1,476 research outputs found

    Assessing movements of three buoy line types using DSTmilli Loggers: Implications for entanglements of bottlenose dolphins in the crab pot fishery

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    A study was conducted in October 2006 in the Charleston, South Carolina area to test the movements of three different buoy line types to determine which produced a preferred profile that could reduce the risk of dolphin entanglement. Tests on diamond-braided nylon commonly used in the crab pot fishery were compared with stiffened line of Esterpro and calf types in both shallow and deep water environments using DSTmilli data loggers. Loggers were placed at intervals along the lines to record depth, and thus movements, over a 24 hour period. Three observers viewed video animations and charts created for each of the six trial days from the collected logger data and provided their opinions on the most desirable line type that fit set criteria. A quantitative analysis (ANCOVA) of the data was conducted taking into consideration daily tidal fluctuations and logger movements. Loggers tracking the tides had an r2 value approaching 1.00 and produced little movement other than with the tides. Conversely, r2 values approaching 0.00 were less affected by tidal movement and influenced by currents that cause more erratic movement. Results from this study showed that stiffened line, in particular the medium lay Esterpro type, produced the more desirable profiles that could reduce risk of dolphin entanglement. Combining the observer’s results with the ANCOVA results, Esterpro was chosen nearly 60% of the time as opposed to the nylon line which was only chosen 10% of the time. ANCOVA results showed that the stiffened lines performed better in both the shallow and deep water environments, while the nylon line only performed better during one trial in a deep water set, most probably due to the increased current velocities experienced that day. (58pp.)(PDF contains 68 pages

    The continent of murder: disability and the Nazi 'euthanasia' programme in the euthanasia debates of Britain and the United States, 1945-present

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    This thesis considers the impact that ideas about disability and disabled people have had on debates about euthanasia in Britain and the United States since the end of the Second World War. I demonstrate that the debate has long been characterized by a deeply paternalistic attitude, in which assumptions and stereotypes about disabled people are held to be of such truth and relevance that the idea of having disabled people contributing to the debate simply does not occur. To this end, the thesis looks at the debates through the prism of Disability Studies, and shows that the stereotypical and outdated ideas about disability and disabled people with which these debates abound are not simply down to a chance shared inclination amongst the participants exhaustively to discuss some aspects of the issue whilst not even acknowledging others, as might easily be assumed. Instead they are based upon the assumption that, when 'euthanasia' is debated, the impairment of the individual(s) concerned is the only relevant issue. Though pervasive and often unquestioned, these ideas are now being challenged by such people as disability theorists, campaigners, and academics in the new field of Disability Studies. I will discuss this in greater detail in my Introduction. The thesis begins with the Nuremberg Medical Trial of 1946-47, at which the perpetrators of Nazi medical crimes were prosecuted. These crimes included the 'euthanasia' programme. Despite being cruel, systematic and totally non-consensual, the programme was not treated properly as a crime, the judgment stating that a state was perfectly at liberty to subject classes of its citizens to euthanasia – in other words to subject them to non-consensual killing.. The thesis then explores the reactions of outsiders to the Nuremberg Medical Trial. This reveals that the judges' view of the programme was unchallenged by observers in the UK and US press, and by medical and legal commentators, who saw the Trial as solely concerned with the prosecution of Nazi perpetrators of human vivisection. Chapters Three, Four and Five continue to explore these themes of paternalism and moral inconsistency. This is done by looking at historians' perceptions of the Nazi 'euthanasia' programme (Chapter Three), cases of individual euthanasia and how they are dealt with in English and US law (Chapter Four), and the use of the Nazi analogy in bioethical debates on the subject (Chapter Five). I conclude that, though paternalism and dismissive attitudes are still problematic, things are beginning to change, thanks to such factors as greater civil rights, greater scope for participation in society as a whole, and new academic disciplines such as disability studies and disability history

    The password is praise: content of feedback affects categorization of feedback sources.

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    PublishedJournal ArticleIn three experimental studies, we investigated the effect of the content of group-directed feedback on categorization of the feedback source as an ingroup or an outgroup member. In all studies, feedback valence (criticism vs. praise) and the attributional content of feedback (attributing outcomes to internal properties of the group vs. external circumstances) were experimentally manipulated. The results demonstrated that anonymous (Study 1) and ambiguous (Studies 2 and 3) sources of feedback are more likely to be seen as (typical) ingroup members when they provide praise rather than criticism. In addition, in all studies there was a significant interaction between valence and the attributional content of feedback, such that sources of praise were more likely to be seen as ingroup members when they attributed the group's success to internal (rather than external) causes, while the opposite was observed for critics. These effects were mediated by perceived group image threat. Implications for research on group-based feedback and social categorization are discussed

    The structural properties of the multi-layer graphene/4H-SiC(000-1) system as determined by Surface X-ray Diffraction

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    We present a structural analysis of the multi-layer graphene-4HSiC(000-1}) system using Surface X-Ray Reflectivity. We show for the first time that graphene films grown on the C-terminated (000-1}) surface have a graphene-substrate bond length that is very short (0.162nm). The measured distance rules out a weak Van der Waals interaction to the substrate and instead indicates a strong bond between the first graphene layer and the bulk as predicted by ab-initio calculations. The measurements also indicate that multi-layer graphene grows in a near turbostratic mode on this surface. This result may explain the lack of a broken graphene symmetry inferred from conduction measurements on this system [C. Berger et al., Science 312, 1191 (2006)].Comment: 9 pages with 6 figure

