1000 resultados para Dispersion historique
Resumo:
La variabilité génétique actuelle est influencée par une combinaison complexe de variables historiques et contemporaines. Dès lors, une interprétation juste de l’impact des processus actuels nécessite une compréhension profonde des processus historiques ayant influencé la variabilité génétique. En se basant sur la prémisse que des populations proches devraient partager une histoire commune récente, nombreuses études, effectuées à petite échelle spatiale, ne prennent pas en considération l’effet potentiel des processus historiques. Cette thèse avait pour but de vérifier la validité de cette prémisse en estimant l’effet de la dispersion historique à grande et à petite échelle spatiale. Le premier volet de cette thèse avait pour but d’évaluer l’impact de la dispersion historique sur la répartition des organismes à grande échelle spatiale. Pour ce faire, les moules d’eau douce du genre flotteurs (Pyganodon spp.) ont servies de modèle biologique. Les moules d'eau douce se dispersent principalement au stade larvaire en tant que parasites des poissons. Une série de modèles nuls ont été développés pour évaluer la co-occurrence entre des parasites et leurs hôtes potenitels. Les associations distinctes du flotteur de Terre-Neuve (P. fragilis) avec des espèces de poissons euryhalins permettent d’expliquer sa répartition. Ces associations distinctes ont également pu favoriser la différenciation entre le flotteur de Terre-Neuve et son taxon soeur : le flotteur de l’Est (P. cataracta). Cette étude a démontré les effets des associations biologiques historiques sur les répartitions à grande échelle spatiale. Le second volet de cette thèse avait pour but d’évaluer l’impact de la dispersion historique sur la variabilité génétique, à petite échelle spatiale. Cette fois, différentes populations de crapet de roche (Ambloplites rupestris) et de crapet soleil (Lepomis gibbosus), dans des drainages adjacents ont servies de modèle biologique. Les différences frappantes observées entre les deux espèces suggèrent des patrons de colonisation opposés. La faible diversité génétique observée en amont des drainages et la forte différenciation observée entre les drainages pour les populations de crapet de roche suggèrent que cette espèce aurait colonisé les drainages à partir d'une source en aval. Au contraire, la faible différenciation et la forte diversité génétique observées en amont des drainages pour les populations de crapet soleil suggèrent une colonisation depuis l’amont, induisant du même coup un faux signal de flux génique entre les drainages. La présente étude a démontré que la dispersion historique peut entraver la capacité d'estimer la connectivité actuelle, à petite échelle spatiale, invalidant ainsi la prémisse testée dans cette thèse. Les impacts des processus historiques sur la variabilité génétique ne sont pas faciles à démontrer. Le troisième volet de cette thèse avait pour but de développer une méthode permettant de les détecter. La méthode proposée est très souple et favorise la comparaison entre la variabilité génétique et plusieurs hypothèses de dispersion. La méthode pourrait donc être utilisée pour comparer des hypothèses de dispersion basées sur le paysage historique et sur le paysage actuel et ainsi permettre l’évaluation des impacts historiques et contemporains sur la variabilité génétique. Les performances de la méthode sont présentées pour plusieurs scénarios de simulations, d’une complexité croissante. Malgré un impact de la différentiation globale, du nombre d’individus ou du nombre de loci échantillonné, la méthode apparaît hautement efficace. Afin d’illustrer le potentiel de la méthode, deux jeux de données empiriques très contrastés, publiés précédemment, ont été ré analysés. Cette thèse a démontré les impacts de la dispersion historique sur la variabilité génétique à différentes échelles spatiales. Les effets historiques potentiels doivent être pris en considération avant d’évaluer les impacts des processus écologiques sur la variabilité génétique. Bref, il faut intégrer l’évolution à l’écologie.
