1,240 research outputs found

    Turbulent Flows and Pollution Dispersion around Tall Buildings Using Adaptive Large Eddy Simulation (LES)

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    The motivation for this work stems from the increased number of high-rise buildings/skyscrapers all over the world, and in London, UK, and hence the necessity to see their effect on the local environment. We concentrate on the mean velocities, Reynolds stresses, turbulent kinetic energies (TKEs) and tracer concentrations. We look at their variations with height at two main locations within the building area, and downstream the buildings. The pollution source is placed at the top of the central building, representing an emission from a Combined Heat and Power (CHP) plant. We see how a tall building may have a positive effect at the lower levels, but a negative one at the higher levels in terms of pollution levels. Mean velocities at the higher levels (over 60 m in real life) are reduced at both locations (within the building area and downstream it), whilst Reynolds stresses and TKEs increase. However, despite the observed enhanced turbulence at the higher levels, mean concentrations increase, indicating that the mean flow has a greater influence on the dispersion. At the lower levels (Z < 60 m), the presence of a tall building enhanced dispersion (hence lower concentrations) for many of the configurations

    Enhancing CFD-LES air pollution prediction accuracy using data assimilation

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    It is recognised worldwide that air pollution is the cause of premature deaths daily, thus necessitating the development of more reliable and accurate numerical tools. The present study implements a three dimensional Variational (3DVar) data assimilation (DA) approach to reduce the discrepancy between predicted pollution concentrations based on Computational Fluid Dynamics (CFD) with the ones measured in a wind tunnel experiment. The methodology is implemented on a wind tunnel test case which represents a localised neighbourhood environment. The improved accuracy of the CFD simulation using DA is discussed in terms of absolute error, mean squared error and scatter plots for the pollution concentration. It is shown that the difference between CFD results and wind tunnel data, computed by the mean squared error, can be reduced by up to three order of magnitudes when using DA. This reduction in error is preserved in the CFD results and its benefit can be seen through several time steps after re-running the CFD simulation. Subsequently an optimal sensors positioning is proposed. There is a trade-off between the accuracy and the number of sensors. It was found that the accuracy was improved when placing/considering the sensors which were near the pollution source or in regions where pollution concentrations were high. This demonstrated that only 14% of the wind tunnel data was needed, reducing the mean squared error by one order of magnitude

    Charge redistribution at Pd surfaces: ab initio grounds for tight-binding interatomic potentials

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    A simplified tight-binding description of the electronic structure is often necessary for complex studies of surfaces of transition metal compounds. This requires a self-consistent parametrization of the charge redistribution, which is not obvious for late transition series elements (such as Pd, Cu, Au), for which not only d but also s-p electrons have to be taken into account. We show here, with the help of an ab initio FP-LMTO approach, that for these elements the electronic charge is unchanged from bulk to the surface, not only per site but also per orbital. This implies different level shifts for each orbital in order to achieve this orbital neutrality rule. Our results invalidate any neutrality rule which would allow charge redistribution between orbitals to ensure a common rigid shift for all of them. Moreover, in the case of Pd, the power law which governs the variation of band energy with respect to coordination number, is found to differ significantly from the usual tight-binding square root.Comment: 6 pages, 2 figures, Latex; Phys.Rev. B 56 (1997

    Que valent les engagements des régimes de retraite envers les retraités en France ?

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    Using the "Echantillon Inter régimes des Retraités" (EIR) 2008 and 2012 panel data, we calculate retirees\u27 pension wealth (consumed and residual) at an aggregated level, and provide in-depth results by type of pension scheme and by managing organism. We put an emphasis on direct pensions already perceived by retirees and to be paid in the future, without taking into account current contributors\u27 future retirement. We find that the overall pension wealth is not very sensitive to the discount rate, but this result does not hold if we concentrate on the future pension wealth. From this point of view, it must be noted that some of the organisms have a high proportion of pension still to be paid. Moreover, whatever the type of pension wealth calculated, the results show a rapid increase from 2008 to 2012 (except for the basic scheme of farmers). Finally, spread indicators and Gini index of pension wealth are relatively higher than those found in the distribution of labor income by other studies. We find that there are more inequalities in the private sector than in the public, particularly in the private sector for complementary pension schemes

