221,018 research outputs found

    Pain: metaphor, body, and culture in Anglo-American societies between the eighteenth and twentieth centuries

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    This article explores the relationship between metaphorical languages, body, and culture, and suggests that such an analysis can reveal a great deal about the meaning and experience of pain in Anglo-American societies between the eighteenth and twentieth centuries. It uses concepts within embodied cognition to speculate on how historians can write a history of sensation. Bodies are actively engaged in the linguistic processes and social interactions that constitute painful sensations. Language is engaged in a dialogue with physiological bodies and social environments. And culture collaborates in the creation of physiological bodies and metaphorical systems

    Pelagic fisheries resources of India-Winter School on Towards Ecosystem Based Management of Marine Fisheries – Building Mass Balance Trophic and Simulation Models

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    The marine fish production in India has progressively risen to the tune of 2.7 million t in 2000 due to the introduction of larger mechanized boats, motorisation of the country crafts, modernization in harvesting sector coupled with extension of fishing to deeper grounds since the late 1950s. The average annual marine fish production of India for the period 1985 to 2003 was 2.5 million t of which the pelagics contributed 1.4 million t accounting for 51% against a potential yield of 1.92 million t of this group from the Indian EEZ During the last decade pelagic resources contributed 46-56% (avg. 51%) of the total marine fish production. Almost 70% of the production was obtained from within the 50 m depth zone. As per the revalidation, annual potential yield from the EEZ of India is 3.9 million t, out of which 2.21 million t are from within the 50 m depth zone and 1.69 million t from beyond it (Anon, 1991). The current yield from 0-50m depth zone is at the optimum level, and hence does not offer any scope for increasing the yield and in fact this zone requires regulatory management for sustaining the yield. Therefore, the region beyond 50 m depth has to be the focus of expansion

    Cosmological Results from High-z Supernovae

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    The High-z Supernova Search Team has discovered and observed 8 new supernovae in the redshift interval z=0.3-1.2. These independent observations, confirm the result of Riess et al. (1998a) and Perlmutter et al. (1999) that supernova luminosity distances imply an accelerating universe. More importantly, they extend the redshift range of consistently observed SN Ia to z~1, where the signature of cosmological effects has the opposite sign of some plausible systematic effects. Consequently, these measurements not only provide another quantitative confirmation of the importance of dark energy, but also constitute a powerful qualitative test for the cosmological origin of cosmic acceleration. We find a rate for SN Ia of 1.4+/-0.5E-04 h^3/Mpc^3/yr at a mean redshift of 0.5. We present distances and host extinctions for 230 SN Ia. These place the following constraints on cosmological quantities: if the equation of state parameter of the dark energy is w=-1, then H0 t0 = 0.96+/-0.04, and O_l - 1.4 O_m = 0.35+/-0.14. Including the constraint of a flat Universe, we find O_m = 0.28+/-0.05, independent of any large-scale structure measurements. Adopting a prior based on the 2dF redshift survey constraint on O_m and assuming a flat universe, we find that the equation of state parameter of the dark energy lies in the range -1.48-1, we obtain w<-0.73 at 95% confidence. These constraints are similar in precision and in value to recent results reported using the WMAP satellite, also in combination with the 2dF redshift survey.Comment: 50 pages, AAS LateX, 15 figures, 15 tables. Accepted for publication by Astrophysical Journa

    Trajectory and Policy Aware Sender Anonymity in Location Based Services

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    We consider Location-based Service (LBS) settings, where a LBS provider logs the requests sent by mobile device users over a period of time and later wants to publish/share these logs. Log sharing can be extremely valuable for advertising, data mining research and network management, but it poses a serious threat to the privacy of LBS users. Sender anonymity solutions prevent a malicious attacker from inferring the interests of LBS users by associating them with their service requests after gaining access to the anonymized logs. With the fast-increasing adoption of smartphones and the concern that historic user trajectories are becoming more accessible, it becomes necessary for any sender anonymity solution to protect against attackers that are trajectory-aware (i.e. have access to historic user trajectories) as well as policy-aware (i.e they know the log anonymization policy). We call such attackers TP-aware. This paper introduces a first privacy guarantee against TP-aware attackers, called TP-aware sender k-anonymity. It turns out that there are many possible TP-aware anonymizations for the same LBS log, each with a different utility to the consumer of the anonymized log. The problem of finding the optimal TP-aware anonymization is investigated. We show that trajectory-awareness renders the problem computationally harder than the trajectory-unaware variants found in the literature (NP-complete in the size of the log, versus PTIME). We describe a PTIME l-approximation algorithm for trajectories of length l and empirically show that it scales to large LBS logs (up to 2 million users)

    Wanted Dead or Alive? The Relative Value of Reef Sharks as a Fishery and an Ecotourism Asset in Palau