Resumo:
Les chartes de l'ancien couvent de Romainmôtier constituent une source d'information essentielle pour l'histoire du Pays de Vaud aux Xe et XIe siècles. Toutefois, malgré leur importance, elles n'ont jamais fait l'objet d'une étude d'ensemble. Les historiens dépendent encore aujourd'hui de transcriptions partielles et fautives, imprimées au XIXe siècle. Afin de remédier à cette carence historiographique, Alexandre Pahud, qui a réuni l'ensemble des documents entre 888 et 1190, propose dans sa thèse de doctorat, soutenue à l'Université de Lausanne le 25 novembre 2008, une édition critique de tous ces textes, selon les principes de l'érudition moderne. Si les Archives cantonales vaudoises conservent la majeure partie de la documentation, d'autres institutions en Suisse et à l'étranger fournissent un apport substantiel concernant Romainmôtier avant le XIIIe siècle. Il s'agit en particulier des Archives de l'Etat de Fribourg, des Archives de l'Etat de Berne et de la Bibliothèque royale de Turin. En raison d'une importante dispersion des fonds, A. Pahud a entrepris de reconstituer le chartrier du couvent, tel qu'il devait exister à l'époque médiévale. Pour cela, il s'est basé sur les notes dorsales qui figurent au verso des parchemins, ainsi que sur les anciens inventaires. La méthode utilisée a permis de retrouver plusieurs chartes du début de l'an mil, sous la forme de copies intégrales, ainsi qu'une vingtaine de notices en allemand résumant des actes des Xe-XIIe siècles, tous ces textes étant demeurés inconnus des spécialistes. Ainsi, la thèse de A. Pahud démontre qu'il est possible d'apporter de nouveaux matériaux destinés à enrichir notre connaissance de cette période reculée et mal documentée au niveau local. En parallèle, l'auteur de la thèse a mené une expertise diplomatique des chartes de Romainmôtier, c'est-à-dire une étude de leurs caractéristiques matérielles et formelles. A l'examen, il apparaît que les moines ont davantage acquis de biens qu'ils n'en ont concédé à des tiers, symptôme d'un patrimoine en voie de formation. Les actes privés, qui relatent des transactions entre le monastère et ses voisins, représentent le 80% du corpus étudié. Ils sont rédigés tantôt au présent et à la première personne, tantôt au passé et à la troisième personne, lorsqu'ils ne mélangent pas les deux types de discours. Leur valeur juridique est assurée par une liste de témoins, à défaut de tout scellement. Dans la majorité des cas, un unique scribe établit son texte en une seule fois, après la cérémonie sanctionnant le transfert de propriété. Jusqu'en 1050, ce sont généralement des personnes extérieures à Romainmôtier qui instrumentent au profit du couvent; par la suite, les clunisiens reprennent à leur compte la confection des actes qui les concernent. Curieusement, on constate une disparition radicale de l'acte privé à Romainmôtier entre 1167 et 1198, phénomène qui tranche complètement sur la conjoncture régionale. Dans la dernière partie de sa thèse, A. Pahud présente une nouvelle histoire du couvent de Romainmôtier, qui aborde à la fois les questions politiques et les structures socioéconomiques. Durant le premier tiers du XIe siècle, les clunisiens de Romainmôtier bénéficient de la protection du dernier roi de Bourgogne, Rodolphe III (993-1032), qui fonde la puissance temporelle du monastère. A cette époque, l'institution est administrée directement par l'abbé de Cluny, Odilon, responsable de Romainmôtier à titre personnel. Cependant, la disparition de Rodolphe III, dont la succession est contestée, inaugure une période de grave insécurité dans nos régions. Ces troubles profitent avant tout aux seigneurs locaux, qui prennent appui sur un château pour imposer leur domination au détriment des pouvoirs ecclésiastiques. Au milieu du XIe siècle, les possessions de Romainmôtier, qui s'étendent de chaque côté du Jura, sont menacées par trois puissants lignages, les Grandson, les Salins et les Joux. Face à cette situation périlleuse, les religieux s'adressent tour à tour au pape, à l'empereur germanique, ainsi qu'aux comtes de Bourgogne, dépositaires d'une autorité publique en Franche-Comté. Mais bien souvent, les moines doivent transiger avec leurs adversaires, en passant avec eux des accords coûteux et fragiles. Cela n'empêche pas qu'une certaine coopération s'établisse à l'occasion avec le monde laïque, qui contribue par ses aumônes au développement économique du monastère. Romainmôtier tire ses principales ressources de l'agriculture, tant au Pays de Vaud qu'en Franche-Comté; le travail de la vigne est bien attesté sur La Côte, dès la fin du Xe siècle, tandis que l'élevage ne joue qu'un rôle secondaire; là où ils sont bien implantés, les moines parviennent à prendre le contrôle des moulins; à Salins (France), ils exploitent eux-mêmes le sel nécessaire à leurs besoins. L'ensemble de ces observations s'appuie sur des tableaux et des annexes, qui ajoutent à la critique interne des sources une dimension quantitative. Afin de divulguer les résultats obtenus, A. Pahud envisage de publier prochainement sa thèse dans les Mémoires et documents de la Société d'histoire de la Suisse romande.