    Pension Wealth in France: An Assessment on Panel Data

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    This contribution proposes a measure of pension wealth in the French public PAYG schemes (first and second pillar schemes) and of its distribution among the population of retirees in 2008 using the Echantillon Inter rĂ©gimes de RetraitĂ©s (EIR) panel data. We show that aggregate pension wealth amounts to around 4765 billion Euros assuming a 2 percent discount rate. There are significant differences in the amount of individual’s pension wealth between the pension schemes of the private and public sector. Moreover, there is more inequality in the distribution of pension wealth among private sector retirees than public sectorones

    La réforme des retraites de 1993 : quel impact sur l&#039;équivalent patrimonial des droits à retraite ?

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    Depuis 1993, la France a enregistrĂ© plusieurs rĂ©formes de son systĂšme de retraites, visant avant tout Ă  en assurer la soutenabilitĂ©. Cette contribution a pour objectif d’évaluer l’impact de la rĂ©forme de 1993 sur l’équivalent patrimonial des droits individuels Ă  la retraite (EPDR), c\u27est-Ă -dire la somme actuarielle probable des pensions Ă  recevoir, de la date de liquidation des droits jusqu’au dĂ©cĂšs. Plus prĂ©cisĂ©ment, nous mesurons l’impact de cette rĂ©forme sur l’EPDR des mono-pensionnĂ©s du rĂ©gime gĂ©nĂ©ral, Ă  l’aide des donnĂ©es de l’Echantillon InterrĂ©gimes de RetraitĂ©s 2008. Parmi les mesures phares de la rĂ©forme de 1993 figure l’augmentation progressive de la durĂ©e de cotisation nĂ©cessaire pour obtenir une retraite Ă  taux plein au rĂ©gime gĂ©nĂ©ral. Cette augmentation est susceptible d’engendrer deux effets opposĂ©s : un effet de report de l’ñge de liquidation pour conserver un EPDR adĂ©quat pour ses vieux jours (voire l’augmenter) ou un effet de dĂ©cote, si l’assurĂ©-e ne souhaite, ou ne peut, pas prolonger son activitĂ© et subit donc une dĂ©cote sur sa pension, et partant sur son EPDR. Pour tester les effets nets de la rĂ©forme de 1993 sur l’EPDR, nous procĂ©dons Ă  des estimations Ă©conomĂ©triques en diffĂ©rences premiĂšres et en doubles diffĂ©rences, ainsi qu’à des estimations par quantiles pour mesurer les impacts le long de la distribution de l’EPDR. Nos estimations montrent des rĂ©sultats diffĂ©rents selon que les individus partent avant ou aprĂšs 2004, date d’entrĂ©e en vigueur de la rĂ©forme. Ainsi, toutes choses Ă©gales par ailleurs, un dĂ©part en retraite avant 2004 plutĂŽt que postĂ©rieurement, augmente l’EPDR des retraitĂ©s concernĂ©s. Toutefois, l’interaction avec les autres variables nuance cette conclusion. D’une part, reporter son dĂ©part en retraite rĂ©duit l’EPDR moyen d’environ 20% : le report permet d’accumuler des droits supplĂ©mentaires, mais sur une pĂ©riode rĂ©duite. D’autre part, l’effet de la dĂ©cote est nĂ©gatif, mais son intensitĂ© est rĂ©duite quand les retraitĂ©s reportent leur dĂ©part. En outre, comme les gĂ©nĂ©rations 1934-1943 ont subi conjointement les rĂ©formes de 1993 et 2003, nos estimations en double diffĂ©rence permettent d’isoler l’effet « pur » de la rĂ©forme de 1993 : lorsque les affiliĂ©s ont subi une dĂ©cote, sans avoir reportĂ© leur dĂ©part en retraite pour l’attĂ©nuer, la liquidation des droits aux conditions de 2003 par rapport aux conditions de 1993 est la plus dĂ©favorable. Enfin, les estimations par quantiles montrent que ces effets s’intensifient dans la premiĂšre moitiĂ© de la distribution, et s’attĂ©nuent au-delĂ 

    Expression of the Neuroblastoma-Associated ALK-F1174L Activating Mutation During Embryogenesis Impairs the Differentiation of Neural Crest Progenitors in Sympathetic Ganglia.

