Auswahl von 75 Genen der Stoffwechselwege Glycolyse, Citrat-Cyclus, Pentosephosphat-Cyclus und Glyoxylatmetabolismus konnte für 25 % der Gene, im Shikimat-, Tryptophan- und Phenylpropanoidsyntheseweg für 60 % der Gene eine erhöhte Transkriptionsrate nachgewiesen werden. Die Ergebnisse dieser Arbeit stimmen mit experimentellen Daten verschiedener unabhängiger Studien zur pflanzlichen Pathogenantwort überein. Darüberhinaus sind erstmals Transkriptionsprofile von bisher auf Transkriptionsebene nicht untersuchten Genen erstellt worden. Diese Ergebnisse bestätigen die transkriptionelle Aktivierung ganzer Stoffwechselwege und gewähren erstmals einen Einblick in die koordinierte differentielle Transkription ganzer Stoffwechselwege während der Pathogenabwehr.

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In this research work I analyzed the instrumental seismicity of Southern Italy in the area including the Lucanian Apennines and Bradano foredeep, making use of the most recent seismological database available so far. I examined the seismicity occurred during the period between 2001 and 2006, considering 514 events with magnitudes M ≥ 2.0. In the first part of the work, P- and S-wave arrival times, recorded by the Italian National Seismic Network (RSNC) operated by the Istituto Nazionale di Geofisica e Vulcanologia (INGV), were re-picked along with those of the SAPTEX temporary array (2001–2004). For some events located in the Upper Val d'Agri, I also used data from the Eni-Agip oil company seismic network. I computed the VP/VS ratio obtaining a value of 1.83 and I carried out an analysis for the one-dimensional (1D) velocity model that approximates the seismic structure of the study area. After this preliminary analysis, making use of the records obtained in the SeSCAL experiment, I incremented the database by handpicking new arrival times. My final dataset consists of 15,666 P- and 9228 S-arrival times associated to 1047 earthquakes with magnitude ML ≥ 1.5. I computed 162 fault-plane solutions and composite focal mechanisms for closely located events. I investigated stress field orientation inverting focal mechanism belonging to the Lucanian Apennine and the Pollino Range, both areas characterized by more concentrated background seismicity. Moreover, I applied the double difference technique (DD) to improve the earthquake locations. Considering these results and different datasets available in the literature, I carried out a detailed analysis of single sub-areas and of a swarm (November 2008) recorded by SeSCAL array. The relocated seismicity appears more concentrated within the upper crust and it is mostly clustered along the Lucanian Apennine chain. In particular, two well-defined clusters were located in the Potentino and in the Abriola-Pietrapertosa sector (central Lucanian region). Their hypocentral depths are slightly deeper than those observed beneath the chain. I suggest that these two seismic features are representative of the transition from the inner portion of the chain with NE-SW extension to the external margin characterized by dextral strike-slip kinematics. In the easternmost part of the study area, below the Bradano foredeep and the Apulia foreland, the seismicity is generally deeper and more scattered and is associated to the Murge uplift and to the small structures present in the area. I also observed a small structure NE-SW oriented in the Abriola-Pietrapertosa area (activated with a swarm in November 2008) that could be considered to act as a barrier to the propagation of a potential rupture of an active NW-SE striking faults system. Focal mechanisms computed in this study are in large part normal and strike-slip solutions and their tensional axes (T-axes) have a generalized NE-SW orientation. Thanks to denser coverage of seismic stations and the detailed analysis, this study is a further contribution to the comprehension of the seismogenesis and state of stress of the Southern Apennines region, giving important contributions to seismotectonic zoning and seismic hazard assessment.

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L’acido adipico (AA) è un importante intermedio chimico prodotto in quantità pari a circa tre milioni di tonnellate annue, i cui usi riguardano principalmente la produzione di Nylon-6,6. Tutti i processi industriali odierni per la produzione dell’AA hanno in comune lo stadio finale di ossidazione con acido nitrico dell’ultimo intermedio di sintesi, che in genere è una miscela di cicloesanolo e cicloesanone (KA Oil). Esistono diversi problemi riguardanti questo processo, come la pericolosità che deriva dall’uso di acido nitrico concentrato. Dal punto di vista ambientale, il problema principale riguarda la produzione di protossido di azoto e di altri ossidi di azoto durante l’ultima fase di ossidazione con HNO3, per questo motivo, tutte le aziende che producono AA devono essere munite per legge di sistemi di abbattimento quantitativi o di recupero degli ossidi di azoto, che però risultano essere molto incisivi sul costo del processo. A livello industriale, quindi, il problema riguarda principalmente la sostenibilità economica, ma poiché queste procedure hanno un prezzo in termini di materiali ed energia, si ha anche un forte legame con la sostenibilità ambientale. Gli studi riguardanti nuovi processi per la produzione di AA sono numerosi; alcuni hanno portato a vie più “green”, ma solo pochi esempi sono veramente sostenibili dal punto di vista sia ambientale che economico. Il presente lavoro di tesi è diviso in due parti, entrambe riguardanti vie di sintesi alternative per la produzione di AA. La prima parte riguarda lo studio del secondo passaggio di una via di sintesi in due step che parte da cicloesene e che ha come intermedio l’1,2-cicloesandiolo.Sono stati provati catalizzatori eterogenei a base di nanoparticelle di Au supportate su MgO per il cleavage ossidativo in fase liquida del diolo con O2 in ambiente basico. La seconda parte invece riguarda il processo di sintesi dell’AA a partire da cicloesanone mediante l’ossidazione con perossido di idrogeno a e- caprolattone e la successiva ossidazione ad AA. Nello specifico, è stato studiato il meccanismo di reazione del primo passaggio in quanto evidenze sperimentali ottenute nel corso di lavori precedenti avevano dimostrato la presenza di un cammino di reazione differente da quello tipico per un’ossidazione di Baeyer-Villiger. In questa parte, si è studiato l’effetto di alcuni catalizzatori eterogenei a base di acidi di Lewis sui prodotti ottenuti nel primo stadio ossidativo.

