990 resultados para Structural modeling


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The reaction of the Schiff base (3,5-di-tert-butyl-2-hydroxybenzylidene)-2-hydroxybenzohydrazide (H3L) with copper(II) nitrate, acetate or metaborate has led to the isomeric complexes [Cu-3(L)(2)(MeOH)(4)] (1), [Cu-3(L)(2)(MeOH)(2)]2MeOH (2) and [Cu-3(L)(2)(MeOH)(4)] (3), respectively, in which the ligand L exhibits dianionic (HL2-, in 1) or trianionic (L3-, in 2 and 3) pentadentate 1O,O,N:2N,O chelation modes. Complexes 1-3 were characterized by elemental analysis, IR spectroscopy, single-crystal X-ray crystallography, electrochemical methods and variable-temperature magnetic susceptibility measurements, which indicated that the intratrimer antiferromagnetic coupling is strong in the three complexes and that there exists very weak ferromagnetic intermolecular interactions in 1 but weak antiferromagnetic intermolecular interactions in both 2 and 3. Electrochemical experiments showed that in complexes 1-3 the Cu-II ions can be reduced, in distinct steps, to Cu-I and Cu-0. All the complexes act as efficient catalyst precursors under mild conditions for the peroxidative oxidation of cyclohexane to cyclohexyl hydroperoxide, cyclohexanol and cyclohexanone, leading to overall yields (based on the alkane) of up to 31% (TON = 1.55x10(3)) after 6 h in the presence of pyrazinecarboxylic acid.

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We investigate the structural chain-to-ring transition at low temperature in a gas of dipolar hard spheres (DRS). Due to the weakening of entropic contribution, ring formation becomes noticeable when the effective dipole-dipole magnetic interaction increases, It results in the redistribution of particles from usually observed flexible chains into flexible rings. The concentration (rho) of DI-IS plays a crucial part in this transition: at a very low rho only chains and rings are observed, whereas even a slight increase of the volume fraction leads to the formation of branched or defect structures. As a result, the fraction of DHS aggregated in defect-free rings turns out to be a non-monotonic function of rho. The average ring size is found to be a slower increasing function of rho when compared Lo that of chains. Both theory and computer simulations confirm the dramatic influence of the ring formation on the rho-dependence of the initial magnetic susceptibility (chi) when the temperature decreases. The rings clue to their zero total dipole moment are irresponsive to a weak magnetic field and drive to the strong decrease of the initial magnetic susceptibility. (C) 2014 Elsevier B.V. All rights reserved.

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With the help of a unique combination of density functional theory and computer simulations, we discover two possible scenarios, depending on concentration, for the hierarchical self-assembly of magnetic nanoparticles on cooling. We show that typically considered low temperature clusters, i.e. defect-free chains and rings, merge into more complex branched structures through only three types of defects: four-way X junctions, three-way Y junctions and two-way Z junctions. Our accurate calculations reveal the predominance of weakly magnetically responsive rings cross-linked by X defects at the lowest temperatures. We thus provide a strategy to fine-tune magnetic and thermodynamic responses of magnetic nanocolloids to be used in medical and microfluidics applications.

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Two groups of patients undergoing hemodialysis (HD) maintenance were evaluated for their antibody response to non-structural c100/3 protein and structural core protein of hepatitis C virus (HCV). Forty-six patients (Group 1) never presented liver abnormalities during HD treatment, while 52 patients (Group 2) had either current or prior liver enzyme elevations. Prevalence rates of 32.6% and 41.3% were found for anti-c100/3 and anti-HCV core antibodies, respectively, in patients with silent infections (Group 1). The rate of anti-c100/3 in patients of Group 2 was 71.15% and reached 86.5% for anti-HCV core antibodies. The recognition of anti-c100/3 and anti-core antibodies was significantly higher in Group 2 than in Group 1. A line immunoassay composed of structural and non-structural peptides was used as a confirmation assay. HBV infection, measured by the presence of anti-HBc antibodies, was observed in 39.8% of the patients. Six were HBsAg chronic carriers and 13 had naturally acquired anti-HBs antibodies. The duration of HD treatment was correlated with anti-HCV positivity. A high prevalence of 96.7% (Group 2) was found in patients who underwent more than 5 years of treatment. Our results suggest that anti-HCV core ELISA is more accurate for detecting HCV infection than anti-c100/3. Although the risk associated with the duration of HD treatment and blood transfusion was high, additional factors such as a significant non-transfusional spread of HCV seems to play a role as well. The identification of infective patients by more sensitive methods for HCV genome detection should help to control the transmission of HCV in the unit under study.