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    Neuroblastoma (NB) is an embryonal malignancy derived from the abnormal differentiation of the sympathetic nervous system. The Anaplastic Lymphoma Kinase (ALK) gene is frequently altered in NB, through copy number alterations and activating mutations, and represents a predisposition in NB-genesis when mutated. Our previously published data suggested that ALK activating mutations may impair the differentiation potential of neural crest (NC) progenitor cells. Here, we demonstrated that the expression of the endogenous ALK gene starts at E10.5 in the developing sympathetic ganglia (SG). To decipher the impact of deregulated ALK signaling during embryogenesis on the formation and differentiation of sympathetic neuroblasts, Sox10-Cre;LSL-ALK-F1174L embryos were produced to restrict the expression of the human ALK-F1174L transgene to migrating NC cells (NCCs). First, ALK-F1174L mediated an embryonic lethality at mid-gestation and an enlargement of SG with a disorganized architecture in Sox10-Cre;LSL-ALK-F1174L embryos at E10.5 and E11.5. Second, early sympathetic differentiation was severely impaired in Sox10-Cre;LSL-ALK-F1174L embryos. Indeed, their SG displayed a marked increase in the proportion of NCCs and a decrease of sympathetic neuroblasts at both embryonic stages. Third, neuronal and noradrenergic differentiations were blocked in Sox10-Cre;LSL-ALK-F1174L SG, as a reduced proportion of Phox2b &lt;sup&gt;+&lt;/sup&gt; sympathoblasts expressed ÎČIII-tubulin and almost none were Tyrosine Hydroxylase (TH) positive. Finally, at E10.5, ALK-F1174L mediated an important increase in the proliferation of Phox2b &lt;sup&gt;+&lt;/sup&gt; progenitors, affecting the transient cell cycle exit observed in normal SG at this embryonic stage. Altogether, we report for the first time that the expression of the human ALK-F1174L mutation in NCCs during embryonic development profoundly disturbs early sympathetic progenitor differentiation, in addition to increasing their proliferation, both mechanisms being potential crucial events in NB oncogenesis

    Long-term follow-up of pulmonary function in Fabry disease: A bi-center observational study.

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    Fabry disease (FD) is a lysosomal storage disorder leading to decreased α-galactosidase A enzyme activity and subsequent abnormal accumulation of glycosphingolipids in various organs. Although histological evidence of lung involvement has been demonstrated, the functional impact of these changes is less clear. Adult patients with FD who had yearly pulmonary function tests (PFT) at two centers from 1999 thru 2015 were eligible for this observational study. Primary outcome measures were the change in forced expiratory volume in the first second (FEV1) and FEV1/FVC over time. As secondary outcome we investigated sex, smoking, enzyme replacement therapy (ERT), residual enzyme activity, and Mainz Severity Score Index as possible predictors. 95 patients (41% male, 38.2 ± 14.5 years) were included. The overall prevalence of bronchial obstruction (BO, (FEV1/FVC &lt; 70%)) was 46%, with male sex, age and smoking as significant predictors. FEV1 decreased 29 ml per year (95% CI -36, -22 ml, p&lt;0.0001). FEV1 decline was significantly higher in males (p = 0.009) and in patients on ERT (p = 0.004). Conclusion: Pulmonary involvement seems to be a relevant manifestation of Fabry disease, and routine PFTs should therefore be included in the multidisciplinary follow-up of these patients

    Radiative and non-radiative local density of states on disordered plasmonic films

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    We present numerical calculations of the Local Density of Optical States (LDOS) in the near field of disordered plasmonic films. The calculations are based on an integral volume method, that takes into account polarization and retardation effects, and allows us to discriminate radiative and non-radiative contributions to the LDOS. At short distance, the LDOS is dominated by non-radiative channels, showing that changes in the spontaneous dynamics of dipole emitters are driven by non-radiative coupling to plasmon modes. Maps of radiative and non-radiative LDOS exhibit strong fluctuations, but with substantially different spatial distributions
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