1,830 research outputs found

    Short-Term Pain and Long-Term Gain: Using Phased-In Minimum Size Limits to Rebuild Stocks-the Pacific Bluefin Tuna Example

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    Like many stocks, the Pacific Bluefin Tuna Thunnus orientalis has been considerably depleted. High exploitation rates on very young fish have reduced the spawning stock biomass (SSB) to 2.6% of the unexploited level. We provide a framework for exploring potential benefits of minimum size regulations as a mechanism for rebuilding stocks, and we illustrate the approach using simulations patterned after Pacific Bluefin Tuna dynamics. We attempt to mitigate short-term losses in yield by considering a phased-in management strategy. With this approach, the minimum size limit (MSL) is gradually increased as biomass rebuilds, giving fishing communities time to adjust to new restrictions. We estimated short- and long-term effects of different MSLs on yield and biomass by using data from the 2016 assessment. A variety of scenarios was considered for growth compensation, discard mortality, and interest rates. The long-term value of the fishery was maximized by setting an MSL of 92 cm FL, which resulted in a 70% loss in yield during the first year (short-term pain). By implementing the MSL in two phases (64 cm FL in year 1; 92 cm FL in subsequent years), the long-term value of the fishery was maintained, and the short-term pain was reduced to a maximum 46% loss in yield during any 1 year. Under a three-phase implementation (55 cm FL in year 1; 77 cm FL in year 2; and 92 cm FL in subsequent years), the short-term pain was further reduced to a maximum loss of 30% during any 1 year. With no discard mortality, long-term yield increased by 165% and SSB increased 13-fold (to 33% of virgin SSB), regardless of the number of phases used. Long-term benefits were quickly diminished with increasing discard mortality. This simulation approach is widely applicable to cases where minimum size changes are contemplated; for Pacific Bluefin Tuna, our simulations demonstrate that size limits should be considered

    Colorants in Cheese Manufacture: Production, Chemistry, Interactions, and Regulation

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    Colored Cheddar cheeses are prepared by adding an aqueous annatto extract (norbixin) to cheese milk; however, a considerable proportion (∼20%) of such colorant is transferred to whey, which can limit the end use applications of whey products. Different geographical regions have adopted various strategies for handling whey derived from colored cheeses production. For example, in the United States, whey products are treated with oxidizing agents such as hydrogen peroxide and benzoyl peroxide to obtain white and colorless spray‐dried products; however, chemical bleaching of whey is prohibited in Europe and China. Fundamental studies have focused on understanding the interactions between colorants molecules and various components of cheese. In addition, the selective delivery of colorants to the cheese curd through approaches such as encapsulated norbixin and microcapsules of bixin or use of alternative colorants, including fat‐soluble/emulsified versions of annatto or beta‐carotene, has been studied. This review provides a critical analysis of pertinent scientific and patent literature pertaining to colorant delivery in cheese and various types of colorant products on the market for cheese manufacture, and also considers interactions between colorant molecules and cheese components; various strategies for elimination of color transfer to whey during cheese manufacture are also discussed

    Pavement Testing Facility -- Phase 1 Final Report

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    The Pavement Testing Facility (PTF) is a permanent, outdoor, full-scale pavement testing laboratory located at the Federal Highway Administration's (FHWA) Turner-Fairbank Highway Research Center in McLean, Virginia. The purpose of this facility is to quantify the performance of test pavements trafficked under accelerated loading. The facility consists of several instrumented test pavements and the Accelerated Loading Facility (ALF) testing machine. Formal operation of the facility began in October 1986. This report summarizes the work performed during the first phase of research, October 1986 to April 1989. The report includes a discussion of the construction and instrumentation of the PTF test pavements. It describes the operation of the ALF testing machine, and the data collection procedures used at the PTF. The report also summarizes the environmental, and pavement response and performance data collected during the first phase of research. Finally, an analysis of the accelerated pavement testing data was conducted to assess the strengths and weaknesses of accelerated testing with the ALF machine

    Does alcohol catch the eye? Investigating young adults’ attention to alcohol consumption

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    Many studies on young adults' motivations for drinking overlook the symbolic aspects of alcohol use. However, research indicates that young adults' alcohol consumption is also driven by signaling motivations. Although the interest of a receiver is a necessary prerequisite of a signal, no previous studies have verified whether drinking behavior indeed attracts young adults' attention. Therefore, we conducted two studies. A two-part eye-tracking study ( N1 = 135, N2 = 140) showed that both young men and young women pay special visual attention to male and female drinking behavior. Additionally, a recall experiment ( N = 321) confirmed that observed male and female drinking is better remembered than observed nonsignaling, functional behavior. Moreover, alcoholic beverages also receive special attention, as they were recalled better than other functional products, and also nonalcoholic drinks similar in color and shape. In summary, the experiments clearly showed that male and female drinking behavior can be used as a signal, as both behaviors clearly function as an attention-attracting cue. Additionally, as alcoholic beverages draw more attention than nonalcoholic drinks, this attention is clearly linked to the alcohol element of the drinking behavior

