1,515 research outputs found

    Examples and Comments Related to Relativity Controversies

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    Recently Mansuripur has called into question the validity of the Lorentz force in connection with relativistic electromagnetic theory. Here we present some very simple point-charge systems treated through order v^{2}/c^{2} in order to clarify some aspects of relativistic controversies both old and new. In connection with the examples, we confirm the validity of the relativistic conservation laws. The relativistic examples make clear that external forces may produce a vanishing torque in one inertial frame and yet produce a non-zero torque in another inertial frame, and that the conservation of angular momentum will hold in both frames. We also discuss a relativistic point-charge model for a magnetic moment and comment on the interaction of a point charge and a magnetic moment. Mansuripur's claims of incompatibiltiy between the Lorentz force and relativity are seen to be invalid.Comment: 23 page

    Scaling Symmetries of Scatterers of Classical Zero-Point Radiation

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    Classical radiation equilibrium (the blackbody problem) is investigated by the use of an analogy. Scaling symmetries are noted for systems of classical charged particles moving in circular orbits in central potentials V(r)=-k/r^n when the particles are held in uniform circular motion against radiative collapse by a circularly polarized incident plane wave. Only in the case of a Coulomb potential n=1 with fixed charge e is there a unique scale-invariant spectrum of radiation versus frequency (analogous to zero-point radiation) obtained from the stable scattering arrangement. These results suggest that non-electromagnetic potentials are not appropriate for discussions of classical radiation equilibrium.Comment: 13 page

    The Structure, Kinematics and Physical Properties of the Molecular Gas in the Starburst Nucleus of NGC 253

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    We present 5.2" x 2.6" resolution interferometry of CO J=1-0 emission from the starburst galaxy NGC 253. The high spatial resolution of these new data, in combination with recent high resolution maps of 13CO, HCN and near-infrared emission, allow us for the first time to link unambiguously the gas properties in the central starburst of NGC 253 with its bar dynamics. We confirm that the star formation results from bar-driven gas flows as seen in "twin peaks" galaxies. Two distinct kinematic features are evident from the CO map and position-velocity diagram: a group of clouds rotating as a solid body about the kinematic center of the galaxy, and a more extended gas component associated with the near-infrared bar. We model the line intensities of CO, HCN and 13CO to infer the physical conditions of the gas in the nucleus of NGC 253. The results indicate increased volume densities around the radio nucleus in a twin-peaks morphology. Compared with the CO kinematics, the gas densities appear highest near the radius of a likely inner Linblad resonance, and slightly lead the bar minor axis. This result is similar to observations of the face-on, twin-peaks galaxy NGC 6951, and is consistent with models of starburst generation due to gas inflow along a bar.Comment: To appear in the ApJ, 28 pages, 12 figure file

    On acoustic scattering by a shell-covered seafloor

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    Author Posting. © Acoustical Society of America, 2000. This article is posted here by permission of Acoustical Society of America for personal use, not for redistribution. The definitive version was published in Journal of the Acoustical Society of America 108 (2000): 551-555, doi:10.1121/1.429585.Acoustic scattering by the seafloor is sometimes influenced, if not dominated, by the presence of discrete volumetric objects such as shells. A series of measurements of target strength of a type of benthic shelled animal and associated scattering modeling have recently been completed (Stanton et al., "Acoustic scattering by benthic and planktonic shelled animals," J. Acoust. Soc. Am., this issue). The results of that study are used herein to estimate the scattering by the seafloor with a covering of shells at high acoustic frequencies. A simple formulation is derived that expresses the area scattering strength of the seafloor in terms of the average reduced target strength or material properties of the discrete scatterers and their packing factor (where the reduced target strength is the target strength normalized by the geometric cross section of the scatterers and the averaging is done over orientation and/or a narrow range of size or frequency). The formula shows that, to first order, the backscattering at high acoustic frequencies by a layer of shells (or other discrete bodies such as rocks) depends principally upon material properties of the objects and packing factor and is independent of size and acoustic frequency. Estimates of area scattering strength using this formula and measured values of the target strength of shelled bodies from Stanton et al. (this issue) are close to or consistent with observed area scattering strengths due to shell-covered seafloors published in other papers.This research was supported by the U.S. Office of Naval Research Grant No. N00014-95-1-0287

    Darwin-Lagrangian Analysis for the Interaction of a Point Charge and a Magnet: Considerations Related to the Controversy Regarding the Aharonov-Bohm and Aharonov-Casher Phase Shifts

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    The classical electromagnetic interaction of a point charge and a magnet is discussed by first calculating the interaction of point charge with a simple model magnetic moment and then suggesting a multiparticle limit. The Darwin Lagrangian is used to analyze the electromagnetic behavior of the model magnetic moment (composed of two oppositely charged particles of different mass in an initially circular orbit) interacting with a passing point charge. The changing mangetic moment is found to put a force back on a passing charge; this force is of order 1/c^2 and depends upon the magnitude of the magnetic moment. It is suggested that in the limit of a multiparticle magnetic toroid, the electric fields of the passing charge are screened out of the body of the magnet while the magnetic fields penetrate into the magnet. This is consistent with our understanding of the penetration of electromagnetic velocity fields into ohmic conductors. Conservation laws are discussed. The work corresponds to a classical electromagnetic analysis of the interaction which is basic to understanding the controversy over the Aharonov-Bohm and Aharonov-Casher phase shifts and represents a refutation of the suggestions of Aharonov, Pearle, and Vaidman.Comment: 33 page

