14,663 research outputs found
Mechanism Choice
This chapter reviews the literature on the selection of regulatory policy instruments, from both normative and positive perspectives. It first reviews the mechanism design literature to identify normative objectives in selecting among the menu or toolbox of policy instruments. The chapter then discusses the public choice and positive political theory literatures and the variety of models developed to attempt to predict the actual selection of alternative policy instruments. It begins with simpler early models focusing on interest group politics and proceeds to more complicated models that incorporate both supply and demand for policy, the role of policy entrepreneurs, behavioral and cognitive choice, and public perceptions and mass politics. It compares these theories to empirical experience. The chapter examines literature in law, economics, political science, and related fields, and it draws examples from US, European, and international regulation. It concludes with suggestions for future research. Document is the author\u27s manuscrip
Mechanism Choice
Mechanism choice can generally be described as the selection of some way to structure rules for social behavior. Nobel Laureate Eric Maskin recently described a mechanism as “an institution, procedure, or game for determining outcomes” (Maskin 2008: 568). In the realm of public law, mechanism choice is synonymous with “instrument choice” or policy design. The selection of the policy instrument can be as important to success or failure as the intended policy outcome. Good intentions or objectives are not enough: the choice of tools matters. A large and growing literature in instrument choice and mechanism design examines both the normative criteria for correcting market failures, matching optimal instruments to different types of problems, minimizing costs, and overcoming incomplete information; and also the positive political factors that may influence the actual selection of instruments, and the pattern of such choices across issue areas, governance systems, and time. Public policy instruments are selected and designed by public bodies –legislatures, executive agencies, and courts – that are comprised of individuals with their own policy preferences, and that are subject to pressures from private interests through lobbying, campaign contributions, and elections. Thus, it is no surprise to the student of public law that the mechanisms actually selected to implement public policy are not necessarily the ones that best pursue the public interest. This chapter begins with a brief summary of normative mechanism choice, including the legal literature on instrument choice and the economics literature on mechanism design. It then moves to a more detailed discussion of positive mechanism choice, also called public choice, political economy, or positive politics. This positive literature explores how political institutions and pressures shape the selection of mechanisms to implement policy, notably when the selected instrument departs from the normative ideal. The positive study of mechanism choice not only informs how political processes shape policy outcomes, but also sheds useful insights into those processes themselves.
Reweighting of the form factors in exclusive B --> X ell nu decays
A form factor reweighting technique has been elaborated to permit relatively
easy comparisons between different form factor models applied to exclusive B
--> X l nu decays. The software tool developped for this purpose is described.
It can be used with any event generator, three of which were used in this work:
ISGW2, PHSP and FLATQ2, a new powerful generator. The software tool allows an
easy and reliable implementation of any form factor model. The tool has been
fully validated with the ISGW2 form factor hypothesis. The results of our
present studies indicate that the combined use of the FLATQ2 generator and the
form factor reweighting tool should play a very important role in future
exclusive |Vub| measurements, with largely reduced errors.Comment: accepted for publication by EPJ
Scaling Behaviour and Complexity of the Portevin-Le Chatelier Effect
The plastic deformation of dilute alloys is often accompanied by plastic
instabilities due to dynamic strain aging and dislocation interaction. The
repeated breakaway of dislocations from and their recapture by solute atoms
leads to stress serrations and localized strain in the strain controlled
tensile tests, known as the Portevin-Le Chatelier (PLC) effect. In this present
work, we analyse the stress time series data of the observed PLC effect in the
constant strain rate tensile tests on Al-2.5%Mg alloy for a wide range of
strain rates at room temperature. The scaling behaviour of the PLC effect was
studied using two complementary scaling analysis methods: the finite variance
scaling method and the diffusion entropy analysis. From these analyses we could
establish that in the entire span of strain rates, PLC effect showed Levy walk
property. Moreover, the multiscale entropy analysis is carried out on the
stress time series data observed during the PLC effect to quantify the
complexity of the distinct spatiotemporal dynamical regimes. It is shown that
for the static type C band, the entropy is very low for all the scales compared
to the hopping type B and the propagating type A bands. The results are
interpreted considering the time and length scales relevant to the effect.Comment: 35 pages, 6 figure
Linking working memory and long-term memory: A computational model of the learning of new words
The nonword repetition (NWR) test has been shown to be a good predictor of children’s vocabulary size. NWR performance has been explained using phonological working memory, which is seen as a critical component in the learning of new words. However, no detailed specification of the link between phonological working memory and long-term memory (LTM) has been proposed. In this paper, we present a computational model of children’s vocabulary acquisition (EPAM-VOC) that specifies how phonological working memory and LTM interact. The model learns phoneme sequences, which are stored in LTM and mediate how much information can be held in working memory. The model’s behaviour is compared with that of children in a new study of NWR, conducted in order to ensure the same nonword stimuli and methodology across ages. EPAM-VOC shows a pattern of results similar to that of children: performance is better for shorter nonwords and for wordlike nonwords, and performance improves with age. EPAM-VOC also simulates the superior performance for single consonant nonwords over clustered consonant nonwords found in previous NWR studies. EPAM-VOC provides a simple and elegant computational account of some of the key processes involved in the learning of new words: it specifies how phonological working memory and LTM interact; makes testable predictions; and suggests that developmental changes in NWR performance may reflect differences in the amount of information that has been encoded in LTM rather than developmental changes in working memory capacity.
