951 resultados para Ventilated stone veneer
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As atuais políticas industriais procuram conjugar os objetivos económicos com direitos sociais e ambientais através da aplicação de políticas de desenvolvimento sustentável. A gestão coordenada destes três capítulos visa contribuir para o bem‐estar e progressiva melhoria da qualidade de vida dos cidadãos. Esta Tese de Mestrado tem por objetivo a aplicação de um sistema de avaliação de pedreiras produtoras de agregados partindo da análise integrada de indicadores setoriais nas áreas económica, social e ambiental. Deste modo é proposto o desenvolvimento de um método de avaliação que permita proceder a uma análise qualitativa e quantitativa do desempenho de pedreiras do ponto de vista da sua sustentabilidade. Numa abordagem inicial, enquadradora das questões que se levantam com as políticas de desenvolvimento sustentável, é feita uma introdução relativa às correntes de pensamento dominantes sobre esta questão, tendo ainda sido feito um relacionamento entre as questões ligadas com o planeamento estratégico deste setor industrial e as questões ligadas com o ordenamento do território. Posteriormente, é feita uma análise do enquadramento do setor extrativo relativo à exploração de pedreiras no âmbito das políticas económicas, sociais e ambientais da Comunidade Europeia e uma caracterização da importância deste setor industrial na economia portuguesa. Após o desenvolvimento destas questões, é dada sequência ao trabalho desenvolvido na adoção e criação de indicadores económicos, sociais e ambientais adaptados à situação particular das pedreiras produtoras de inertes portuguesas. Finalmente, é proposto o desenvolvimento de um método de cálculo tendo em vista a criação de um Índice de Sustentabilidade a partir da análise dos resultados dos indicadores setoriais anteriormente referidos. Assim, é apresentada uma súmula de conclusões sobre este tipo de abordagem, suas vantagens e inconvenientes relativamente aos métodos tradicionais de avaliação deste tipo de indústria. É, por último, apresentado um conjunto de sugestões que permitam a utilização na rotina, de forma acessível, desta nova ferramenta de análise.
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A reabilitação de edifícios antigos tem vindo a alcançar uma maior importância na actual narrativa da organização das cidades, devido à inevitável necessidade de reabilitar o património arquitetónico dos centros degradados, sendo vista pelo setor da construção civil como uma atividade com potencial de desenvolvimento para todos os intervenientes na construção. Torna-se, por isso, num tema consensual e extremamente interessante como objeto de estudo e reflexão, concretamente na cidade do Porto, onde se pode encontrar um centro histórico classificado. Nesta perspetiva deve ser dada a devida relevância à preservação do património construído, reabilitando-o para que a população regresse ao centro urbano. O presente relatório tem como base um estágio desenvolvido na empresa Porto Vivo, Sociedade de Reabilitação Urbana (SRU) da Baixa do Porto. Numa primeira parte deste trabalho será feita uma reflexão sobre a reabilitação urbana, registando a evolução que esta tem vindo a sofrer ao longo dos tempos, tendo posteriormente o foco na cidade do Porto, mais concretamente no centro histórico da cidade. Também será dado ênfase à intervenção da Porto Vivo SRU. Numa segunda parte, serão abordados os tipos de estrutura predominantes no centro histórico da cidade do Porto, nomeadamente, estruturas de madeira e estruturas de alvenaria de pedra. Por fim, na terceira parte deste trabalho analisaremos dois casos de obra. Como corolário, apresentamos a conclusão do trabalho onde se incluem propostas e sugestões para o seu desenvolvimento futuro.
