933 research outputs found

    Distributed and recoverable digital control system

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    A real-time multi-tasking digital control system with rapid recovery capability is disclosed. The control system includes a plurality of computing units comprising a plurality of redundant processing units, with each of the processing units configured to generate one or more redundant control commands. One or more internal monitors are employed for detecting data errors in the control commands. One or more recovery triggers are provided for initiating rapid recovery of a processing unit if data errors are detected. The control system also includes a plurality of actuator control units each in operative communication with the computing units. The actuator control units are configured to initiate a rapid recovery if data errors are detected in one or more of the processing units. A plurality of smart actuators communicates with the actuator control units, and a plurality of redundant sensors communicates with the computing units

    Method and system for redundancy management of distributed and recoverable digital control system

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    A method and system for redundancy management is provided for a distributed and recoverable digital control system. The method uses unique redundancy management techniques to achieve recovery and restoration of redundant elements to full operation in an asynchronous environment. The system includes a first computing unit comprising a pair of redundant computational lanes for generating redundant control commands. One or more internal monitors detect data errors in the control commands, and provide a recovery trigger to the first computing unit. A second redundant computing unit provides the same features as the first computing unit. A first actuator control unit is configured to provide blending and monitoring of the control commands from the first and second computing units, and to provide a recovery trigger to each of the first and second computing units. A second actuator control unit provides the same features as the first actuator control unit

    Methods and systems for providing reconfigurable and recoverable computing resources

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    A method for optimizing the use of digital computing resources to achieve reliability and availability of the computing resources is disclosed. The method comprises providing one or more processors with a recovery mechanism, the one or more processors executing one or more applications. A determination is made whether the one or more processors needs to be reconfigured. A rapid recovery is employed to reconfigure the one or more processors when needed. A computing system that provides reconfigurable and recoverable computing resources is also disclosed. The system comprises one or more processors with a recovery mechanism, with the one or more processors configured to execute a first application, and an additional processor configured to execute a second application different than the first application. The additional processor is reconfigurable with rapid recovery such that the additional processor can execute the first application when one of the one more processors fails

    Monitoring system and methods for a distributed and recoverable digital control system

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    A monitoring system and methods are provided for a distributed and recoverable digital control system. The monitoring system generally comprises two independent monitoring planes within the control system. The first monitoring plane is internal to the computing units in the control system, and the second monitoring plane is external to the computing units. The internal first monitoring plane includes two in-line monitors. The first internal monitor is a self-checking, lock-step-processing monitor with integrated rapid recovery capability. The second internal monitor includes one or more reasonableness monitors, which compare actual effector position with commanded effector position. The external second monitor plane includes two monitors. The first external monitor includes a pre-recovery computing monitor, and the second external monitor includes a post recovery computing monitor. Various methods for implementing the monitoring functions are also disclosed

    Inhibition of the Redox Function of APE1/Ref-1 in Myeloid Leukemia Cell Lines Results in a Hypersensitive Response to Retinoic Acid-induced Differentiation and Apoptosis

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    Objective The standard of care for promyelocytic leukemia includes use of the differentiating agent all-trans retinoic acid (RA) and chemotherapy. RA induces cell differentiation through retinoic acid receptor (RAR) transcription factors. Because redox mechanisms influence how readily transcription factors bind to DNA response elements (RARE), the impact of small molecule (E3330) inhibition of the redox regulatory protein, apurinic-apyrimidinic endonuclease/redox effector factor (APE1/Ref-1) on RAR DNA binding and function in RA-induced myeloid leukemia cell differentiation and apoptosis was investigated. Materials and Methods The redox function of APE1 was studied using the small molecule inhibitor E3330 in HL-60 and PLB acute myeloid leukemia cells. Electrophoretic mobility shift assays were employed to determine effect of inhibitor on APE1/Ref-1 redox signaling function. Trypan blue assays, Annexin-V/propidium iodide and CD11b staining, and real-time polymerase chain reaction analyses were employed to determine survival, apoptosis, and differentiation status of cells in culture. Results RARα binds to its RARE in a redox-dependent manner mediated by APE1/Ref-1 redox regulation. Redox-dependent RAR-RARE binding is blocked by E3330, a small molecule redox inhibitor of APE1/Ref-1. Combination treatment of RA + E3330 results in a profound hypersensitivity of myeloid leukemia cells to RA-induced differentiation and apoptosis. Additionally, redox inhibition by E3330 results in enhanced RAR target gene, BLR-1, expression in myeloid leukemia cells. Conclusions The redox function of APE1/Ref-1 regulates RAR binding to its DNA RAREs influencing the response of myeloid leukemia cells to RA-induced differentiation. Targeting of APE1/Ref-1 redox function may allow manipulation of the retinoid response with therapeutic implications

    Quasi-pseudo-metrization of topological preordered spaces

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    We establish that every second countable completely regularly preordered space (E,T,\leq) is quasi-pseudo-metrizable, in the sense that there is a quasi-pseudo-metric p on E for which the pseudo-metric p\veep^-1 induces T and the graph of \leq is exactly the set {(x,y): p(x,y)=0}. In the ordered case it is proved that these spaces can be characterized as being order homeomorphic to subspaces of the ordered Hilbert cube. The connection with quasi-pseudo-metrization results obtained in bitopology is clarified. In particular, strictly quasi-pseudometrizable ordered spaces are characterized as being order homeomorphic to order subspaces of the ordered Hilbert cube.Comment: Latex2e, 20 pages. v2: minor changes in the proof of theorem 2.

