3,080 research outputs found
The International Law of Environmental Warfare: Active and Passive Damage During Armed Conflict
One of the constant elements of warfare is its degrading effects on the environment. Many writers blame this destruction of the environment on inadequate standards in the international law of environmental warfare. To remedy this shortfall, the international law of environmental warfare should be categorized as either passive or active environmental warfare. Active environmental warfare requires the intentional use of the environment as a weapon of waging armed conflict. Passive environmental warfare includes acts not specifically designed to use the environment for a particular military purpose but that have a degrading effect on the environment. Passive environmental warfare violates international law only when it produces effects that are widespread, long-term, and severe. Active environmental warfare against the sustainable environment that is not de minimus violates international law per se and should not require environmental damage to reach the standard of widespread, long-lasting, and severe to be considered a violation of international law. A well-recognized differentiation between active and passive environmental warfare will help solidify the standards of state responsibility and provide increased protection for the environment
Reconsidering "the love of art" : evaluating the potential of art museum outreach
Art museums have long been identified as bastions of social and cultural exclusion. This conclusion was best evidenced by the large-scale 1967 French study by Bourdieu and Darbel demonstrating the exclusionary nature of āThe Love of Art.ā However, in recent years there have been increasing efforts to reach out to a broader range of visitors beyond conventional
audiences. The present study investigates the impacts of an outreach program at a UK art museum, which sought to engage socially excluded young mothers. This study employs ethnographic research methods on a longitudinal basis to develop qualitative insights about the program seeking to mitigate cultural exclusion. While the studyās findings uphold many longstanding critiques of art museumsā conventional approaches, the study also indicates that carefully designed outreach activities can overcome such limitations and enhance cultural
engagement. Thus, art museumsā limited appeal is tied to problematic public engagement practices that can be changed
A Statistical Look at Roger Clemensā Pitching Career
A recent report (Hendricks Sports Management, LP, et al, 2008) issued by Hendricks Sports Management, LP, claims to provide evidence for the lack of use of performance-enhancing substances (PESs) by Hall-of-Fame caliber pitcher Roger Clemens, a claim based on an analysis of his career statistics (using ERA = earned run average, K rate = strikeout rate, innings pitched), both in isolation and in comparison to other power pitchers of his era (Randy Johnson, Nolan Ryan, and Curt Schilling).
In this research, we re-examine Roger Clemensā career using a more complete and stable set of pitching measures (WHIP = walks + hits per inning pitched, BAA = batting average against, ERA, BB rate = rate of walks per batter faced, K rate), and by using a broader (census) comparison set of pitchers with similar longevity in order to reduce the selection bias inherent in the Hendricks report. In contrast to Hendricksā report, our analysis examines not only late career performance but also early- and mid-career trends. Our findings can be summarized as follows:
Using simple quadratic functions, and an occasional spline to relate the above pitching measures to age, we demonstrate a number of empirical regularities: Roger Clemensā career is atypical with respect to his peer group. While most pitchers with comparable longevity improve for the first half of their career, peaking just past the age of 30 and then declining (an inverted-U shape), Roger Clemensā career statistics shows a decrease into his early thirties followed by a marked improvement late in his career (more of a U-shape). This pattern is consistent across most measures for Roger Clemens, yet for certain measures is not unique to him. That is, other pitchers have atypical patterns as well for some, but not all other tested measures.
Our analyses suggest what we, as statisticians, have postulated all along: empirical association is not causation, and neither the Hendricks report nor ours can prove or disprove the use of PESs by any given player. This is because players are indeed unique, and due to the short-time series and sparseness of comparable players there is low power to assess specific hypotheses. However, our analyses clearly suggest that Roger Clemensā career pitching trajectory is atypical
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Building more accurate decision trees with the additive tree.
The expansion of machine learning to high-stakes application domains such as medicine, finance, and criminal justice, where making informed decisions requires clear understanding of the model, has increased the interest in interpretable machine learning. The widely used Classification and Regression Trees (CART) have played a major role in health sciences, due to their simple and intuitive explanation of predictions. Ensemble methods like gradient boosting can improve the accuracy of decision trees, but at the expense of the interpretability of the generated model. Additive models, such as those produced by gradient boosting, and full interaction models, such as CART, have been investigated largely in isolation. We show that these models exist along a spectrum, revealing previously unseen connections between these approaches. This paper introduces a rigorous formalization for the additive tree, an empirically validated learning technique for creating a single decision tree, and shows that this method can produce models equivalent to CART or gradient boosted stumps at the extremes by varying a single parameter. Although the additive tree is designed primarily to provide both the model interpretability and predictive performance needed for high-stakes applications like medicine, it also can produce decision trees represented by hybrid models between CART and boosted stumps that can outperform either of these approaches
Evaluation of the MODIS LAI product using independent lidar-derived LAI: A case study in mixed conifer forest