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Com o presente trabalho pretende-se avaliar a segurança de um elemento estrutural de um edifício antigo (tradicional) da baixa da Porto edificado nos finais do última quartel do século XVIII. Após uma pequena introdução onde será exposta a estrutura do trabalho, capítulo a capítulo, será feita uma explanação histórica sobre o meio urbano onde o edifício está construído, os métodos construtivos adotados desde 1755 até aos nossos dias, passando pelo historial do próprio edificado. Passar-se-á de seguida à análise do edifício, apresentando evidências do que eventualmente terá sido construído de base até aos dias de hoje. Será feita uma apresentação dos elementos construtivos que compõe actualmente o edificio, apresentando evidências do estado de cada um, ou seja, será feita um levantamento das patologias evidentes e visíveis a olho nu, recorrendo a métodos expeditos de análise. Também será feito um levantamento dimensional da volumetria , planimétria do edifício e da compartimentação, registando as dimensões dos elementos estruturais e arquitectónicos relevantes para a realização dos respectivos projectos. Posteriormente passar-se-á para uma exposição dos diversos tipos de ensaios, começando pela apresentação dos métodos disponíveis atualmente para a caracterização física e mecânica dos materiais, seguida da realização dos ensaios, recolha de dados no edificado e proposta de definição dos materiais. Após a recolha de todos estes elementos, estão reunidas as condições para se passar a uma análise estrutural, onde para estes objectivos, serão aplicados os mais avançados programas de cálculo estrutural existentes na actualidade, suportados em metodologias que analisam não só o elemento mas também a sua interação com os que lhe servem de fronteira acabando-se num todo que é o edifício. Pretende-se com este estudo estrutural avaliar a segurança de uma parte significativa e representativa do edifico baseado na regulamentação em vigor. A parte a analisar representa o pavimento aplicado na construção. Finalizar-se-á com a apresentação das conclusões, propondo eventuais ações futuras.
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Ao longo das últimas décadas o município de Amarante tem-se deparado com inúmeros problemas de instabilidade de estruturas de suporte de terras, maioritariamente instabilidade de taludes artificiais, (escavação e/ou aterro) e muros de contenção tradicionais em alvenaria de pedra. A unidade técnica de projeto, ou UTP da Câmara Municipal de Amarante tem vindo a elaborar estudos, projetos e adjudicar as obras para repor a normalidade apos a instabilização desses elementos, contudo a frequência de ocorrência destes fenómenos e os recursos necessários para a sua resolução ultrapassam a capacidade desta unidade, levando a que muitos destes casos se arrastem durante anos antes de ser reposta a sua normalidade. Perante este panorama revelou-se necessário efetuar um estudo de forma a listar, avaliar e priorizar os vários casos de instabilidade existentes, para uma eficiente alocação dos recursos disponíveis. Esta análise pretende ainda identificar as principais causas de instabilidade destas estruturas, de forma a eliminar ou mitigar a ocorrência de futuros problemas semelhantes. Para o estudo destes elementos de contenção de terras adotou-se o método de análise de risco conhecido como FMEA, “Failure Modes and Effects Analysis” ou Analise dos Modos de Falha e Efeitos, com as adaptações necessárias de forma a maximizar a confiabilidade das avaliações mediante a especificidade dos casos a avaliar e realidade da instituição.
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Tese para obtenção do Grau de Doutor em Engenharia Civil, Especialidade Ciências da Construção
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A producer of 5.4 M bbl/d, totalling almost half of the consumption of the entire European Union, the Gulf of Guinea is a fundamental lifeline and maritime link between Europe, the Americas and Africa. Geographically positioned as a staging post for transit originating in Latin America and coupled with its relatively porous borders, the region is also the perfect stepping stone for contraband heading to European shores. While blessed with an enviable wealth of marine and mineral resources, the region is also plagued by an ever-increasing spectre of maritime piracy; accounting for around 30% of incidents in African waters from 2003 to 2011. It is for these reasons that this research centres around the issues of maritime security in the Gulf of Guinea, with a particular focus on the first two decades of the 21st century. This research looks to examine the overall picture of the present state of play in the area, before going on to provide an analysis of potential regional developments in maritime security. This research begins with the analysis of concepts/phenomena that have played a notable role in the shaping of the field of maritime security, namely Globalisation and security issues in the post-Cold War era. The ensuing chapter then focuses in on the Gulf of Guinea and the issues dominating the field of maritime security in the region. The penultimate chapter presents a SWOT analysis, undertaken as part of this research with the aim of correlating opinions from a variety of sectors/professions regarding maritime security in the Gulf of Guinea. The final chapter builds upon the results obtained from the abovementioned SWOT analysis, presenting a series of potential proposals/strategies that can contribute to the field of maritime security in the region over the coming years. This research draws to a close with the presentation of conclusions taken from this particular investigation, as well as a final overview of the earlier presented proposals applicable to the field of maritime security during the second decade of the 21st century.