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The present work aims for investigate the influence of electrospun Nylon 6,6 nanofibrous mat on the behavior of composite laminates. The main idea is that nanofibrous interleaved into particular ply-to-ply interfaces of a laminate can lead to significant improvements of mechanical properties and delamination/damage resistance. Experimental campaigns were performed to investigate how nanofibers affect both the static and dynamic behavior of the laminate in which they are interleaved. Fracture mechanics tests were initially performed on virgin and 8 different configuration of nanomodified specimens. The purposes of this first step of the work are to understand which geometrical parameters of the nanointerleave influence the behavior of the laminate and, to find the optimal architecture of the nanofibrous mat in order to obtain the best reinforcement. In particular, 3 morphological parameters are investigated: nanofibers diameter, nanofibers orientation and thickness of the reinforce. Two different values for each parameter have been used, and it leads to 8 different configurations of nanoreinforce. Acoustic Emission technique is also used to monitor the tests. Once the optimum configuration has been found, attention is focused on the mechanism of reinforce played by the nanofibers during static and dynamic tests. Low velocity impacts and free decay tests are performed to attest the effect of nanointerlayers and the reinforce mechanism during the dynamic loads. Bump tests are performed before and after the impact on virgin and two different nanomodified laminates configurations. The authors focused their attention on: vibrational behavior, low velocity impact response and post-impact vibration behavior of the nano-interleaved laminates with respect to the response of non-nanomodified ones. Experiments attest that nanofibers significantly strength the delamination resistance of the laminates and increase some mechanical properties. It is demonstrated that the nanofibers are capable to continue to carry on the loads even when the matrix around them is broken.

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Attraverso questo studio sono state indagate le proprietà di compositi laminati in fibra di carbonio (CFRP) nano-modificati con nanofibre in Nylon 6.6, in termini di resistenza al danneggiamento da impatti a bassa velocità (con caratterizzazione Drop Weight at Low Velocity) e di smorzamento della vibrazione (con caratterizzazione a damping). Sono stati indagate due configurazioni di nanorinforzo differenti, confrontate con le prestazioni di provini vergini laminati tradizionalmente. Sono infine state operate delle analisi grafiche delle micrografie di campioni sezionati per trarre conclusioni di carattere tecnologico.

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The aim of my PhD research project was to investigate new and more sustainable routes, compared to those currently used, for the production of adipic acid (AA). AA is a very important chemical intermediate. The main use of AA is the production of Nylon-6,6 fibers, resins, polyesters, plasticizers. My project was divided into two parts: 1. The two-step oxidation of cyclohexene, where the latter is first oxidized into trans-1,2-cyclohexanediol (CHD) with aqueous hydrogen peroxide, and then the glycol is transformed into AA by reaction with molecular oxygen. Various catalysts were investigated in this process, both heterogeneous (alumina-supported Ru(OH)x and Au nanoparticles supported on TiO2, MgO and Mg(OH)2) and homogeneous (polyoxometalates). We also studied the mechanism of CHD oxidation with oxygen in the presence of these catalysts. 2. Baeyer-Villiger oxidation of cyclohexanone with aqueous hydrogen peroxide into ɛ-caprolactone, as a first step on the way to produce AA. Study on the mechanism of the uncatalyzed (thermal) oxidation of cyclohexanone were also carried out. Investigation on how the different heterogeneous catalysts affect the formation of the reaction products and their distribution was done.

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During the last years an increased interest about the reinforcement of laminated composites by means of polymeric nanofibers has been growth. During this master-degree-thesis work, unidirectional and plane-textile composites have been interleaved with Nylon 6.6, PCL and mixed (Nylon 6.6+PCL) nanofibrous mats and the DCB (mode I interlaminar fracture toughness), ENF (mode II interlaminar fracture toughness and DMA (damping capability) tests have been performed. Regarding the interlaminar fracture toughness, marked increases have been recorded; while further investigation about damping capability is requested.

