1,037 research outputs found

    USING BOTH SOCIOLOGICAL AND ECONOMIC INCENTIVES TO REDUCE MORAL HAZARD

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    Economists tend to focus on monetary incentives. In the model developed here, both sociological and economic incentives are used to diminish the apparent moral hazard problem existing in commodity grading. Training that promotes graders' response to sociological incentives is shown to increase expected benefits. The model suggests that this training be increased up to the point where the marginal benefit due to training equals its marginal cost. It may be more economical to influence the grader's behavior by creating cognitive dissonance through training and rules rather than by using economic incentives alone.Marketing,

    Using Both Sociological and Economic Incentives to Reduce Moral Hazard

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    Economists tend to focus on monetary incentives. In the model developed here, both sociological and economic incentives are used to diminish the apparent moral hazard problem existing in commodity grading. Training that promotes graders' response to sociological incentives is shown to increase expected benefits. The model suggests this training be increased up to the point where the marginal benefit due to training equals its marginal cost. It may be more economical to influence the grader's behavior by creating cognitive dissonance through training and rules rather than by using economic incentives alone.grading, incentives, moral hazard, norms, social sanctions, Institutional and Behavioral Economics,

    Reacting plume inversion on urban geometries through gradient based design methodologies

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    An increased focus on domestic security in recent years has brought attention to several important application areas where computational fluid dynamics (CFD) has the ability to make a significant impact. In particular, disaster mitigation and post-event forensic activities are of interest. This work investigates a procedure built on gradient based design methods to allow for the solution of the so-called inverse chemistry problem in urban environments. The inverse chemistry problem consists of computing a release location based on the sensing of chemical byproducts of the release and the ability to compute an accurate flow field on the geometry of interest. In this study, Washington DC is simulated under conditions of a hazardous plume. A CFD solver is implemented which allows for the solution of the preconditioned finite-rate Navier-Stokes equations as well as the in situ computation of design gradients

    A hybrid method for flows in local chemical equilibrium and nonequilibrium

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    The primary objective of this work is to develop a more efficient chemically active compressible Euler equation solver. Currently, a choice between the physical accuracy of a finite-rate solver or the computational efficiency of an equilibrium flow solver must be made. The number of species modeled continues to increase with available computational resources. A method of further leveraging the increase in computational power is desired. The hybrid chemistry scheme proposed here attempts to maintain the accuracy of finite-rate schemes while retaining some of the cost savings associated with equilibrium chemistry solvers. The method given uses a full finite-rate flux in regions where chemistry is slow compared to the advection rate and an equilibrium chemistry scheme in regions where the chemistry outpaces the fluid transport. Control volume switching is based on a locally defined Damk ̈ohler number. This method could be extremely useful for full reaction path modeling or the tracking of a very large number of species. The cost of symmetric Gauss-Seidel iterations grows like the number of species plus four, quantity squared. Thus, eliminating the increased cost of solving for a large number of unknowns in regions where it is unjustified can be very useful. Tenasi, a University of Tennessee SimCenter research code, is used as a base for the new solver. The hybrid method is implemented and tested with an explicit solution technique in one dimension. In combination with a five species air chemistry model, a high-temperature shock tube is used as a verification test case. Results are compared with those from pure equilibrium, full finite-rate, perfect gas Euler, and exact perfect gas Riemann solvers. Timings are also given, suggesting the cost savings that would be possible should the hybrid method be extended using implicit algorithms

