6,410 research outputs found
The Analysis of Risk Causes of Building Failure Using Confirmatory Factor Analysis (CFA) Method of Building Condition Index Figures In Educational Buildings
This research aims to analyze the building condition index numbers. These risk factors cause building failure using the Confirmatory Factor Analysis (CFA) method, dominant factors of risk that cause building failure, and the strategies used to minimize the risk of building failure in state asset buildings in Jember Regency. The object of research was state buildings in 3 city sub-districts in Jember Regency. This research used risk variables and building condition assessments. Data analysis used Confirmatory Factor Analysis (CFA). The research results showed that the assessment of the building's condition contained serious deterioration or damage, but the function of the building was still sufficient. The results of Confirmatory Factor Analysis include force advancement, material and labor risks, management risks and maintenance risks
A frailty model for (interval) censored family survival data, applied to the age at onset of non-physical problems
Family survival data can be used to estimate the degree of genetic and environmental contributions to the age at onset of a disease or of a specific event in life. The data can be modeled with a correlated frailty model in which the frailty variable accounts for the degree of kinship within the family. The heritability (degree of heredity) of the age at a specific event in life (or the onset of a disease) is usually defined as the proportion of variance of the survival age that is associated with genetic effects. If the survival age is (interval) censored, heritability as usually defined cannot be estimated. Instead, it is defined as the proportion of variance of the frailty associated with genetic effects. In this paper we describe a correlated frailty model to estimate the heritability and the degree of environmental effects on the age at which individuals contact a social worker for the first time and to test whether there is a difference between the survival functions of this age for twins and non-twins. © 2009 The Author(s)
Vortex Core Structure and Dynamics in Layered Superconductors
We investigate the equilibrium and nonequilibrium properties of the core
region of vortices in layered superconductors. We discuss the electronic
structure of singly and doubly quantized vortices for both s-wave and d-wave
pairing symmetry. We consider the intermediate clean regime, where the
vortex-core bound states are broadened into resonances with a width comparable
to or larger than the quantized energy level spacing, and calculate the
response of a vortex core to an {\em a.c.} electromagnetic field for vortices
that are pinned to a metallic defect. We concentrate on the case where the
vortex motion is nonstationary and can be treated by linear response theory.
The response of the order parameter, impurity self energy, induced fields and
currents are obtained by a self-consistent calculation of the distribution
functions and the excitation spectrum. We then obtain the dynamical
conductivity, spatially resolved in the region of the core, for external
frequencies in the range, 0.1\Delta < \hbar\omega \lsim 3\Delta. We also
calculate the dynamically induced charge distribution in the vicinity of the
core. This charge density is related to the nonequilibrium response of the
bound states and collective mode, and dominates the electromagnetic response of
the vortex core.Comment: Presented at the 2000 Workshop on ``Microscopic Structure and
Dynamics of Vortices in Unconventional Superconductors and Superfluids'',
held at the Max Planck Institute for the Physics of Complex Systems in
Dresden, Germany (28 pages with 15 figures). Alternate version with higher
resolution figures:
http://snowmass.phys.nwu.edu/~sauls/Eprints/Dresden2000.htm
The paleobiological record of photosynthesis
Fossil evidence of photosynthesis, documented in Precambrian sediments by microbially laminated stromatolites, cyanobacterial microscopic fossils, and carbon isotopic data consistent with the presence of Rubisco-mediated CO2-fixation, extends from the present to ~3,500 million years ago. Such data, however, do not resolve time of origin of O2-producing photoautotrophy from its anoxygenic, bacterial, evolutionary precursor. Though it is well established that Earth’s ecosystem has been based on autotrophy since its very early stages, the time of origin of oxygenic photosynthesis, more than 2,450 million years ago, has yet to be established
Considering the Case for Biodiversity Cycles: Reexamining the Evidence for Periodicity in the Fossil Record
Medvedev and Melott (2007) have suggested that periodicity in fossil
biodiversity may be induced by cosmic rays which vary as the Solar System
oscillates normal to the galactic disk. We re-examine the evidence for a 62
million year (Myr) periodicity in biodiversity throughout the Phanerozoic
history of animal life reported by Rohde & Mueller (2005), as well as related
questions of periodicity in origination and extinction. We find that the signal
is robust against variations in methods of analysis, and is based on
fluctuations in the Paleozoic and a substantial part of the Mesozoic.