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According to a recent Eurobarometer survey (2014), 68% of Europeans tend not to trust national governments. As the increasing alienation of citizens from politics endangers democracy and welfare, governments, practitioners and researchers look for innovative means to engage citizens in policy matters. One of the measures intended to overcome the so-called democratic deficit is the promotion of civic participation. Digital media proliferation offers a set of novel characteristics related to interactivity, ubiquitous connectivity, social networking and inclusiveness that enable new forms of societal-wide collaboration with a potential impact on leveraging participative democracy. Following this trend, e-Participation is an emerging research area that consists in the use of Information and Communication Technologies to mediate and transform the relations among citizens and governments towards increasing citizens’ participation in public decision-making. However, despite the widespread efforts to implement e-Participation through research programs, new technologies and projects, exhaustive studies on the achieved outcomes reveal that it has not yet been successfully incorporated in institutional politics. Given the problems underlying e-Participation implementation, the present research suggested that, rather than project-oriented efforts, the cornerstone for successfully implementing e-Participation in public institutions as a sustainable added-value activity is a systematic organisational planning, embodying the principles of open-governance and open-engagement. It further suggested that BPM, as a management discipline, can act as a catalyst to enable the desired transformations towards value creation throughout the policy-making cycle, including political, organisational and, ultimately, citizen value. Following these findings, the primary objective of this research was to provide an instrumental model to foster e-Participation sustainability across Government and Public Administration towards a participatory, inclusive, collaborative and deliberative democracy. The developed artefact, consisting in an e-Participation Organisational Semantic Model (ePOSM) underpinned by a BPM-steered approach, introduces this vision. This approach to e-Participation was modelled through a semi-formal lightweight ontology stack structured in four sub-ontologies, namely e-Participation Strategy, Organisational Units, Functions and Roles. The ePOSM facilitates e-Participation sustainability by: (1) Promoting a common and cross-functional understanding of the concepts underlying e-Participation implementation and of their articulation that bridges the gap between technical and non-technical users; (2) Providing an organisational model which allows a centralised and consistent roll-out of strategy-driven e-Participation initiatives, supported by operational units dedicated to the execution of transformation projects and participatory processes; (3) Providing a standardised organisational structure, goals, functions and roles related to e-Participation processes that enhances process-level interoperability among government agencies; (4) Providing a representation usable in software development for business processes’ automation, which allows advanced querying using a reasoner or inference engine to retrieve concrete and specific information about the e-Participation processes in place. An evaluation of the achieved outcomes, as well a comparative analysis with existent models, suggested that this innovative approach tackling the organisational planning dimension can constitute a stepping stone to harness e-Participation value.
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This paper attempts to prove that in the years 1735 to 1755 Venice was the birthplace and cradle of Modern architectural theory, generating a major crisis in classical architecture traditionally based on the Vitruvian assumption that it imitates early wooden structures in stone or in marble. According to its rationalist critics such as the Venetian Observant Franciscan friar and architectural theorist Carlo Lodoli (1690-1761) and his nineteenth-century followers, classical architecture is singularly deceptive and not true to the nature of materials, in other words, dishonest and fallacious. This questioning did not emanate from practising architects, but from Lodoli himself– a philosopher and educator of the Venetian patriciate – who had not been trained as an architect. The roots of this crisis lay in a new approach to architecture stemming from the new rationalist philosophy of the Enlightenment age with its emphasis on reason and universal criticism.