    Stress and Predation Impacts on North American Quail Translocations

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    Translocations have been used in attempts to bolster or restore native quail populations for \u3e150 years, often with little success. However, with some northeastern United States quail populations undetectable or extirpated, and others across the United States on the extreme decline, translocation as a tool for quail population restoration is becoming increasingly popular. Two factors contributing to translocation failure are physiological stress and predation. Chronic stress associated with translocations can result in weight loss, reduced immune system function, suppressed reproduction, and an altered fight-or-flight response. These stress-induced responses increase vulnerability to predation, the primary cause of quail mortality. Here, we review the relationship between quail translocations, stress, and predation, and recommend future research and best practices to mitigate the impacts of stress and predation on translocated quail. To improve future translocation outcomes, more research is needed on stress mitigation throughout the translocation process (capture, handling, transport, and release). While capture and handling are unavoidably stressful, there is greater potential to reduce stress levels during holding and transport. Recent validation of fecal corticosterone metabolites as a non-invasive method to quantify stress in quail offers a useful tool for testing stress reduction protocols. Preliminary experimental results regarding nutritional supplements and stress levels are inconclusive, but enrichment during temporary holding and access to travel rations may help improve survival in long-distance (\u3e800 km) translocations. We also recommend predator control at release sites, particularly for raccoons (Procyon lotor) and other mesomammals

    Predator telemetry informs temporal and spatial overlap with stocked salmonids in Lake Huron

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    Double-Crested Cormorants (Phalacrocorax auratus), Walleyes (Sander vitreus), and Lake Trout (Salvelinus namaycush) are migratory predators that undergo extensive movements in Lake Huron. Stocking of juvenile salmonid fish (Oncorhynchus and Salmo sp.) is an important component of fishery management in Lake Huron and assessing the spatial and temporal extent of predator movements is a useful consideration for determining when and where to stock juvenile fish to reduce predation and maximize survival. Previous investigation indicated that some Walleyes migrate to the main basin of Lake Huron in spring from Saginaw Bay. Similarly, telemetry studies of Lake Trout movement in Lake Huron have indicated an onshore movement in the spring. We used detection histories of Walleyes implanted with acoustic transmitters tagged in Saginaw Bay and Lake Trout implanted in northern Lake Huron to estimate the arrival date of migrating adults at eight ports in Lake Huron, where hatchery reared juvenile salmonids are stocked. Satellite telemetry of Cormorants that return to nesting grounds in northern Lake Huron were used to estimate their arrival dates at the same Lake Huron ports. Arrival of Walleye at Lake Huron ports ranged from April 10th to May 7th. Cormorants arrived earlier than Walleye at most Lake Huron ports (April 11th–April 18th). Lake Trout were more variable with a range of onshore movement from March 28th to May 16th. Our results suggested stocking efforts at these ports should generally occur before April 14th to decrease predatory impact from Cormorants, Walleyes, and Lake Trout

    Iatrogenic Spinal Cord Injury Resulting From Cervical Spine Surgery.

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    STUDY DESIGN: Retrospective cohort study of prospectively collected data. OBJECTIVE: To examine the incidence of iatrogenic spinal cord injury following elective cervical spine surgery. METHODS: A retrospective multicenter case series study involving 21 high-volume surgical centers from the AOSpine North America Clinical Research Network was conducted. Medical records for 17 625 patients who received cervical spine surgery (levels from C2 to C7) between January 1, 2005, and December 31, 2011, were reviewed to identify occurrence of iatrogenic spinal cord injury. RESULTS: In total, 3 cases of iatrogenic spinal cord injury following cervical spine surgery were identified. Institutional incidence rates ranged from 0.0% to 0.24%. Of the 3 patients with quadriplegia, one underwent anterior-only surgery with 2-level cervical corpectomy, one underwent anterior surgery with corpectomy in addition to posterior surgery, and one underwent posterior decompression and fusion surgery alone. One patient had complete neurologic recovery, one partially recovered, and one did not recover motor function. CONCLUSION: Iatrogenic spinal cord injury following cervical spine surgery is a rare and devastating adverse event. No standard protocol exists that can guarantee prevention of this complication, and there is a lack of consensus regarding evaluation and treatment when it does occur. Emergent imaging with magnetic resonance imaging or computed tomography myelography to evaluate for compressive etiology or malpositioned instrumentation and avoidance of hypotension should be performed in cases of intraoperative and postoperative spinal cord injury
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