    Patterns in Greater Sage-grouse population dynamics correspond with public grazing records at broad scales

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    Human land use, such as livestock grazing, can have profound yet varied effects on wildlife interacting within common ecosystems, yet our understanding of land-use effects is often generalized from short-term, local studies that may not correspond with trends at broader scales. Here we used public land records to characterize livestock grazing across Wyoming, USA, and we used Greater Sage-grouse (Centrocercus urophasianus) as a model organism to evaluate responses to livestock management. With annual counts of male Sage-grouse from 743 leks (breeding display sites) during 2004-2014, we modeled population trends in response to grazing level (represented by a relative grazing index) and timing across a gradient in vegetation productivity as measured by the Normalized Vegetation Difference Index (NDVI). We found grazing can have both positive and negative effects on Sage-grouse populations depending on the timing and level of grazing. Sage-grouse populations responded positively to higher grazing levels after peak vegetation productivity, but populations declined when similar grazing levels occurred earlier, likely reflecting the sensitivity of cool-season grasses to grazing during peak growth periods. We also found support for the hypothesis that effects of grazing management vary with local vegetation productivity. These results illustrate the importance of broad-scale analyses by revealing patterns in Sage-grouse population trends that may not be inferred from studies at finer scales, and could inform sustainable grazing management in these ecosystems

    How do multi-stage, multi-arm trials compare to the traditional two-arm parallel group design – a reanalysis of 4 trials

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    <p>Abstract</p> <p>Background</p> <p>To speed up the evaluation of new therapies, the multi-arm, multi-stage trial design was suggested previously by the authors.</p> <p>Methods</p> <p>In this paper, we evaluate the performance of the two-stage, multi-arm design using four cancer trials conducted at the MRC CTU. The performance of the design at fictitious interim analyses is assessed using a conditional bootstrap approach.</p> <p>Results</p> <p>Two main aims are addressed: the error rate of correctly carrying on/stopping the trial at an interim analysis as well as quantifying the gains in terms of resources by employing this design. Furthermore, we make suggestions for the best timing of this interim analysis.</p> <p>Conclusion</p> <p>Multi-arm, multi-stage trials are an effective way of speeding up the therapy evaluation process. The design performs well in terms of the type I and II error rates.</p

    Persistence of low drug treatment coverage for injection drug users in large US metropolitan areas

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    <p>Abstract</p> <p>Objectives</p> <p>Injection drug users (IDUs) are at high risk for HIV, hepatitis, overdose and other harms. Greater drug treatment availability has been shown to reduce these harms among IDUs. Yet, little is known about changes in drug treatment availability for IDUs in the U.S. This paper investigates change in drug treatment coverage for IDUs in 90 metropolitan statistical areas (MSAs) during 1993-2002.</p> <p>Methods</p> <p>We define <it>treatment coverage </it>as the percent of IDUs who are in treatment. The number of IDUs in drug treatment is calculated from treatment entry data and treatment census data acquired from the Substance Abuse and Mental Health Service Administration, divided by our estimated number of IDUs in each MSA.</p> <p>Results</p> <p>Treatment coverage was low in 1993 (mean 6.7%; median 6.0%) and only increased to a mean of 8.3% and median of 8.0% coverage in 2002.</p> <p>Conclusions</p> <p>Although some MSAs experienced increases in treatment coverage over time, overall levels of coverage were low. The persistence of low drug treatment coverage for IDUs represents a failure by the U.S. health care system to prevent avoidable harms and unnecessary deaths in this population. Policy makers should expand drug treatment for IDUs to reduce blood-borne infections and community harms associated with untreated injection drug use.</p

    What works for irregular migrants in the Netherlands?</

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    This contribution provides an overview of the extent to which rehabilitation instruments and opportunities are accessible for irregular migrants who are serving a criminal sanction in the Netherlands. It shows that irregular migrants are largely excluded from criminal sanctions that have rehabilitation as a central aim and from rehabilitation opportunities that are provided during the implementation of criminal sanctions. These findings raise questions concerning the legal legitimacy of largely excluding irregular migrants from rehabilitation opportunities and the way in which irregular migrants prepare themselves for their return to society in practice
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