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As florestas são uma fonte importante de recursos naturais, desempenhando um papel fulcral na sustentabilidade ambiental. A sua gestão quer territorial quer económica, conduz a uma maximização da produção, sem alteração da qualidade da matéria-prima. Portugal apresenta mais de um terço do seu território coberto por floresta, apresentando uma possibilidade de aplicação de sistemas de gestão, territorial e económica que maximizem a sua produção. Os Sistemas de Informação Geográfica (SIG) são modelos da realidade em que é possível integrar toda a informação disponível sobre um assunto tendo por base um campo comum a todos as variáveis, a localização geográfica. Os SIG podem contribuir de diversas formas para um maior desenvolvimento das rotinas e ferramentas de planeamento e gestão florestal. A sua integração com modelos quantitativos para planeamento e gestão de florestas é uma mais-valia nesta área. Nesta dissertação apresentam-se modelos geoestatísticos, com recurso a Sistemas de Informação Geográfica, de apoio e suporte à produção de pinha em Pinheiro-manso (Pinus pinea L.). Procurando estimar as áreas com melhor propensão à produção, a partir de dados amostrais. Estes foram previamente estudados tendo sido selecionadas quatro variáveis: largura da copa, área basal, altura da árvore e produção de pinha. A geoestatística aplicada, inclui modelos de correlação espacial: kriging, onde são atribuídos pesos às amostras a partir de uma análise espacial baseada no variograma experimental. Foi utilizada a extensão Geostatistical Analyst do ArcGis da ESRI, para realizar 96 krigings para as quatro variáveis em estudo, com diferentes parametrizações, destes foram selecionados 8 krigings. Com base nos critérios de adequação dos modelos e da análise de resultados da predição dos erros - cross validation. O resultado deste estudo é apresentado através de mapas de previsão para a produção de pinha em Pinheiro manso, em que foram analisadas áreas com maior e menor probabilidade de produção tendo-se realizado análises de comparação de variáveis. Através da interseção de todas as variáveis com a produção, podemos concluir que os concelhos com maiores áreas de probabilidade de produção de pinha em Pinheiro manso, da área de estudo, são Alcácer do Sal, Montemor-o-Novo, Vendas Novas, Coruche e Chamusca. Com a realização de um cruzamento de dados entre os resultados obtidos dos krigings, e a Carta de Uso e Ocupação do Solo de Portugal Continental para 2007 (COS2007), realizaram-se mapas de previsão para a expansão do Pinheiro manso. Nas áreas de expansão conseguimos atingir aumentos mínimos na ordem dos 11% e máximo na ordem dos 61%. No total consegue-se atingir aproximadamente 128 mil ha para área de expansão do Pinheiro manso. Superando, os valores esperados pelos Planos Regionais de Ordenamento Florestal, abrangidos pela área da amostra em estudo, em que é esperado um incremento de cerca de 130 mil hectares de área de Pinheiro manso para 2030.
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OBJECTIVE: : To determine the influence of nebulizer types and nebulization modes on bronchodilator delivery in a mechanically ventilated pediatric lung model. DESIGN: : In vitro, laboratory study. SETTING: : Research laboratory of a university hospital. INTERVENTIONS: : Using albuterol as a marker, three nebulizer types (jet nebulizer, ultrasonic nebulizer, and vibrating-mesh nebulizer) were tested in three nebulization modes in a nonhumidified bench model mimicking the ventilatory pattern of a 10-kg infant. The amounts of albuterol deposited on the inspiratory filters (inhaled drug) at the end of the endotracheal tube, on the expiratory filters, and remaining in the nebulizers or in the ventilator circuit were determined. Particle size distribution of the nebulizers was also measured. MEASUREMENTS AND MAIN RESULTS: : The inhaled drug was 2.8% ± 0.5% for the jet nebulizer, 10.5% ± 2.3% for the ultrasonic nebulizer, and 5.4% ± 2.7% for the vibrating-mesh nebulizer in intermittent nebulization during the inspiratory phase (p < 0.01). The most efficient nebulizer was the vibrating-mesh nebulizer in continuous nebulization (13.3% ± 4.6%, p < 0.01). Depending on the nebulizers, a variable but important part of albuterol was observed as remaining in the nebulizers (jet and ultrasonic nebulizers), or being expired or lost in the ventilator circuit (all nebulizers). Only small particles (range 2.39-2.70 µm) reached the end of the endotracheal tube. CONCLUSIONS: : Important differences between nebulizer types and nebulization modes were seen for albuterol deposition at the end of the endotracheal tube in an in vitro pediatric ventilator-lung model. New aerosol devices, such as ultrasonic and vibrating-mesh nebulizers, were more efficient than the jet nebulizer.