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A major weakness of composite materials is that low-velocity impact, introduced accidentally during manufacture, operation or maintenance of the aircraft, may result in delaminations between the plies. Therefore, the first part of this study is focused on mechanics of curved laminates under impact. For this aim, the effect of preloading on impact response of curved composite laminates is considered. By applying the preload, the stress through the thickness and curvature of the laminates increased. The results showed that all impact parameters are varied significantly. For understanding the contribution rate of preloading and pre-stress on the obtained results another test is designed. The interesting phenomenon is that the preloading can decrease the damaged area when the curvature of the both specimens is the same. Finally the effect of curvature type, concave and convex, is investigated under impact loading. In the second part, a new composition of nanofibrous mats are developed to improve the efficiency of curved laminates under impact loading. Therefore, at first some fracture tests are conducted to consider the effect of Nylon 6,6, PCL, and their mixture on mode I and mode II fracture toughness. For this goal, nanofibers are electrospun and interleaved between mid-plane of laminate composite to conduct mode I and mode II tests. The results shows that efficiency of Nylon 6,6 is better than PCL in mode II, while the effect of PCL on fracture toughness of mode I is more. By mixing these nanofibers the shortage of the individual nanofibers is compensated and so the Nylon 6,6/PCL nanofibers could increased mode I and II fracture toughness. Then all these nanofibers are used between all layers of composite layers to investigate their effect on damaged area. The results showed that PCL could decrease the damaged area about 25% and Nylon 6,6 and mixed nanofibers about 50%.

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Sviluppo di una griglia di coronamento e chiusura di canalette di scolo carrabile, in conformità con la normativa europea di riferimento. Le metodologie utilizzate nel corso dello studio affrontato riguardano la comprensione delle regolamentazioni da rispettare, la scelta delle attrezzature adatte e la valutazione comparativa delle idee sviluppate con i prodotti che hanno motivato la tesi. Per ottenere una soluzione valida si è affrontato uno studio della normativa europea UNI EN 1433 che regola le certificazioni di questi particolari prodotti. Le griglie con classe di carico C 250 sono dedicate alla posizione bordo strada e devono superare severe prove di resistenza al carico per poter essere classificate in conformità con la norma europea. In un primo momento lo studio della normativa è servito dunque per comprendere le modalità con cui un prodotto viene testato. Per poter determinare la classe di carico il prodotto deve resistere ad un carico minimo calcolato in base alle dimensioni della superficie libera. Successivamente si è affrontata la scelta del materiale migliore da utilizzare in relazione a resistenza al carico, stampabilità e resa estetica. Questa fase ha visto impegnato il laboratorio qualità interno all’azienda. In questo ambiente diverse campionature di materiale sono state testate in base ai criteri esposti per giungere ad una scelta ottimale per lo scopo finale. Infine la parte principale dello studio ha riguardato l'analisi delle griglie della concorrenza e lo sviluppo di una struttura che risultasse migliorativa rispetto ai prodotti presentati dalle aziende concorrenti. In conclusione, tutti gli studi del presente elaborato sono volti alla ricerca di soluzioni innovative da produrre e immettere sul mercato con l’obiettivo di costituire un prodotto di punta nel settore di competenza.

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Background and Purpose— The term “minor stroke” is often used; however a consensus definition is lacking. We explored the relationship of 6 “minor stroke” definitions and outcome and tested their validity in subgroups of patients. Methods— A total of 760 consecutive patients with acute ischemic strokes were classified according to the following definitions: A, score ≤1 on every National Institutes of Health Stroke Scale (NIHSS) item and normal consciousness; B, lacunar-like syndrome; C, motor deficits with or without sensory deficits; D, NIHSS ≤9 excluding those with aphasia, neglect, or decreased consciousness; E, NIHSS ≤9; and F, NIHSS ≤3. Short-term outcome was considered favorable when patients were discharged home, and favorable medium-term outcome was defined as a modified Rankin Scale score of ≤2 at 3 months. The following subgroup analyses were performed by definition: sex, age, anterior versus posterior and right versus left hemispheric stroke, and early (0 to 6 hours) versus late admission (6 to 24 hours) to the hospital. Results— Short-term and medium-term outcomes were most favorable in patients with definition A (74% and 90%, respectively) and F (71% and 90%, respectively). Patients with definition C and anterior circulation strokes were more likely to be discharged home than patients with posterior circulation strokes (P=0.021). The medium-term outcome of older patients with definition E was less favorable compared with the outcome of younger ones (P=0.001), whereas patients with definition A, D, and F did not show different outcomes in any subgroup. Conclusions— Patients fulfilling definition A and F had best short-term and medium-term outcomes. They would be best suited to the definition of “minor stroke.”