990 resultados para Amalteo, Pomponio, 1505-1588.


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The similar to 2500 km-long Himalaya plate boundary experienced three great earthquakes during the past century, but none of them generated any surface rupture. The segments between the 1905-1934 and the 1897-1950 sources, known as the central and Assam seismic gaps respectively, have long been considered holding potential for future great earthquakes. This paper addresses two issues concerning earthquakes along the Himalaya plate boundary. One, the absence of surface rupture associated with the great earthquakes, vis-a-vis the purported large slip observed from paleoseismological investigations and two, the current understanding of the status of the seismic gaps in the Central Himalaya and Assam, in view of the paleoseismological and historical data being gathered. We suggest that the ruptures of earthquakes nucleating on the basal detachment are likely to be restricted by the crustal ramps and thus generate no surface ruptures, whereas those originating on the faults within the wedges promote upward propagation of rupture and displacement, as observed during the 2005 Kashmir earthquake, that showed a peak offset of 7 m. The occasional reactivation of these thrust systems within the duplex zone may also be responsible for the observed temporal and spatial clustering of earthquakes in the Himalaya. Observations presented in this paper suggest that the last major earthquake in the Central Himalaya occurred during AD 1119-1292, rather than in 1505, as suggested in some previous studies and thus the gap in the plate boundary events is real. As for the Northwestern Himalaya, seismically generated sedimentary features identified in the 1950 source region are generally younger than AD 1400 and evidence for older events is sketchy. The 1897 Shillong earthquake is not a decollement event and its predecessor is probably similar to 1000 years old. Compared to the Central Himalaya, the Assam Gap is a corridor of low seismicity between two tectonically independent seismogenic source zones that cannot be considered as a seismic gap in the conventional sense. (C) 2011 Elsevier B.V. All rights reserved.

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A fuzzy logic system is developed for helicopter rotor system fault isolation. Inputs to the fuzzy logic system are measurement deviations of blade bending and torsion response and vibration from a "good" undamaged helicopter rotor. The rotor system measurements used are flap and lag bending tip deflections, elastic twist deflection at the tip, and three forces and three moments at the rotor hub. The fuzzy logic system uses rules developed from an aeroelastic model of the helicopter rotor with implanted faults to isolate the fault while accounting for uncertainty in the measurements. The faults modeled include moisture absorption, loss of trim mass, damaged lag damper, damaged pitch control system, misadjusted pitch link, and damaged flap. Tests with simulated data show that the fuzzy system isolates rotor system faults with an accuracy of about 90-100%. Furthermore, the fuzzy system is robust and gives excellent results, even when some measurements are not available. A rule-based expert system based on similar rules from the aeroelastic model performs much more poorly than the fuzzy system in the presence of high levels of uncertainty.

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Photo-thermal Deflection (PTD) technique is used to investigate the thermal diffusivity (alpha) of Ge17Te83 - xTlx (0 <= x <= 13) glasses as a function of composition. The thermal diffusivity of these glasses is found to lie in the range 0.020 to 0.048 cm(2)/s, which is consistent with the memory type of electrical switching exhibited by these samples. Further, it is found that alpha shows an initial increase with Tl addition, followed by a decrease. The observed composition dependence of thermal diffusivity has been understood on the basis that the thallium atoms are incorporated as a covalent species for lower values of x, increasing the network rigidity; however, they enter as ionic species for higher x values, fragmenting the network. The initial increase in a is due to the increasing network rigidity and the subsequent decrease is because of the fragmentation of the network. Also, there is a strong correlation between the composition dependence of switching voltages observed earlier and the variation with composition of electrical resistivity and thermal diffusivity of Ge17Te83 - xTlx glasses obtained in the present study. (C) 2012 Elsevier B.V. All rights reserved.

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In the present work, historical and instrumental seismicity data of India and its adjoining areas (within 300km from Indian political boundary) are compiled to form the earthquake catalog for the country covering the period from 1505 to 2009. The initial catalogue consisted of about 139563 earthquake events and after declustering,the total number of events obtained was 61315. Region specific earthquake magnitude scaling relations correlating different magnitude scales were achieved and a homogenous earthquake catalogue in moment magnitude (MW) scale was developed for the region. This paper also presents the results of the use of Geographic Information Systems (GIS) to prepare a digitized seismic source map of India. The latest earthquake data were superimposed on the digitized source map to get a final Seismotectonic map of India. The study area has been divided into 1225 grid points (approximately 110km×110km) and the seismicity analysis has been done to get the spatial variation of seismicity parameters ‘a’ and ‘b’ across the country. The homogenized earthquake catalogue with the event details is listed in the website http://civil.iisc.ernet.in/~sreevals/resource.htm