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OBJECTIVE: To provide an update to the original Surviving Sepsis Campaign clinical management guidelines, "Surviving Sepsis Campaign Guidelines for Management of Severe Sepsis and Septic Shock," published in 2004. DESIGN: Modified Delphi method with a consensus conference of 55 international experts, several subsequent meetings of subgroups and key individuals, teleconferences, and electronic-based discussion among subgroups and among the entire committee. This process was conducted independently of any industry funding. METHODS: We used the Grades of Recommendation, Assessment, Development and Evaluation (GRADE) system to guide assessment of quality of evidence from high (A) to very low (D) and to determine the strength of recommendations. A strong recommendation (1) indicates that an intervention's desirable effects clearly outweigh its undesirable effects (risk, burden, cost) or clearly do not. Weak recommendations (2) indicate that the tradeoff between desirable and undesirable effects is less clear. The grade of strong or weak is considered of greater clinical importance than a difference in letter level of quality of evidence. In areas without complete agreement, a formal process of resolution was developed and applied. Recommendations are grouped into those directly targeting severe sepsis, recommendations targeting general care of the critically ill patient that are considered high priority in severe sepsis, and pediatric considerations. RESULTS: Key recommendations, listed by category, include early goal-directed resuscitation of the septic patient during the first 6 hrs after recognition (1C); blood cultures before antibiotic therapy (1C); imaging studies performed promptly to confirm potential source of infection (1C); administration of broad-spectrum antibiotic therapy within 1 hr of diagnosis of septic shock (1B) and severe sepsis without septic shock (1D); reassessment of antibiotic therapy with microbiology and clinical data to narrow coverage, when appropriate (1C); a usual 7-10 days of antibiotic therapy guided by clinical response (1D); source control with attention to the balance of risks and benefits of the chosen method (1C); administration of either crystalloid or colloid fluid resuscitation (1B); fluid challenge to restore mean circulating filling pressure (1C); reduction in rate of fluid administration with rising filing pressures and no improvement in tissue perfusion (1D); vasopressor preference for norepinephrine or dopamine to maintain an initial target of mean arterial pressure > or = 65 mm Hg (1C); dobutamine inotropic therapy when cardiac output remains low despite fluid resuscitation and combined inotropic/vasopressor therapy (1C); stress-dose steroid therapy given only in septic shock after blood pressure is identified to be poorly responsive to fluid and vasopressor therapy (2C); recombinant activated protein C in patients with severe sepsis and clinical assessment of high risk for death (2B except 2C for postoperative patients). In the absence of tissue hypoperfusion, coronary artery disease, or acute hemorrhage, target a hemoglobin of 7-9 g/dL (1B); a low tidal volume (1B) and limitation of inspiratory plateau pressure strategy (1C) for acute lung injury (ALI)/acute respiratory distress syndrome (ARDS); application of at least a minimal amount of positive end-expiratory pressure in acute lung injury (1C); head of bed elevation in mechanically ventilated patients unless contraindicated (1B); avoiding routine use of pulmonary artery catheters in ALI/ARDS (1A); to decrease days of mechanical ventilation and ICU length of stay, a conservative fluid strategy for patients with established ALI/ARDS who are not in shock (1C); protocols for weaning and sedation/analgesia (1B); using either intermittent bolus sedation or continuous infusion sedation with daily interruptions or lightening (1B); avoidance of neuromuscular blockers, if at all possible (1B); institution of glycemic control (1B), targeting a blood glucose < 150 mg/dL after initial stabilization (2C); equivalency of continuous veno-veno hemofiltration or intermittent hemodialysis (2B); prophylaxis for deep vein thrombosis (1A); use of stress ulcer prophylaxis to prevent upper gastrointestinal bleeding using H2 blockers (1A) or proton pump inhibitors (1B); and consideration of limitation of support where appropriate (1D). Recommendations specific to pediatric severe sepsis include greater use of physical examination therapeutic end points (2C); dopamine as the first drug of choice for hypotension (2C); steroids only in children with suspected or proven adrenal insufficiency (2C); and a recommendation against the use of recombinant activated protein C in children (1B). CONCLUSIONS: There was strong agreement among a large cohort of international experts regarding many level 1 recommendations for the best current care of patients with severe sepsis. Evidenced-based recommendations regarding the acute management of sepsis and septic shock are the first step toward improved outcomes for this important group of critically ill patients.
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Geographical isolation and polyploidization are central concepts in plant evolution. The hierarchical organization of archipelagos in this study provides a framework for testing the evolutionary consequences for polyploid taxa and populations occurring in isolation. Using amplified fragment length polymorphism and simple sequence repeat markers, we determined the genetic diversity and differentiation patterns at three levels of geographical isolation in Olea europaea: mainland-archipelagos, islands within an archipelago, and populations within an island. At the subspecies scale, the hexaploid ssp. maroccana (southwest Morocco) exhibited higher genetic diversity than the insular counterparts. In contrast, the tetraploid ssp. cerasiformis (Madeira) displayed values similar to those obtained for the diploid ssp. guanchica (Canary Islands). Geographical isolation was associated with a high genetic differentiation at this scale. In the Canarian archipelago, the stepping-stone model of differentiation suggested in a previous study was partially supported. Within the western lineage, an east-to-west differentiation pattern was confirmed. Conversely, the easternmost populations were more related to the mainland ssp. europaea than to the western guanchica lineage. Genetic diversity across the Canarian archipelago was significantly correlated with the date of the last volcanic activity in the area/island where each population occurs. At the island scale, this pattern was not confirmed in older islands (Tenerife and Madeira), where populations were genetically homogeneous. In contrast, founder effects resulted in low genetic diversity and marked genetic differentiation among populations of the youngest island, La Palma.