Resumo:
In this paper we discuss the use of photonic crystal fibers (PCFs) as discrete devices for simultaneous wideband dispersion compensation and Raman amplification. The performance of the PCFs in terms of gain, ripple, optical signal-to-noise ratio (OSNR) and required fiber length for complete dispersion compensation is compared with conventional dispersion compensating fibers (DCFs). The main goal is to determine the minimum PCF loss beyond which its performance surpasses a state-of-the-art DCF and justifies practical use in telecommunication systems. (C) 2009 Optical Society of America
Resumo:
Background: Leifsonia xyli is a xylem-inhabiting bacterial species comprised of two subspecies: L. xyli subsp. xyli (Lxx) and L. xyli subsp. cynodontis (Lxc). Lxx is the causal agent of ratoon stunting disease in sugarcane commercial fields and Lxc colonizes the xylem of several grasses causing either mild or no symptoms of disease. The completely sequenced genome of Lxx provided insights into its biology and pathogenicity. Since IS elements are largely reported as an important source of bacterial genome diversification and nothing is known about their role in chromosome architecture of L. xyli, a comparative analysis of Lxc and Lxx elements was performed. Results: Sample sequencing of Lxc genome and comparative analysis with Lxx complete DNA sequence revealed a variable number of IS transposable elements acting upon genomic diversity. A detailed characterization of Lxc IS elements and a comparative review with IS elements of Lxx are presented. Each genome showed a unique set of elements although related to same IS families when considering features such as similarity among transposases, inverted and direct repeats, and element size. Most of the Lxc and Lxx IS families assigned were reported to maintain transposition at low levels using translation regulatory mechanisms, consistent with our in silico analysis. Some of the IS elements were found associated with rearrangements and specific regions of each genome. Differences were also found in the effect of IS elements upon insertion, although none of the elements were preferentially associated with gene disruption. A survey of transposases among genomes of Actinobacteria showed no correlation between phylogenetic relatedness and distribution of IS families. By using Southern hybridization, we suggested that diversification of Lxc isolates is also mediated by insertion sequences in probably recent events. Conclusion: Collectively our data indicate that transposable elements are involved in genome diversification of Lxc and Lxx. The IS elements were probably acquired after the divergence of the two subspecies and are associated with genome organization and gene contents. In addition to enhancing understanding of IS element dynamics in general, these data will contribute to our ongoing comparative analyses aimed at understanding the biological differences of the Lxc and Lxx.
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Background: Discussion surrounding the settlement of the New World has recently gained momentum with advances in molecular biology, archaeology and bioanthropology. Recent evidence from these diverse fields is found to support different colonization scenarios. The currently available genetic evidence suggests a ""single migration'' model, in which both early and later Native American groups derive from one expansion event into the continent. In contrast, the pronounced anatomical differences between early and late Native American populations have led others to propose more complex scenarios, involving separate colonization events of the New World and a distinct origin for these groups. Methodology/Principal Findings: Using large samples of Early American crania, we: 1) calculated the rate of morphological differentiation between Early and Late American samples under three different time divergence assumptions, and compared our findings to the predicted morphological differentiation under neutral conditions in each case; and 2) further tested three dispersal scenarios for the colonization of the New World by comparing the morphological distances among early and late Amerindians, East Asians, Australo-Melanesians and early modern humans from Asia to geographical distances associated with each dispersion model. Results indicate that the assumption of a last shared common ancestor outside the continent better explains the observed morphological differences between early and late American groups. This result is corroborated by our finding that a model comprising two Asian waves of migration coming through Bering into the Americas fits the cranial anatomical evidence best, especially when the effects of diversifying selection to climate are taken into account. Conclusions: We conclude that the morphological diversity documented through time in the New World is best accounted for by a model postulating two waves of human expansion into the continent originating in East Asia and entering through Beringia.
Resumo:
Electron paramagnetic resonance measurements of NiCl(2)-4SC(NH(2))(2) reveal the low-energy spin dispersion, including a magnetic-field interval in which the two-magnon continuum is within k(B)T of the ground state, allowing a continuum of excitations over a range of k states, rather than only the k=0 single-magnon excitations. This produces a novel Y shape in the frequency-field EPR spectrum measured at T >= 1.5 K. Since the interchain coupling J(perpendicular to)< k(B)T, this shape can be reproduced by a single S=1 antiferromagnetic Heisenberg chain with a strong easy-plane single-ion anisotropy. Importantly, the combination of experiment and modeling we report herein demonstrates a powerful approach to probing spin dispersion in a wide range of interacting magnetic systems without the stringent sample requirements and complications associated with inelastic scattering experiments.