    Seismic structure of the Endeavour Segment, Juan de Fuca Ridge : correlations with seismicity and hydrothermal activity

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    Author Posting. © American Geophysical Union, 2007. This article is posted here by permission of American Geophysical Union for personal use, not for redistribution. The definitive version was published in Journal of Geophysical Research 112 (2007): B02401, doi:10.1029/2005JB004210.Multichannel seismic reflection data collected in July 2002 at the Endeavour Segment, Juan de Fuca Ridge, show a midcrustal reflector underlying all of the known high-temperature hydrothermal vent fields in this area. On the basis of the character and geometry of this reflection, its similarity to events at other spreading centers, and its polarity, we identify this as a reflection from one or more crustal magma bodies rather than from a hydrothermal cracking front interface. The Endeavour magma chamber reflector is found under the central, topographically shallow section of the segment at two-way traveltime (TWTT) values of 0.9–1.4 s (∼2.1–3.3 km) below the seafloor. It extends approximately 24 km along axis and is shallowest beneath the center of the segment and deepens toward the segment ends. On cross-axis lines the axial magma chamber (AMC) reflector is only 0.4–1.2 km wide and appears to dip 8–36° to the east. While a magma chamber underlies all known Endeavour high-temperature hydrothermal vent fields, AMC depth is not a dominant factor in determining vent fluid properties. The stacked and migrated seismic lines also show a strong layer 2a event at TWTT values of 0.30 ± 0.09 s (380 ± 120 m) below the seafloor on the along-axis line and 0.38 ± 0.09 s (500 ± 110 m) on the cross-axis lines. A weak Moho reflection is observed in a few locations at TWTT values of 1.9–2.4 s below the seafloor. By projecting hypocenters of well-located microseismicity in this region onto the seismic sections, we find that most axial earthquakes are concentrated just above the magma chamber and distributed diffusely within this zone, indicating thermal-related cracking. The presence of a partially molten crustal magma chamber argues against prior hypotheses that hydrothermal heat extraction at this intermediate spreading ridge is primarily driven by propagation of a cracking front down into a frozen magma chamber and indicates that magmatic heat plays a significant role in the hydrothermal system. Morphological and hydrothermal differences between the intermediate spreading Endeavour and fast spreading ridges are attributable to the greater depth of the Endeavour AMC and the corresponding possibility of axial faulting.E.V.A. was supported by a National Science Foundation Graduate Research Fellowship, the WHOI-MIT Joint Program, and the WHOI Deep Ocean Exploration Institute. This work was also supported by OCE-0002551 to the Woods Hole Oceanographic Institution, OCE-0002488 to Lamont-Doherty Earth Observatory, and OCE-0002600 to Scripps Institution of Oceanography

    Evidence for coeval Late Triassic terrestrial impacts from the Rochechouart (France) meteorite crater

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    High temperature impact melt breccias from the Rochechouart (France) meteorite crater record magnetization component with antipodal, normal and reverse polarities. The corresponding paleomagnetic pole for this component lies between the 220 Ma and 210 Ma reference poles on the Eurasian apparent polar wander path, consistent with the 214 ±\pm 8 Ma 40Ar/39Ar age of the crater. Late Triassic tectonic reconstructions of the Eurasian and North American plates place this pole within 95% confidence limits of the paleomagnetic pole from the Manicouagan (Canada) meteorite impact crater, which is dated at 214 ±\pm 1 Ma. Together, these observations reinforce the hypothesis of a Late Triassic, multiple meteorite impact event on Earth

    Sample Size under Inverse Negative Binomial Group Testing for Accuracy in Parameter Estimation

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    Background:The group testing method has been proposed for the detection and estimation of genetically modified plants (adventitious presence of unwanted transgenic plants, AP). For binary response variables (presence or absence), group testing is efficient when the prevalence is low, so that estimation, detection, and sample size methods have been developed under the binomial model. However, when the event is rare (low prevalence Methodology/Principal Findings: This research proposes three sample size procedures (two computational and one analytic) for estimating prevalence using group testing under inverse (negative) binomial sampling. These methods provide the required number of positive pools (rm), given a pool size (k), for estimating the proportion of AP plants using the Dorfman model and inverse (negative) binomial sampling. We give real and simulated examples to show how to apply these methods and the proposed sample-size formula. The Monte Carlo method was used to study the coverage and level of assurance achieved by the proposed sample sizes. An R program to create other scenarios is given in Appendix S2. Conclusions: The three methods ensure precision in the estimated proportion of AP because they guarantee that the width (W) of the confidence interval (CI) will be equal to, or narrower than, the desired width (v), with a probability of c. With the Monte Carlo study we found that the computational Wald procedure (method 2) produces the more precise sample size (with coverage and assurance levels very close to nominal values) and that the samples size based on the Clopper-Pearson CI (method 1) is conservative (overestimates the sample size); the analytic Wald sample size method we developed (method 3) sometimes underestimated the optimum number of pools
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