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Neurally adjusted ventilatory assist (NAVA) is a ventilation assist mode that delivers pressure in proportionality to electrical activity of the diaphragm (Eadi). Compared to pressure support ventilation (PS), it improves patient-ventilator synchrony and should allow a better expression of patient's intrinsic respiratory variability. We hypothesize that NAVA provides better matching in ventilator tidal volume (Vt) to patients inspiratory demand. 22 patients with acute respiratory failure, ventilated with PS were included in the study. A comparative study was carried out between PS and NAVA, with NAVA gain ensuring the same peak airway pressure as PS. Robust coefficients of variation (CVR) for Eadi and Vt were compared for each mode. The integral of Eadi (ʃEadi) was used to represent patient's inspiratory demand. To evaluate tidal volume and patient's demand matching, Range90 = 5-95 % range of the Vt/ʃEadi ratio was calculated, to normalize and compare differences in demand within and between patients and modes. In this study, peak Eadi and ʃEadi are correlated with median correlation of coefficients, R > 0.95. Median ʃEadi, Vt, neural inspiratory time (Ti_ ( Neural )), inspiratory time (Ti) and peak inspiratory pressure (PIP) were similar in PS and NAVA. However, it was found that individual patients have higher or smaller ʃEadi, Vt, Ti_ ( Neural ), Ti and PIP. CVR analysis showed greater Vt variability for NAVA (p < 0.005). Range90 was lower for NAVA than PS for 21 of 22 patients. NAVA provided better matching of Vt to ʃEadi for 21 of 22 patients, and provided greater variability Vt. These results were achieved regardless of differences in ventilatory demand (Eadi) between patients and modes.
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Measurements and simulations were performed to assess workers' exposure to solvent vapors and aerosols during the waterproofing of a tiled surface. This investigation followed two recent incidents in the same company where workers experienced acute respiratory illness after spraying a stain-repellent resin containing fluorinated polymers on stone-tiled walls and floors. Because the waterproofing activity had been done for years at the tile company without encountering any exposure problems prior to these cases, it was strongly suspected that the incidents were linked to a recent change in the composition of the coating mixture. Experimental measurements and simulations indicated that the emission rate of particles smaller than 10 microm may be estimated at 0.66 mg/sec (SD 0.10) for the old resin and at 0.37 mg/sec (SD 0.04) for the new one. The measurement of the solvent emission rate from surfaces coated with the two resins indicated that shortly after spraying, the emission was in the range of 18 to 20 mg/sec x m2 and was similar for both products. Solvent and overspray emission rates were introduced in a two-zone compartment model. The results obtained in the near-field indicate significant exposure to overspray mist (7 and 34 mg/m3 for new resin) and solvent vapors (80 to 350 ppm for the new resin). It was also shown that the introduction of the new resin tended to significantly decrease the levels of solvents and particulates in the workers' breathing zone. These results strongly suggest that cases of acute respiratory illness are related to the specific toxicity of the fluorinated polymer itself. The fact that the same polymer is used in various commercial products raises concern regarding other possible occupational and domestic exposures.
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The new-generation nebulizers are commonly used for the administration of salbutamol in mechanically ventilated patients. The different modes of administration and new devices have not been compared. We developed a liquid chromatography-tandem mass spectrometry method for the determination of concentrations as low as 0.05 ng/mL of salbutamol, corresponding to the desired plasma concentration after inhalation. Salbutamol quantification was performed by reverse-phase HPLC. Analyte quantification was performed by electrospray ionization-triple quadrupole mass spectrometry using selected reaction monitoring detection ESI in the positive mode. The method was validated over concentrations ranging from 0.05 to 100 ng/mL in plasma and from 0.18 to 135 ng/mL in urine. The method is precise, with mean inter-day coefficient of variation (CV%) within 3.1-8.3% in plasma and 1.3-3.9% in urine, as well as accurate. The proposed method was found to reach the required sensitivity for the evaluation of different nebulizers as well as nebulization modes. The present assay was applied to examine whether salbutamol urine levels, normalized with the creatinine levels, correlated with the plasma concentrations. A suitable, convenient and noninvasive method of monitoring patients receiving salbutamol by mechanical ventilation could be implemented. Copyright © 2011 John Wiley & Sons, Ltd.