Resumo:
The electron spin precession about an external magnetic field was studied by Faraday rotation on an inhomogeneous ensemble of singly charged, self-assembled (In,Ga)As/GaAs quantum dots. From the data the dependence of electron g-factor on optical transition energy was derived. A comparison with literature reports shows that the electron g-factors are quite similar for quantum dots with very different geometrical parameters, and their change with transition energy is almost identical. (C) 2011 American Institute of Physics. [doi:10.1063/1.3588413]
Resumo:
This paper presents a study of the stationary phenomenon of superheated or metastable liquid jets, flashing into a two-dimensional axisymmetric domain, while in the two-phase region. In general, the phenomenon starts off when a high-pressure, high-temperature liquid jet emerges from a small nozzle or orifice expanding into a low-pressure chamber, below its saturation pressure taken at the injection temperature. As the process evolves, crossing the saturation curve, one observes that the fluid remains in the liquid phase reaching a superheated condition. Then, the liquid undergoes an abrupt phase change by means of an oblique evaporation wave. Across this phase change the superheated liquid becomes a two-phase high-speed mixture in various directions, expanding to supersonic velocities. In order to reach the downstream pressure, the supersonic fluid continues to expand, crossing a complex bow shock wave. The balance equations that govern the phenomenon are mass conservation, momentum conservation, and energy conservation, plus an equation-of-state for the substance. A false-transient model is implemented using the shock capturing scheme: dispersion-controlled dissipative (DCD), which was used to calculate the flow conditions as the steady-state condition is reached. Numerical results with computational code DCD-2D vI have been analyzed. Copyright (C) 2009 John Wiley & Sons, Ltd.
Resumo:
Polymer-clay nanocomposites are materials with many interesting structures, properties, and potential applications. Microstructural evaluation of a nanocomposite is not an easy task, as clay may form hierarchical structures which may look different when observed at various magnifications under a microscope, and also as the concepts of ""intercalation"" and ""exfoliation"" are not self-sufficient to describe its morphology. In this work polymer-clay nanocomposites of polystyrene and two styrene-containing block copolymers (styrene-butadiene-styrene and styrene-ethylene/butylene-styrene) were prepared using three different techniques. Clay dispersion was evaluated by a recently developed microscopy image analysis procedure, combining the analysis of optical and transmission electron micrographs, and the characterization was complemented by X-ray diffraction and rheological measurements. The results showed better clay dispersion for both block copolymers nanocomposites, mainly due to their molecular architectures. Moreover, the techniques which showed the best results involved mixing the materials in a solvent medium. POLYM. ENG. SCI., 50:257-267, 2010. (C) 2009 Society of Plastics Engineers
Resumo:
For specific blanket and divertor applications in future fusion power reactors a replacement of presently considered reduced activation ferritic martensitic (RAFM) steels as a structural material by suitable oxide dispersion strengthened ferritic martensitic steels would allow a substantial increase of the operating temperature from similar to 823 to about 923 K. Due to this reason the RAFM-alloy ODS-Eurofer has already been developed and produced with industrial partners. In the He-cooled modular divertor concept, where temperatures above 923 K will arise, an ODS-steel with a purely ferritic matrix is advantageous, because of missing phase transitions. Due to this reason, a special ferritic ODS-steel is being manufactured as well. In this work the microstructures of these two ODS-alloy types, analysed mainly by high resolution TEM are compared, with respect to different manufacturing processes. In addition first results of high resolution EBSD scans together with determined orientation maps of the RAFM steel ODS-Eurofer will also be presented. (C) 2008 Elsevier B.V. All rights reserved.
Resumo:
Magnetic energy losses and permeability have been investigated in laboratory prepared and commercial Mn-Zn sintered ferrites from quasi-static conditions up to 10 MHz. The mechanisms leading to energy dissipation, either due to domain wall displacements or magnetization rotations, have been quantitatively assessed and their respective roles have been clarified. Domain wall processes dissipate energy by pure relaxation effects, while rotations display resonant absorption of energy over a broad range of frequencies. Their specific contributions to the permeability and its frequency dispersion are thus identified and separately evaluated. It is shown that eddy currents are always too weak to appreciably contribute to the losses over the whole investigated frequency range and that rotations are the dominant magnetization and loss producing mechanisms on approaching the MHz range, as predicted by the Landau-Lifshitz-Gilbert equation with distributed anisotropy fields. (C) 2008 Elsevier B.V. All rights reserved.