    Investigation of the chemocatalytic and biocatalytic valorization of a range of different lignin preparations: The importance of β-O-4 content

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    A set of seven different lignin preparations was generated from a range of organosolv (acidic, alkaline, ammonia-treated, and dioxane-based), ionic liquid, autohydrolysis, and Kraft pretreatments of lignocelluloses. Each lignin was characterized by 2D HSQC NMR spectroscopy, showing significant variability in the β-O-4 content of the different lignin samples. Each lignin was then valorised using three biocatalytic methods (microbial biotransformation with Rhodococcus jostii RHA045, treatment with Pseudomonas fluorescens Dyp1B or Sphingobacterium sp. T2 manganese superoxide dismutase) and two chemocatalytic methods (catalytic hydrogenation using Pt/alumina catalyst, DDQ benzylic oxidation/Zn reduction). Highest product yields for DDQ/Zn valorization were observed from poplar ammonia percolation-organosolv lignin, which had the highest β-O-4 content of the investigated lignins and also gave the highest yield of syringaldehyde (243 mg L -1 ) when using R. jostii RHA045 and the most enzymatic products using P. fluorescens Dyp1B. The highest product yield from the Pt/alumina hydrogenation was observed using oak dioxasolv lignin, which also had a high β-O-4 content. In general, highest product yields for both chemocatalytic and biocatalytic valorization methods were obtained from preparations that showed highest β-O-4 content, while variable yields were obtained with preparations containing intermediate β-O-4 content, and little or no product was obtained with preparations containing low β-O-4 content

    Diffuse Gamma-Ray Emission from the Starburst Galaxy NGC 253

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    The starburst galaxy NGC 253 was observed with the Energetic Gamma Ray Experiment Telescope (EGRET) aboard the Compton Gamma Ray Observatory (CGRO) satellite. We obtain a 2 sigma upper limit to the gamma-ray emission above 100 MeV of 8 x 10(exp -8) photons/sq cm/s. Because of their large gas column densities and supernova rates, nearby starburst galaxies were predicted to have gamma-ray fluxes detectable by EGRET. Our nondetection of gamma-rays from NGC 253 motivates us to reexamine in detail the premise of supernova acceleration of cosmic rays and the effect of enhanced cloud densities, photon densities, and magnetic fields on the high-energy spectra of galaxies. By modeling the expected gamma-ray and synchrotron spectra from NGC 253, we find that up to 20% of the energy from supernovae is transferred to cosmic rays in the starburst, which is consistent with supernova acceleration models. Our calculations match the EGRET and radio data well with a supernova rate of 0.08/yr, a magnetic field B greater than or approximately equal to 5 x 10(exp -5) G, a density n approximately 300/cu cm, a photon density U(sub ph) approximately 200 eV/cu cm, and an escape timescale tau(sub o) less than or approximately equal to 10 Myr

    The effect of adding comorbidities to current centers for disease control and prevention central-line–associated bloodstream infection risk-adjustment methodology

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    BACKGROUNDRisk adjustment is needed to fairly compare central-line–associated bloodstream infection (CLABSI) rates between hospitals. Until 2017, the Centers for Disease Control and Prevention (CDC) methodology adjusted CLABSI rates only by type of intensive care unit (ICU). The 2017 CDC models also adjust for hospital size and medical school affiliation. We hypothesized that risk adjustment would be improved by including patient demographics and comorbidities from electronically available hospital discharge codes.METHODSUsing a cohort design across 22 hospitals, we analyzed data from ICU patients admitted between January 2012 and December 2013. Demographics and International Classification of Diseases, Ninth Edition, Clinical Modification (ICD-9-CM) discharge codes were obtained for each patient, and CLABSIs were identified by trained infection preventionists. Models adjusting only for ICU type and for ICU type plus patient case mix were built and compared using discrimination and standardized infection ratio (SIR). Hospitals were ranked by SIR for each model to examine and compare the changes in rank.RESULTSOverall, 85,849 ICU patients were analyzed and 162 (0.2%) developed CLABSI. The significant variables added to the ICU model were coagulopathy, paralysis, renal failure, malnutrition, and age. The C statistics were 0.55 (95% CI, 0.51–0.59) for the ICU-type model and 0.64 (95% CI, 0.60–0.69) for the ICU-type plus patient case-mix model. When the hospitals were ranked by adjusted SIRs, 10 hospitals (45%) changed rank when comorbidity was added to the ICU-type model.CONCLUSIONSOur risk-adjustment model for CLABSI using electronically available comorbidities demonstrated better discrimination than did the CDC model. The CDC should strongly consider comorbidity-based risk adjustment to more accurately compare CLABSI rates across hospitals.Infect Control Hosp Epidemiol 2017;38:1019–1024</jats:sec
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