    Fracture properties of La(Fe,Mn,Si)13 magnetocaloric materials

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    La(Fe,Mn,Si)13 alloys are a promising material family for magnetic refrigeration. Challenges associated with their structural integrity during device assembly and operation requires deep understanding of the mechanical properties. Here we developed a workflow to quantitatively study the fracture properties of La(Fe,Mn,Si)13 plates used in magnetic cooling devices. We employed microstructural characterisation, optical examination of defects, and four-point bending tests of samples with known defect sizes to evaluate their mechanical performance. We established the residual strength curve which directly links observed defects to mechanical strength. The estimated fracture toughness KC of hydrogenated La(Fe,Mn,Si)13 is approximately 4 MPa·m1/2 for the geometry employed. The established relationship between strength and crack length enables the prediction of mechanical performance through examination of defects via optical microscopy, therefore can be used industrially for directing plate selection to guarantee the mechanical stability of refrigeration devices

    Spatial and temporal analysis of bottlenose dolphin strandings in South Carolina, 1992-2005

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    This CD contains summary data of bottlenose dolphins stranded in South Carolina using a Geographical Information System (GIS) and contains two published manuscripts in .pdf files. The intent of this CD is to provide data on bottlenose dolphin strandings in South Carolina to marine mammal researchers and managers. This CD is an accumulation of 14 years of stranding data collected through the collaborations of the National Ocean Service, Center for Coastal Environmental Health and Biomolecular Research (CCEHBR), the South Carolina Department of Natural Resources, and numerous volunteers and veterinarians that comprised the South Carolina Marine Mammal Stranding Network. Spatial and temporal information can be visually represented on maps using GIS. For this CD, maps were created to show relationships of stranding densities with land use, human population density, human interaction with dolphins, high geographical regions of live strandings, and seasonal changes. Point maps were also created to show individual strandings within South Carolina. In summary, spatial analysis revealed higher densities of bottlenose dolphin strandings in Charleston and Beaufort Counties, which consist of urban land with agricultural input. This trend was positively correlated with higher human population levels in these coastal counties as compared with other coastal counties. However, spatial analysis revealed that certain areas within a county may have low human population levels but high stranding density, suggesting that the level of effort to respond to strandings is not necessarily positively correlated with the density of strandings in South Carolina. Temporal analysis revealed a significantly higher density of bottlenose dolphin strandings in the northern portion of the State in the fall, mostly due to an increase of neonate strandings. On a finer geographic scale, seasonal stranding densities may fluctuate depending on the region of interest. Charleston Harbor had the highest density of live bottlenose dolphin strandings compared to the rest of the State. This was due in large part to the number of live dolphin entanglements in the crab pot fishery, the largest source of fishery-related mortality for bottlenose dolphins in South Carolina (Burdett and McFee 2004). Spatial density calculations also revealed that Charleston and Beaufort accounted for the majority of dolphins that were involved with human activities.

    The cellular microscopy phenotype ontology

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    BACKGROUND: Phenotypic data derived from high content screening is currently annotated using free-text, thus preventing the integration of independent datasets, including those generated in different biological domains, such as cell lines, mouse and human tissues. DESCRIPTION: We present the Cellular Microscopy Phenotype Ontology (CMPO), a species neutral ontology for describing phenotypic observations relating to the whole cell, cellular components, cellular processes and cell populations. CMPO is compatible with related ontology efforts, allowing for future cross-species integration of phenotypic data. CMPO was developed following a curator-driven approach where phenotype data were annotated by expert biologists following the Entity-Quality (EQ) pattern. These EQs were subsequently transformed into new CMPO terms following an established post composition process. CONCLUSION: CMPO is currently being utilized to annotate phenotypes associated with high content screening datasets stored in several image repositories including the Image Data Repository (IDR), MitoSys project database and the Cellular Phenotype Database to facilitate data browsing and discoverability

    Transcription factor Pebbled/RREB1 regulates injury-induced axon degeneration

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    Genetic studies of Wallerian degeneration have led to the identification of signaling molecules (e.g., dSarm/Sarm1, Axundead, and Highwire) that function locally in axons to drive degeneration. Here we identify a role for the Drosophila C2H2 zinc finger transcription factor Pebbled [Peb, Ras-responsive element binding protein 1 (RREB1) in mammals] in axon death. Loss of Peb in Drosophila glutamatergic sensory neurons results in either complete preservation of severed axons, or an axon death phenotype where axons fragment into large, continuous segments, rather than completely disintegrate. Peb is expressed in developing and mature sensory neurons, suggesting it is required to establish or maintain their competence to undergo axon death. peb mutant phenotypes can be rescued by human RREB1, and they exhibit dominant genetic interactions with dsarm mutants, linking peb/RREB1 to the axon death signaling cascade. Surprisingly, Peb is only able to fully block axon death signaling in glutamatergic, but not cholinergic sensory neurons, arguing for genetic diversity in axon death signaling programs in different neuronal subtypes. Our findings identify a transcription factor that regulates axon death signaling, and peb mutant phenotypes of partial fragmentation reveal a genetically accessible step in axon death signaling
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