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This paper proposes the concept of multi-asynchronous-channel for Petri nets. Petri nets extended with multi-asynchronous-channels and time-domains support the specification of distributed controllers, where each controller has a synchronous execution but the global system is asynchronous (globally-asynchronous locally-synchronous systems). Each multi-asynchronous-channel specify the interaction between two or more distributed controllers. These channels, together with the time-domain concept, ensure the creation of network-independent models to support implementations using heterogeneous communication networks. The created models support not only the systems documentation but also their validation and implementation through simulation tools, verification tools, and automatic code generators. An application example illustrates the use of a Petri net class extended with the proposed channels. © 2015 IEEE.

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Materials selection is a matter of great importance to engineering design and software tools are valuable to inform decisions in the early stages of product development. However, when a set of alternative materials is available for the different parts a product is made of, the question of what optimal material mix to choose for a group of parts is not trivial. The engineer/designer therefore goes about this in a part-by-part procedure. Optimizing each part per se can lead to a global sub-optimal solution from the product point of view. An optimization procedure to deal with products with multiple parts, each with discrete design variables, and able to determine the optimal solution assuming different objectives is therefore needed. To solve this multiobjective optimization problem, a new routine based on Direct MultiSearch (DMS) algorithm is created. Results from the Pareto front can help the designer to align his/hers materials selection for a complete set of materials with product attribute objectives, depending on the relative importance of each objective.

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Trabalho Final de Mestrado para obtenção do grau de Mestre em Engenharia Civil na Área de Especialização de Estruturas

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Trabalho de Projeto para obtenção do grau de mestre em Engenharia Civil na Área de Especialização em Estruturas

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As it is widely known, in structural dynamic applications, ranging from structural coupling to model updating, the incompatibility between measured and simulated data is inevitable, due to the problem of coordinate incompleteness. Usually, the experimental data from conventional vibration testing is collected at a few translational degrees of freedom (DOF) due to applied forces, using hammer or shaker exciters, over a limited frequency range. Hence, one can only measure a portion of the receptance matrix, few columns, related to the forced DOFs, and rows, related to the measured DOFs. In contrast, by finite element modeling, one can obtain a full data set, both in terms of DOFs and identified modes. Over the years, several model reduction techniques have been proposed, as well as data expansion ones. However, the latter are significantly fewer and the demand for efficient techniques is still an issue. In this work, one proposes a technique for expanding measured frequency response functions (FRF) over the entire set of DOFs. This technique is based upon a modified Kidder's method and the principle of reciprocity, and it avoids the need for modal identification, as it uses the measured FRFs directly. In order to illustrate the performance of the proposed technique, a set of simulated experimental translational FRFs is taken as reference to estimate rotational FRFs, including those that are due to applied moments.

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Dissertação apresentada como requisito parcial para obtenção do grau de Mestre em Estatística e Gestão de Informação.

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The S100 proteins are 10-12 kDa EF-hand proteins that act as central regulators in a multitude of cellular processes including cell survival, proliferation, differentiation and motility. Consequently, many S100 proteins are implicated and display marked changes in their expression levels in many types of cancer, neurodegenerative disorders, inflammatory and autoimmune diseases. The structure and function of S100 proteins are modulated by metal ions via Ca2+ binding through EF-hand motifs and binding of Zn2+ and Cu2+ at additional sites, usually at the homodimer interfaces. Ca2+ binding modulates S100 conformational opening and thus promotes and affects the interaction with p53, the receptor for advanced glycation endproducts and Toll-like receptor 4, among many others. Structural plasticity also occurs at the quaternary level, where several S100 proteins self-assemble into multiple oligomeric states, many being functionally relevant. Recently, we have found that the S100A8/A9 proteins are involved in amyloidogenic processes in corpora amylacea of prostate cancer patients, and undergo metal-mediated amyloid oligomerization and fibrillation in vitro. Here we review the unique chemical and structural properties of S100 proteins that underlie the conformational changes resulting in their oligomerization upon metal ion binding and ultimately in functional control. The possibility that S100 proteins have intrinsic amyloid-forming capacity is also addressed, as well as the hypothesis that amyloid self-assemblies may, under particular physiological conditions, affect the S100 functions within the cellular milieu.

