44 research outputs found

    Combined analysis of Hubble and VLT photometry of the intermediate mass black hole ESO 243-49 HLX-1

    Get PDF
    In this paper, we present a combined analysis of data obtained with the Hubble Space Telescope (HST), Very Large Telescope (VLT) and Swift X-ray telescope of the intermediate-mass black hole ESO 243−49 HLX-1 that were taken two months apart between 2010 September and November. Previous separate analyses of these data found that they were consistent with an irradiated accretion disc with contribution from either a very young or very old stellar population, and also indicated that the optical flux of the HLX-1 counterpart could be variable. Such variability could only be attributed to a varying accretion disc, so simultaneous analysis of all data sets should break the degeneracies in the model fits. We thus simultaneously fit the broad-band spectral energy distribution (SED) from near-infrared through to X-ray wavelengths of the two epochs of data with a model consisting of an irradiated accretion disc and a stellar population. We show that this combined analysis rules out an old stellar population, finding that the SED is dominated by emission from an accretion disc with moderate reprocessing in the outer disc around an intermediate-mass black hole imbedded in a young (∼20 Myr) stellar cluster with a mass of ∼105 M⊙. We also place an upper limit on the mass of an additional hidden old stellar population of ∼106 M⊙. However, optical r′-band observations of HLX-1 obtained with the Gemini-South telescope covering part of the decay from a later X-ray outburst are consistent with constant optical flux, indicating that the observed variability between the HST and VLT observations could be spurious caused by differences in the background subtraction applied to the two optical data sets.In this scenario, the contribution of the stellar population, and thus the stellar mass of the cluster, may be higher. Nonetheless, variability of <50 per cent cannot be ruled out by the Gemini data and thus they are still consistent within the errors with an exponential decay similar to that observed in X-rays

    Data S1: Dataset of Shigella

    Get PDF
    In social animals, group living may impact the risk of infectious disease acquisition in two ways. On the one hand, social connectedness puts individuals at greater risk or susceptibility for acquiring enteric pathogens via contact-mediated transmission. Yet conversely, in strongly bonded societies like humans and some nonhuman primates, having close connections and strong social ties of support can also socially buffer individuals against susceptibility or transmissibility of infectious agents. Using social network analyses, we assessed the potentially competing roles of contact-mediated transmission and social buffering on the risk of infection from an enteric bacterial pathogen (Shigella flexneri) among captive groups of rhesus macaques (Macaca mulatta). Our results indicate that, within two macaque groups, individuals possessing more direct and especially indirect connections in their grooming and huddling social networks were less susceptible to infection. These results are in sharp contrast to several previous studies that indicate that increased (direct) contact-mediated transmission facilitates infectious disease transmission, including our own findings in a third macaque group in which individuals central in their huddling network and/or which initiated more fights were more likely to be infected. In summary, our findings reveal that an individual’s social connections may increase or decrease its chances of acquiring infectious agents. They extend the applicability of the social buffering hypothesis, beyond just stress and immune-function-related health benefits, to the additional health outcome of infectious disease resistance. Finally, we speculate that the circumstances under which social buffering versus contact-mediated transmission may occur could depend on multiple factors, such as living condition, pathogen-specific transmission routes, and/or an overall social context such as a group’s social stability

    Research strategies for organizational history:a dialogue between historical theory and organization theory

    Get PDF
    If history matters for organization theory, then we need greater reflexivity regarding the epistemological problem of representing the past; otherwise, history might be seen as merely a repository of ready-made data. To facilitate this reflexivity, we set out three epistemological dualisms derived from historical theory to explain the relationship between history and organization theory: (1) in the dualism of explanation, historians are preoccupied with narrative construction, whereas organization theorists subordinate narrative to analysis; (2) in the dualism of evidence, historians use verifiable documentary sources, whereas organization theorists prefer constructed data; and (3) in the dualism of temporality, historians construct their own periodization, whereas organization theorists treat time as constant for chronology. These three dualisms underpin our explication of four alternative research strategies for organizational history: corporate history, consisting of a holistic, objectivist narrative of a corporate entity; analytically structured history, narrating theoretically conceptualized structures and events; serial history, using replicable techniques to analyze repeatable facts; and ethnographic history, reading documentary sources "against the grain." Ultimately, we argue that our epistemological dualisms will enable organization theorists to justify their theoretical stance in relation to a range of strategies in organizational history, including narratives constructed from documentary sources found in organizational archives. Copyright of the Academy of Management, all rights reserved

    Nutritional modulation of endogenous glucagon-like peptide-1 secretion: a review

    Full text link

    Performance Study of Phoenix System in Centralized Architecture

    No full text
    Issued as final reportThis item was temporarily removed from SMARTech at the request of the Georgia Tech Research Institute on May 8, 2009

    Technical report: investigation of Condition Based Maintenance (CBM) to reduce down time in the U.S. Air Force Satellite Control Network

    No full text
    Issued as final reportThis item was temporarily removed from SMARTech at the request of the Georgia Tech Research Institute on May 8, 2009

    Phytoplankton scales of variability in the California Current System: 2. Latitudinal variability

    Get PDF
    The California Current System encompasses a southward flowing current which is perturbed by ubiquitous mesoscale variability. The extent to which latitudinal patterns of physical variability are reflected in the distribution of biological parameters is poorly known. To investigate the latitudinal distribution of chlorophyll variance, a wavelet analysis is applied to nearly 9 years (October 1997 to July 2006) of 1-km-resolution Sea-viewing Wide Field-of-view Sensor (SeaWiFS) chlorophyll concentration data at 5-day resolution. Peaks in the latitudinal distribution of chlorophyll variance coincide with features of the coastal topography. Maxima in variance are located offshore of Vancouver Island and downstream of Heceta Bank, Cape Blanco, Point Arena, and possibly Point Conception. An analysis of dominant wavelengths in the chlorophyll data reveals a transfer of energy into smaller scales is generated in the vicinity of the coastal capes. The latitudinal distribution of variance in sea level anomaly corresponds closely to the chlorophyll variance in the nearshore region (&lt;100 km offshore), suggesting that the same processes determine the distribution of both. Farther offshore, there is no correspondence between latitudinal patterns of sea level anomaly and chlorophyll variance. This likely represents a transition from physical to biological control of the phytoplankton distribution. <br/
    corecore