Resumo:
Higher order (2,4) FDTD schemes used for numerical solutions of Maxwell`s equations are focused on diminishing the truncation errors caused by the Taylor series expansion of the spatial derivatives. These schemes use a larger computational stencil, which generally makes use of the two constant coefficients, C-1 and C-2, for the four-point central-difference operators. In this paper we propose a novel way to diminish these truncation errors, in order to obtain more accurate numerical solutions of Maxwell`s equations. For such purpose, we present a method to individually optimize the pair of coefficients, C-1 and C-2, based on any desired grid size resolution and size of time step. Particularly, we are interested in using coarser grid discretizations to be able to simulate electrically large domains. The results of our optimization algorithm show a significant reduction in dispersion error and numerical anisotropy for all modeled grid size resolutions. Numerical simulations of free-space propagation verifies the very promising theoretical results. The model is also shown to perform well in more complex, realistic scenarios.
Resumo:
Numerical experiments using a finite difference method were carried out to determine the motion of axisymmetric Taylor vortices for narrow-gap Taylor vortex flow. When a pressure gradient is imposed on the flow the vortices are observed to move with an axial speed of 1.16 +/- 0.005 times the mean axial flow velocity. The method of Brenner was used to calculate the long-time axial spread of material in the flow. For flows where there is no pressure gradient, the axial dispersion scales with the square root of the molecular diffusion, in agreement with the results of Rosen-bluth et al. for high Peclet number dispersion in spatially periodic flows with a roll structure. When a pressure gradient is imposed the dispersion increases by an amount approximately equal to 6.5 x 10(-4) (W) over bar(2)d(2)/D-m, where (W) over bar is the average axial velocity in the annulus, analogous to Taylor dispersion for laminar flow in an empty tube.
Resumo:
The conventional convection-dispersion (also called axial dispersion) model is widely used to interrelate hepatic availability (F) and clearance (Cl) with the morphology and physiology of the liver and to predict effects such as changes in liver blood flow on F and Cl. An extended form of the convection-dispersion model has been developed to adequately describe the outflow concentration-time profiles for vascular markers at both short and long times after bolus injections into perfused livers. The model, based on flux concentration and a convolution of catheters and large vessels, assumes that solute elimination in hepatocytes follows either fast distribution into or radial diffusion in hepatocytes. The model includes a secondary vascular compartment, postulated to be interconnecting sinusoids. Analysis of the mean hepatic transit time (MTT) and normalized variance (CV2) of solutes with extraction showed that the discrepancy between the predictions of MTT and CV2 for the extended and conventional models are essentially identical irrespective of the magnitude of rate constants representing permeability, volume, and clearance parameters, providing that there is significant hepatic extraction. In conclusion, the application of a newly developed extended convection-dispersion model has shown that the unweighted conventional convection-dispersion model can be used to describe the disposition of extracted solutes and, in particular, to estimate hepatic availability and clearance in booth experimental and clinical situations.
Resumo:
The convection-dispersion model and its extended form have been used to describe solute disposition in organs and to predict hepatic availabilities. A range of empirical transit-time density functions has also been used for a similar purpose. The use of the dispersion model with mixed boundary conditions and transit-time density functions has been queried recently by Hisaka and Sugiyanaa in this journal. We suggest that, consistent with soil science and chemical engineering literature, the mixed boundary conditions are appropriate providing concentrations are defined in terms of flux to ensure continuity at the boundaries and mass balance. It is suggested that the use of the inverse Gaussian or other functions as empirical transit-time densities is independent of any boundary condition consideration. The mixed boundary condition solutions of the convection-dispersion model are the easiest to use when linear kinetics applies. In contrast, the closed conditions are easier to apply in a numerical analysis of nonlinear disposition of solutes in organs. We therefore argue that the use of hepatic elimination models should be based on pragmatic considerations, giving emphasis to using the simplest or easiest solution that will give a sufficiently accurate prediction of hepatic pharmacokinetics for a particular application. (C) 2000 Wiley-Liss Inc. and the American Pharmaceutical Association J Pharm Sci 89:1579-1586, 2000.