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The Himalaya has experienced three great earthquakes during the last century1934 Nepal-Bihar, 1950 Upper Assam, and arguably the 1905 Kangra. Focus here is on the central Himalayan segment between the 1905 and the 1934 ruptures, where previous studies have identified a great earthquake between thirteenth and sixteenth centuries. Historical data suggest damaging earthquakes in A.D. 1255, 1344, 1505, 1803, and 1833, although their sources and magnitudes remain debated. We present new evidence for a great earthquake from a trench across the base of a 13m high scarp near Ramnagar at the Himalayan Frontal Thrust. The section exposed four south verging fault strands and a backthrust offsetting a broad spectrum of lithounits, including colluvial deposits. Age data suggest that the last great earthquake in the central Himalaya most likely occurred between A.D. 1259 and 1433. While evidence for this rupture is unmistakable, the stratigraphic clues imply an earlier event, which can most tentatively be placed between A.D. 1050 and 1250. The postulated existence of this earlier event, however, requires further validation. If the two-earthquake scenario is realistic, then the successive ruptures may have occurred in close intervals and were sourced on adjacent segments that overlapped at the trench site. Rupture(s) identified in the trench closely correlate with two damaging earthquakes of 1255 and 1344 reported from Nepal. The present study suggests that the frontal thrust in central Himalaya may have remained seismically inactive during the last similar to 700years. Considering this long elapsed time, a great earthquake may be due in the region.

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We formally extend the CFT techniques introduced in arXiv: 1505.00963, to phi(2d0/d0-2) theory in d = d(0) dimensions and use it to compute anomalous dimensions near d(0) = 3, 4 in a unified manner. We also do a similar analysis of the O(N) model in three dimensions by developing a recursive combinatorial approach for OPE contractions. Our results match precisely with low loop perturbative computations. Finally, using 3-point correlators in the CFT, we comment on why the phi(3) theory in d(0) = 6 is qualitatively different.

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The bilateral filter is known to be quite effective in denoising images corrupted with small dosages of additive Gaussian noise. The denoising performance of the filter, however, is known to degrade quickly with the increase in noise level. Several adaptations of the filter have been proposed in the literature to address this shortcoming, but often at a substantial computational overhead. In this paper, we report a simple pre-processing step that can substantially improve the denoising performance of the bilateral filter, at almost no additional cost. The modified filter is designed to be robust at large noise levels, and often tends to perform poorly below a certain noise threshold. To get the best of the original and the modified filter, we propose to combine them in a weighted fashion, where the weights are chosen to minimize (a surrogate of) the oracle mean-squared-error (MSE). The optimally-weighted filter is thus guaranteed to perform better than either of the component filters in terms of the MSE, at all noise levels. We also provide a fast algorithm for the weighted filtering. Visual and quantitative denoising results on standard test images are reported which demonstrate that the improvement over the original filter is significant both visually and in terms of PSNR. Moreover, the denoising performance of the optimally-weighted bilateral filter is competitive with the computation-intensive non-local means filter.

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The bilateral filter is a versatile non-linear filter that has found diverse applications in image processing, computer vision, computer graphics, and computational photography. A common form of the filter is the Gaussian bilateral filter in which both the spatial and range kernels are Gaussian. A direct implementation of this filter requires O(sigma(2)) operations per pixel, where sigma is the standard deviation of the spatial Gaussian. In this paper, we propose an accurate approximation algorithm that can cut down the computational complexity to O(1) per pixel for any arbitrary sigma (constant-time implementation). This is based on the observation that the range kernel operates via the translations of a fixed Gaussian over the range space, and that these translated Gaussians can be accurately approximated using the so-called Gauss-polynomials. The overall algorithm emerging from this approximation involves a series of spatial Gaussian filtering, which can be efficiently implemented (in parallel) using separability and recursion. We present some preliminary results to demonstrate that the proposed algorithm compares favorably with some of the existing fast algorithms in terms of speed and accuracy.

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In this paper, a method is developed for determining the effective stiffness of the cracked component. The stiffness matrix of the cracked component is integrated into the global stiffness matrix of the finite element model of the global platform for the FE calculation of the structure in any environmental conditions. The stiffness matrix equation of the cracked component is derived by use of the finite variation principle and fracture mechanics. The equivalent parameters defining the element that simulates the cracked component are mathematically presented, and can be easily used for the FE calculation of large scale cracked structures together with any finite element program. The theories developed are validated by both lab tests and numerical calculations, and applied to the evaluation of crack effect on the strength of a fixed platform and a self-elevating drilling rig.