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Ao longo dos últimos anos, acompanhada da evolução tecnológica, da dificuldade da inspeção visual e da consciencialização dos efeitos de uma má inspeção, verificou-se uma maior sensibilidade para a importância da monitorização estrutural, principalmente nas grandes infra-estruturas de engenharia civil. Os sistemas de monitorização estrutural permitem o acompanhamento contínuo do comportamento de uma determinada estrutura de tal forma que com os dados obtidos, é possível avaliar alterações no comportamento da mesma. Com isso, tem-se desenvolvido e implementado estratégias de identificação de danos estruturais com o intuito de aumentar a fiabilidade estrutural e evitar precocemente que alterações na condição da estrutura possam evoluir para situações mais severas. Neste contexto, a primeira parte desta dissertação consiste numa introdução à monitorização estrutural e à deteção de dano estrutural. Relativamente à monitorização, são expostos os seus objetivos e os princípios da sua aplicação. Conjuntamente são apresentados e descritos os principais sensores e são explicadas as funcionalidades de um sistema de aquisição de dados. O segundo tema aborda a importância da deteção de dano introduzindo os métodos estudados neste trabalho. Destaca-se o método das linhas de influência, o método da curvatura dos modos de vibração e o método da transformada de wavelet. Na segunda parte desta dissertação são apresentados dois casos de estudo. O primeiro estudo apresenta uma componente numérica e uma componente experimental. Estuda-se um modelo de viga que se encontra submetida a vários cenários de dano e valida-se a capacidade do método das linhas de influência em detetar e localizar essas anomalias. O segundo estudo consiste na modelação numérica de uma ponte real, na posterior simulação de cenários de dano e na análise comparativa da eficácia de cada um dos três métodos de deteção de dano na identificação e localização dos danos simulados. Por último, são apresentadas as principais conclusões deste trabalho e são sugeridos alguns tópicos a explorar na elaboração de trabalhos futuros.

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As caldeiras são equipamentos de extrema importância na maioria das indústrias portuguesas. É prática frequente os projectos de caldeiras possuírem apenas cálculos de materiais ou estruturais, nunca abordando as questões térmicas das mesmas. Neste contexto surge o presente trabalho que teve como principal objectivo estudar e modelar o comportamento térmico de uma caldeira alimentada a biomassa florestal. A caldeira em estudo é uma caldeira tubos de fumo com ante-fornalha, alimentada a biomassa e com pressão de funcionamento de 10 bar. A primeira parte do trabalho consistiu no levantamento de toda a informação relativa aos aspectos construtivos da caldeira e as condições de operação da mesma, através da consulta do seu projecto. O estudo do comportamento térmico da caldeira foi dividido em 2 partes: a modelação do comportamento térmico na ante-fornalha seguido da modelação do comportamento térmico do feixe tubular. Na ante fornalha admitiu-se que o calor seria transferido do gás para as paredes da mesma por convecção e por radiação, tendo-se utilizado o Método de Hottel para modelar a transferência de calor por radiação. No feixe tubular a transferência de calor por radiação foi desprezada, tendo-se considerado apenas transferência de calor por condução e convecção entre os gases quentes e a água. Os resultados obtidos mostram que, na ante-fornalha, o peso da potência transferida por radiação (96%) é muito superior à potência transferida por convecção (4%), tendo-se obtido os valores de 384,8 kW e de 16,0 kW para a potência térmica transferida por radiação e por convecção, respectivamente. O valor obtido para a temperatura dos gases na ante-fornalha foi de 1085 K. No feixe tubular a potência térmica transferida por convecção foi de 2559 kW tendo-se obtido o valor de 240ºC para a temperatura de exaustão dos gases pela chaminé. As perdas para o exterior foram estimadas em 1,5 %. O balanço global de energia à caldeira indicou um peso para a potência transferida por convecção de 86,3% e para a potência transferida por radiação de 13,6%. O rendimento da caldeira foi calculado pelo método das perdas tendo-se obtido o valor de 39%.

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Dissertação apresentada na Faculdade de Ciências e Tecnologia da Universidade Nova de Lisboa para obtenção do grau de Mestre em Engenharia Civil-Perfil de Construção