Examination of origination and extinction is somewhat ambiguous, with results
depending upon procedure. Origination and extinction intensity as defined by RM
may be affected by an artifact at 27 Myr in the duration of stratigraphic
intervals. Nevertheless, when a procedure free of this artifact is implemented,
the 27 Myr periodicity appears in origination, suggesting that the artifact may
ultimately be based on a signal in the data. A 62 Myr feature appears in
extinction, when this same procedure is used. We conclude that evidence for a
periodicity at 62 Myr is robust, and evidence for periodicity at approximately
27 Myr is also present, albeit more ambiguous.Comment: Minor modifications to reflect final published versio
Between-centre differences and treatment effects in randomized controlled trials: A case study in traumatic brain injury
BACKGROUND: In Traumatic Brain Injury (TBI), large between-centre differences in outcome exist and many clinicians believe that such differences influence estimation of the treatment effect in randomized controlled trial (RCTs). The aim of this study was to assess the influence of between-centre differences in outcome on the estimated treatment effect in a large RCT in TBI. METHODS: We used data from the MRC CRASH trial on the efficacy of corticosteroid infusion in patients with TBI. We analyzed the effect of the treatment on 14 day mortality with fixed effect logistic regression. Next we used random effects logistic regression with a random intercept to estimate the treatment effect taking into account between-centre differences in outcome. Between-centre differences in outcome were expressed with a 95% range of odds ratios (OR) for centres compared to the average, based on the variance of the random effects (tau2). A random effects logistic regression model with random slopes was used to allow the treatment effect to vary by centre. The variation in treatment effect between the centres was expressed in a 95% range of the estimated treatment ORs. RESULTS: In 9978 patients from 237 centres, 14-day mortality was 19.5%. Mortality was higher in the treatment group (OR = 1.22, p = 0.00010). Using a random effects model showed large between-centre differences in outcome (95% range of centre effects: 0.27- 3.71), but did not substantially change the estimated treatment effect (OR = 1.24, p = 0.00003). There was limited, although statistically significant, between-centre variation in the treatment effect (OR = 1.22, 95% treatment OR range: 1.17-1.26). CONCLUSION: Large between-centre differences in outcome do not necessarily affect the estimated treatment effect in RCTs, in contrast to current beliefs in the clinical area of TBI
Evidence supporting the best clinical management of patients with multimorbidity and polypharmacy: a systematic guideline review and expert consensus
This is the author accepted manuscript. The final version is available from Wiley via the DOI in this record.The complexity and heterogeneity of patients with multimorbidity and polypharmacy renders traditional disease-oriented guidelines often inadequate and complicates clinical decision making. To address this challenge, guidelines have been developed on multimorbidity or polypharmacy. To systematically analyse their recommendations, we conducted a systematic guideline review using the Ariadne principles for managing multimorbidity as analytical framework. The information synthesis included a multistep consensus process involving 18 multidisciplinary experts from seven countries. We included eight guidelines (four each on multimorbidity and polypharmacy) and extracted about 250 recommendations. The guideline addressed (i) the identification of the target population (risk factors); (ii) the assessment of interacting conditions and treatments: medical history, clinical and psychosocial assessment including physiological status and frailty, reviews of medication and encounters with healthcare providers highlighting informational continuity; (iii) the need to incorporate patient preferences and goal setting: eliciting preferences and expectations, the process of shared decision making in relation to treatment options and the level of involvement of patients and carers; (iv) individualized management: guiding principles on optimization of treatment benefits over possible harms, treatment communication and the information content of medication/care plans; (v) monitoring and follow-up: strategies in care planning, self-management and medication-related aspects, communication with patients including safety instructions and adherence, coordination of care regarding referral and discharge management, medication appropriateness and safety concerns. The spectrum of clinical and self-management issues varied from guiding principles to specific recommendations and tools providing actionable support. The limited availability of reliable risk prediction models, feasible interventions of proven effectiveness and decision aids, and limited consensus on appropriate outcomes of care highlight major research deficits. An integrated approach to both multimorbidity and polypharmacy should be considered in future guidelines.Journal of Internal MedicineKarolinska Institutet Strategic Research Area in Epidemiology (SfoEpi
Shell structures in aluminum nanocontacts at elevated temperatures
Aluminum nanocontact conductance histograms are studied experimentally from room temperature up to near the bulk melting point. The dominant stable configurations for this metal show a very early crossover from shell structures at low wire diameters to ionic subshell structures at larger diameters. At these larger radii, the favorable structures are temperature-independent and consistent with those expected for ionic subshell (faceted) formations in face-centered cubic geometries. When approaching the bulk melting temperature, these local stability structures become less pronounced as shown by the vanishing conductance histogram peak structure
Coexistence of Magnetic Order and Two-dimensional Superconductivity at LaAlO/SrTiO Interfaces
A two dimensional electronic system with novel electronic properties forms at
the interface between the insulators LaAlO and SrTiO. Samples
fabricated until now have been found to be either magnetic or superconducting,
depending on growth conditions. We combine transport measurements with
high-resolution magnetic torque magnetometry and report here evidence of
magnetic ordering of the two-dimensional electron liquid at the interface. The
magnetic ordering exists from well below the superconducting transition to up
to 200 K, and is characterized by an in-plane magnetic moment. Our results
suggest that there is either phase separation or coexistence between magnetic
and superconducting states. The coexistence scenario would point to an
unconventional superconducting phase in the ground state.Comment: 10 pages, 4 figure
Functional diversity of marine ecosystems after the Late Permian mass extinction event
Article can be accessed from http://www.nature.com/ngeo/journal/v7/n3/full/ngeo2079.htmlThe Late Permian mass extinction event was the most severe such crisis of the past 500 million years and occurred during an episode of global warming. It is assumed to have had significant ecological impact, but its effects on marine ecosystem functioning are unknown and the patterns of marine recovery are debated. We analysed the fossil occurrences of all known Permian-Triassic benthic marine genera and assigned each to a functional group based on their inferred life habit. We show that despite the selective extinction of 62-74% of marine genera there was no significant loss of functional diversity at the global scale, and only one novel mode of life originated in the extinction aftermath. Early Triassic marine ecosystems were not as ecologically depauperate as widely assumed, which explains the absence of a Cambrian-style Triassic radiation in higher taxa. Functional diversity was, however, significantly reduced in particular regions and habitats, such as tropical reefs, and at these scales recovery varied spatially and temporally, probably driven by migration of surviving groups. Marine ecosystems did not return to their pre-extinction state, however, and radiation of previously subordinate groups such as motile, epifaunal grazers led to greater functional evenness by the Middle Triassic
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