This study presents an alternative assessment of the MODIS LAI product for a 58,000 ha evergreen needleleaf forest located in the western Rocky Mountain range in northern Idaho by using lidar data to model (R2=0.86, RMSE=0.76) and map LAI at higher resolution across a large number of MODIS pixels in their entirety. Moderate resolution (30 m) lidar-based LAI estimates were aggregated to the resolution of the 1-km MODIS LAI product and compared to temporally-coincident MODIS retrievals. Differences in the MODIS and lidar-derived values of LAI were grouped and analyzed by several different factors, including MODIS retrieval algorithm, sun/sensor geometry, and sub-pixel heterogeneity in both vegetation and terrain characteristics. Of particular interest is the disparity in the results when MODIS LAI was analyzed according to algorithm retrieval class. We observed relatively good agreement between lidar-derived and MODIS LAI values for pixels retrieved with the main RT algorithm without saturation for LAI LAIā¤4. Moreover, for the entire range of LAI values, considerable overestimation of LAI (relative to lidar-derived LAI) occurred when either the main RT with saturation or back-up algorithm retrievals were used to populate the composite product regardless of sub-pixel vegetation structural complexity or sun/sensor geometry. These results are significant because algorithm retrievals based on the main radiative transfer algorithm with or without saturation are characterized as suitable for validation and subsequent ecosystem modeling, yet the magnitude of difference appears to be specific to retrieval quality class and vegetation structural characteristics
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Lower Left Thalamic Myo-Inositol Levels Associated with Greater Cognitive Impulsivity in Marijuana-Dependent Young Men: Preliminary Spectroscopic Evidence at 4T
The effects of chronic marijuana (MRJ) use on neurochemistry are not well characterized. Previously, altered global myo-Inositol (mI) concentrations and distribution in white matter were associated with impulsivity and mood symptoms in young MRJ-dependent men. The objective of this study was to retrospectively examine previously collected data, to investigate the potential regional specificity of metabolite levels in brain regions densely packed with cannabinoid receptors. Spectra were acquired at 4.0 Tesla using 2D J-resolved proton magnetic resonance spectroscopic imaging (MRSI) to quantify the entire J-coupled spectral surface of metabolites from voxels in regions of interest. For the current regional spectral analyses, a 2D-JMRSI grid was positioned over the central axial slice and shifted in the x and y dimensions to optimally position voxels over regions containing thalamus, temporal lobe, and parieto-occipital cortex. MRJ users exhibited significantly reduced mI levels in the left thalamus (lThal), relative to non-using participants, which were associated with elevated cognitive impulsivity. Other regional analyses did not reveal any significant group differences. The current findings indicate that reduced mI levels are regionally specific to the lThal in MRJ users. Furthermore, findings suggest that mI and the lThal uniquely contribute to elevated impulsivity
Improved Orbital Parameters And Transit Monitoring For HD 156846b
HD 156846b is a Jovian planet in a highly eccentric orbit (e = 0.85) with a period of 359.55 days. The pericenter passage at a distance of 0.16 AU is nearly aligned to our line of sight, offering an enhanced transit probability of 5.4% and a potentially rich probe of the dynamics of a cool planetary atmosphere impulsively heated during close approach to a bright star (V = 6.5). We present new radial velocity (RV) and photometric measurements of this star as part of the Transit Ephemeris Refinement and Monitoring Survey. The RV measurements from the Keck-High Resolution Echelle Spectrometer reduce the predicted transit time uncertainty to 20 minutes, an order of magnitude improvement over the ephemeris from the discovery paper. We photometrically monitored a predicted transit window under relatively poor photometric conditions, from which our non-detection does not rule out a transiting geometry. We also present photometry that demonstrates stability at the millimagnitude level over its rotational timescale
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Effects of Very Low Nicotine Content Cigarettes on Smoking Behavior and Biomarkers of Exposure in Menthol and Non-menthol Smokers.
IntroductionBecause 30% of cigarettes sold in the United States are characterized as menthol cigarettes, it is important to understand how menthol preference may affect the impact of a nicotine reduction policy.MethodsIn a recent trial, non-treatment-seeking smokers were randomly assigned to receive very low nicotine cigarettes (VLNC; 0.4 mg nicotine/g tobacco) or normal nicotine cigarettes (NNC; 15.5 mg/g) for 20 weeks. On the basis of preference, participants received menthol or non-menthol cigarettes. We conducted multivariable regression analyses to examine whether menthol preference moderated the effects of nicotine content on cigarettes per day (CPD), breath carbon monoxide (CO), urinary total nicotine equivalents (TNE), urinary 2-cyanoethylmercapturic acid (CEMA), and abstinence.ResultsAt baseline, menthol smokers (n = 346) reported smoking fewer CPD (14.9 vs. 19.2) and had lower TNE (52.8 vs. 71.6 nmol/mg) and CO (17.7 vs. 20.5 ppm) levels than non-menthol smokers (n = 406; ps < .05). At week 20, significant interactions indicated that menthol smokers had smaller treatment effects than non-menthol smokers for CPD (-6.4 vs. -9.3), TNE (ratio of geometric means, 0.22 vs. 0.10) and CEMA (ratio, 0.56 vs. 0.37; ps < .05), and trended toward a smaller treatment effect for CO (-4.5 vs. -7.3 ppm; p = .06). Odds ratios for abstinence at week 20 were 1.88 (95% confidence interval [CI] = 0.8 to 4.4) for menthol and 9.11 (95% CI = 3.3 to 25.2) for non-menthol VLNC smokers (p = .02) relative to the NNC condition.ConclusionsAlthough menthol smokers experienced reductions in smoking, toxicant exposure, and increases in quitting when using VLNC cigarettes, the magnitude of change was smaller than that observed for non-menthol smokers.ImplicationsResults of this analysis suggest that smokers of menthol cigarettes may respond to a nicotine reduction policy with smaller reductions in smoking rates and toxicant exposure than would smokers of non-menthol cigarettes
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