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    Over the last 20 years, ecotourism to view and interact with marine megafauna has become increasingly popular (Higham and Lück 2008). Examples of this type of tourism include turtle and whale watching, snorkelling with seals and shark diving (Jacobson and Robles 1992; Anderson and Ahmed 1993; Orams 2002; Kirkwood et al. 2003; Dearden et al. 2008; Dicken and Hosking 2009). The occurrence of many aggregations of megafauna along the coasts of regional areas remote from centres of population means that such tourism also provides significant flow-on effects and diversification to local economies where few alternative sources of income exist (Milne 1990; Garrod and Wilson 2004). Importantly, the development of a well-managed ecotourism industry based on megafauna provides the opportunity for local people to utilise natural resources in a sustainable manner over the long-term (Mau 2008). The economic value of tourism based on marine megafauna is enormous. In 2008, a study of whale watching estimated that this form of tourism was available in 119 countries, involved approximately 13 million participants and generated an income to operators and supporting businesses (hotels, restaurants and souvenirs) of over US2.1billion(OConnoretal.2009).ThisindustryisestimatedtohavethepotentialtogenerateannualrevenuesofoverUS2.1 billion (O'Connor et al. 2009). This industry is estimated to have the potential to generate annual revenues of over US2.5 billion (Cisneros-Montemayor et al. 2010). The development of whale watching has been paralleled by growth in tourism based on other types of marine megafauna. In particular, tourism to observe sharks and rays has become increasingly common. At the forefront of this relatively new market are industries that focus on whale sharks (Rhincodon typus) with estimates calculated in 2004 suggesting that these generated more than US$47.5 million worldwide, providing important revenues to developing countries such as Ecuador, Thailand and Mozambique (Graham 2004). Diving with other species of sharks has followed a similar trend of growing popularity. In 2005, it was estimated that approximately 500,000 divers were engaged in shark-diving activities worldwide (Topelko and Dearden 2005). An increasing range of opportunities for this type of tourism are available, including cage diving, shark feeding and drift diving with reef and oceanic sharks. Shark-diving tourism can be found in more than 40 countries (Carwardine and Watterson 2002), with new destinations and target species being established rapidly, due to the increasing recognition of the economic potential of this activity (Dicken and Hosking 2009; De la Cruz Modino et al. 2010)

    Aspects of precommercial thinning in heterogeneous forests in southern Sweden

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    The overall objective of the work underlying this thesis was to suggest and evaluate possible strategies for the tending of young heterogeneous stands of Norway spruce, Scots pine and birch in southern Sweden. Heterogeneity was defined as variation in species composition, height distribution and spatial arrangement of the trees. The influence of stand density after precommercial thinning and timing of thinning on the diameter of the thickest branch was studied for naturally regenerated Scots pine. The branch diameter was found to decrease with increasing number of remaining stems after precommercial thinning. However, leaving very dense stands (> 3000 stems ha-1) resulted only in a minor reduction of the branch diameter. Late precommercial thinning, compared to early, reduced the branch diameter. The influence of the precommercial thinning regime on the crown ratio (living crown length/tree height) was also analysed. To be able to simulate the influence of different management options on the development of the young forest, single-tree growth models was developed for Scots pine, Norway spruce and birch. Height growth and diameter was estimated as a function of tree height, stand and site variables. Growth reduction due to competition was estimated using individual, distance independent indices as well as expressions of the overall stand density. In the third study the influence of stand structure after precommercial thinning on the development of mixtures between Norway spruce and silver birch was simulated. The aim was to identify mixtures that allowed both species to develop well until the first commercial thinning. By leaving birches with an average height slightly greater than spruce at precommercial thinning, a large proportion of competitive birches were available at first commercial thinning, at the same time as the relative diameter distribution of spruce in the mixture was equal to that of a pure spruce stand of the same density. The height difference between the species as well as the species proportion had a decisive impact on volume production. In the fourth study different precommercial thinning strategies were identified and applied to a heterogeneous stand including Scots pine, Norway spruce and birch. Stand development and economical returns over a rotation was estimated using a set of empirical models. The aim of the long-term strategies was: (i) a conifer dominated stand with focus on high production, (ii) a conifer dominated stand with focus on high timber quality, (iii) to preserve the heterogeneous stand structure, (iv) a mosaic pattern by tree species, (v) to reduce the precommercial thinning cost, without jeopardizing the future stand development. The difference in total volume production was found to be relatively small between the strategies. The lowest production was found for the strategies promoting species mixture at tree level (iii) and group level (iv). The net present value was highest for the strategy aiming at high production (ii) and lowest for the strategy aiming at preserved heterogeneity (iii). The minimal precommercial thinning (v) was a less profitable alternative, mainly because of an expensive first commercial thinning. Differences in timber quality were not considered in the simulations. The case study illustrates the possibilities for influencing the structure of a heterogeneous stand through precommercial thinning, as well as the limitations imposed by the initial stand structure
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