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El presente trabajo se realizó en el Centro Experimental del Algodón (C.E.A) el cual se conoce como C.E.A - FUNDA (Fundación para el Desarrollo Agrícola), ubicado en Posoltega, Chinandega. El experimento se estableció en Agosto 1992, en un suelo franco arenoso. Utilizándose la variedad Cristalina. La cosecha se realizó a los 120 días después de siembras. Los tratamientos fueron arreglados en un diseño de bloques completos al azar (B.C.A.), con cinco tratamientos y cuatro repeticiones. Los tratamientos fueron: T1= Inoculante; T2= Inoculante + 30 kg/ha de P2O5; T3= Inoculante + 60 kg/ha de P205; T4= Inoculante + 90 kg/ha de P2O5; T5 Inoculante + 10 kg/ha de N2. Se evaluó el efecto de los niveles de fósforo y de nitrógeno sobre el crecimiento, desarrollo y rendimiento del cultivo de la soya (Glycine max (L) Merril) . En los diferentes niveles de fósforo y nitrógeno las variables evaluadas no mostraron diferencias significativas, sin embargo, numéricamente en la cantidad de nódulos, usando I + 10 kg/ha N2 (T5) ) presentó menor número y el Testigo (T1) mayor cantidad. Ei resto de los tratamientos tuvo similar comportamiento. En cuanto a la altura de la planta no se observó ningún efecto. El cultivo se desarrolló de acuerdo a la característica de la variedad Cristalina. En el rendimiento no se obtuvo diferencia significativa, sin embargo, el tratamiento con uso de inoculante y con mayor nivel de fósforo T4 (Inoculante + 90 kg/ha de P2O5), produjo un rendimiento ligeramente mayor en relación a los otros tratamientos. Entre los diferentes tratamientos evaluados en un suelo con 8 partes por millón (ppm) de fósforo se pudo concluir que el cultivo de la soya con o sin las aplicaciones de fósforo y de nitrógeno no ejercieron efectos significativos y que la forma más económica de producir soya es usando inoculantes.

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El presente estudio se realizó de Abril de 1992 a Marzo de 1993 en el Ingenio Victoria de Julio. Se evaluaron diferentes densidades de siembra sobre los rendimientos en el cultivo de la caña de azúcar, primer retoño (6, 9 12 yemas/metro lineal). El diseño utilizado fue de bloques completos al azar, los parámetros estudiados fueron: índice de ahijamiento, población, altura, diámetro, peso promedio de los tallos, rendimientos agrícola, rendimiento industrial y rendimiento agroindustrial. Los datos obtenidos fueron sometidos a análisis de varianza y prueba de Duncan a un 5 por ciento de margen de error. Los resultados obtenidos fueron los siguientes: El mayor porcentaje de índice de ahijamiento, lo presentó el tratamiento de 12 yemas por metro lineal. Los promedios poblacionales más altos se obtuvieron con 12 yemas/metro lineal. Se lograron las mayores longitudes de tallos con 12 yemas. No existen diferencias entre los tratamientos en relación al diámetro del tallo. A mayor número de yemas usadas mayor fue el peso promedio de tallo. El rendimiento agrícola fue mayor cuando se incrementó el número de yemas. El resultado más sobresaliente en cuanto a rendimiento industrial se obtuvo con 6 yemas por metro lineal. El rendimiento agro-industrial fue superior en el tratamiento con 12 yemas por metro lineal.

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El presente trabajo se realizó en el Laboratorio de Cultivo de Tejidos Vegetales del Programa Recursos Genéticos Nicaragüenses (REGEN), ubicado en la Universidad Nacional Agraria (UNA). El experimento se evaluó en dos fases, en la primera fase se estudió el comportamiento in vitro de ápices de los clones de yuca (Manihot esculenta Crantz) MCol-22, Okra y Portland cultivados en un medio nutritivo MS (Murashige y Skoog, 1962) con concentraciones de 0.00 mg/1 y 0.040 mg/1 de BAP (6-bencil aminopurina) y concentraciones de 0.05 mg/1 0.10 mgfl y 0.20 mg/1 de GA3 (ácido giberélico). En la segunda fase se evaluó el comportamiento de cuatro clones (C6-1141, MCol-1505, MCol-2215 y MMex-59) en las consistencias de medio nutritivo semisólida y líquida. A través del estudio se determinó que el genotipo es un factor muy importante sobre la respuesta organogénica de los tejidos cultivados in vitro. Sin embargo, es posible definir medios nutritivos para grupos de clones, facilitando así el proceso de micropropagación de especies de importancia económica como la yuca. Los clones que sobresalieron en la primera fase fueron el Portland y MCol- 22. Con respecto al efecto del BAP la concentración 0.04 mg/1 predominó sobre la concentración 0.00 mg/1, para todas las variables evaluadas en el ensayo. Así mismo, la concentración 0.10 mg/1 de GA 3 resultó la más efectiva. Por otra parte, de las consistencias de medios nutritivos evaluados en la segunda fase, se determinó que la consistencia semisólida dió mejor resultado sobre el número de raíces y la consistencia líquida tuvo mayor influencia sobre la variable altura de planta.

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A micromachined electrometer, based on the concept of a variable capacitor, has been designed, modeled, fabricated, and tested. The device presented in this paper functions as a modulated variable capacitor, wherein a dc charge to be measured is up-modulated and converted to an ac voltage output, thus improving the signal-to-noise ratio. The device was fabricated in a commercial standard SOI micromachining process without the need for any additional processing steps. The electrometer was tested in both air and vacuum at room temperature. In air, it has a charge-to-voltage conversion gain of 2.06 nV/e, and a measured charge noise floor of 52.4 e/rtHz. To reduce the effects of input leakage current, an electrically isolated capacitor has been introduced between the variable capacitor and input to sensor electronics. Methods to improve the sensitivity and resolution are suggested while the long-term stability of these sensors is modeled and discussed. © 2006 IEEE.