Keywords: EPAM, working memory, long-term memory, nonword repetition, vocabulary acquisition, developmental change
First XMM-Newton Observations of the Globular Cluster M22
We have examined preliminary data of the globular cluster, M22, from the EPIC
MOS detectors on board XMM-Newton. We have detected 27 X-ray sources within the
centre of the field of view, 24 of which are new detections. Three sources were
found within the core of the cluster. From spectral analysis of the X-ray
sources, it is possible that the object at the centre of the core is a
quiescent X-ray transient and those lying further out are maybe cataclysmic
variables.Comment: 6 pages, 3 figures, accepted to be published in Astronomy and
Astrophysic
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Associated reading skills in children with a history of Specific Language Impairment (SLI)
A large cohort of 200 eleven-year-old children with Specific Language Impairment (SLI) were assessed on basic reading accuracy and on reading comprehension as well as language tasks. Reading skills were examined descriptively and in relation to early language and literacy factors. Using stepwise regression analyses in which age and nonverbal IQ were controlled for, it was found that a single word reading measure taken at 7 years was unsurprisingly a strong predictor of the two different types of reading ability. However, even with this measure included, a receptive syntax task (TROG) entered when reading accuracy score was the DV. Furthermore, a test of expressive syntax/narrative and a receptive syntax task completed at 7 years entered into the model for word reading accuracy. When early reading accuracy was excluded from the analyses, early phonological skills also entered as a predictor of both reading accuracy and comprehension at 11 years. The group of children with a history of SLI were then divided into those with no literacy difficulties at 11 and those with some persisting literacy impairment. Using stepwise logistic regression, and again controlling for IQ and age, 7 years receptive syntax score (but not tests of phonology, expressive vocabulary or expressive syntax/narrative) entered as a positive predictor of membership of the ‘no literacy problems’ group regardless of whether early reading accuracy was controlled for in step one. The findings are discussed in relation to the overlap of SLI and dyslexia and the long term sequelae of language impairment
Analysis of hadronic invariant mass spectrum in inclusive charmless semileptonic B decays
We make an analysis of the hadronic invariant mass spectrum in inclusive
charmless semileptonic B meson decays in a QCD-based approach. The decay width
is studied as a function of the invariant mass cut. We examine their
sensitivities to the parameters of the theory. The theoretical uncertainties in
the determination of from the hadronic invariant mass spectrum are
investigated. A strategy for improving the theoretical accuracy in the value of
is described.Comment: 13 pages, 5 Postscript figure
Design and Initial Performance of the Askaryan Radio Array Prototype EeV Neutrino Detector at the South Pole
We report on studies of the viability and sensitivity of the Askaryan Radio
Array (ARA), a new initiative to develop a Teraton-scale ultra-high energy
neutrino detector in deep, radio-transparent ice near Amundsen-Scott station at
the South Pole. An initial prototype ARA detector system was installed in
January 2011, and has been operating continuously since then. We report on
studies of the background radio noise levels, the radio clarity of the ice, and
the estimated sensitivity of the planned ARA array given these results, based
on the first five months of operation. Anthropogenic radio interference in the
vicinity of the South Pole currently leads to a few-percent loss of data, but
no overall effect on the background noise levels, which are dominated by the
thermal noise floor of the cold polar ice, and galactic noise at lower
frequencies. We have also successfully detected signals originating from a 2.5
km deep impulse generator at a distance of over 3 km from our prototype
detector, confirming prior estimates of kilometer-scale attenuation lengths for
cold polar ice. These are also the first such measurements for propagation over
such large slant distances in ice. Based on these data, ARA-37, the 200 km^2
array now under construction, will achieve the highest sensitivity of any
planned or existing neutrino detector in the 10^{16}-10^{19} eV energy range.Comment: 25 pages, 37 figures, this version with improved ice attenuation
length analysis; for submission to Astroparticle Physic
Independent evaluation of a simple clinical prediction rule to identify right ventricular dysfunction in patients with shortness of breath
BACKGROUND:
Many patients have unexplained persistent dyspnea after negative computed tomographic pulmonary angiography (CTPA). We hypothesized that many of these patients have isolated right ventricular (RV) dysfunction from treatable causes. We previously derived a clinical decision rule (CDR) for predicting RV dysfunction consisting of persistent dyspnea and normal CTPA, finding that 53% of CDR-positive patients had isolated RV dysfunction. Our goal is to validate this previously derived CDR by measuring the prevalence of RV dysfunction and outcomes in dyspneic emergency department patients.
METHODS:
A secondary analysis of a prospective observational multicenter study that enrolled patients presenting with suspected PE was performed. We included patients with persistent dyspnea, a nonsignificant CTPA, and formal echo performed. Right ventricular dysfunction was defined as RV hypokinesis and/or dilation with or without moderate to severe tricuspid regurgitation.
RESULTS:
A total of 7940 patients were enrolled. Two thousand six hundred sixteen patients were analyzed after excluding patients without persistent dyspnea and those with a significant finding on CTPA. One hundred ninety eight patients had echocardiography performed as standard care. Of those, 19% (95% confidence interval [CI], 14%-25%) and 33% (95% CI, 25%-42%) exhibited RV dysfunction and isolated RV dysfunction, respectively. Patients with isolated RV dysfunction or overload were more likely than those without RV dysfunction to have a return visit to the emergency department within 45 days for the same complaint (39% vs 18%; 95% CI of the difference, 4%-38%).
CONCLUSION:
This simple clinical prediction rule predicted a 33% prevalence of isolated RV dysfunction or overload. Patients with isolated RV dysfunction had higher recidivism rates and a trend toward worse outcomes
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