2,950 research outputs found

    Switches and mortar in the Internet's shadow : a study of the effects of technology on competitive strategy for the Internet's landlords

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    Thesis (S.M.)--Massachusetts Institute of Technology, Dept. of Architecture, 2000.Includes bibliographical references (leaves 132-138).Communications technology has experienced a period of explosive growth, driven by a confluence of legal, political and technical factors including the following: the 1968 Carter Phone and 1980's competitive carrier decisions, the 1984 divestiture of AT&T, the Telecommunications Act of 1996, the development and standardization of new technologies, and the proliferation of the Internet and World Wide Web. This thesis asks the fundamental questions: How has the rapid growth of the Internet and other communications technologies changed the competitive strategy of commercial tenants, and how have these changes affected commercial real estate developers? This study proposes that developers and landlords need to use more forward-looking theories of competitive strategy in order to understand the current and future real estate needs of technology-driven commercial tenants. Telecommunications deregulation and the growth of the Internet led to the creation of a new and rapidly growing high technology industry and commercial tenancy. Deregulation and the Internet also transformed the way traditional commercial real estate uses information technology, encouraged the forging of partnerships between commercial real estate professionals and "last mile" information technology contractors, and resulted in the creation of a new commercial real estate product-the telecom hotel.' Current literature suggests traditional commercial tenants might differ from Internet-based business tenants in four general areas of the development process: feasibility, site selection, design and building operations. The proliferation of the Internet as a catalyst for new real estate products, commercial tenants and partnerships, and the observed differences in development practices between traditional and commercial tenants are both clues to fundamental differences between these two tenants' competitive strategies. It is possible to understand these clues to tenant behavior by taking an in-depth look at how these two tenants compete in their respective industries. Traditional commercial business tenants appear to conform to Michael Porter's theories on competitive strategy and advantage. High-tech tenant's competitive strategies seem to be more accurately reflected by Gary Hamel and C.K. Prahalad's model of competition for the future. These two theories, and the industries they represent, differ in four dimensions: Future versus Past/Present orientation, technology use, rate of growth, and resource use. In comparing three case studies on these four strategic dimensions, this thesis concludes that Porter's more stable, efficiency-oriented model does explain the strategy of Northwestern Mutual, a large insurance organization. Hamel and Prahalad's model better explains the hectic, high growth, future orientation of Akamai and YankeeTek Incubator as well as Teleplace, a telecom hotel service company. Hamel and Prahalad and Porter's frameworks explain significant discrepancies between predicted development practices based on current industry thinking, and observed development practices based on these in depth case studies. This thesis thus verifies a need by real estate developers and landlords to use forward-looking theories of competitive strategy when examining the current and future needs of hightech tenants.by Geoffrey Morgan and Benjamin V.A. Pettigrew.S.M

    How frequent are close supermassive binary black holes in powerful jet sources?

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    24 pages, 36 figures. © 2018 The Author(s) Published by Oxford University Press on behalf of the Royal Astronomical Society This article is published and distributed under the terms of the Oxford University Press, Standard Journals Publication Model (https://academic.oup.com/journals/pages/open_access/funder_policies/chorus/standard_publication_model)Supermassive black hole binariesmay be detectable by an upcoming suite of gravitationalwave experiments. Their binary nature can also be revealed by radio jets via a short-period precession driven by the orbital motion as well as the geodetic precession at typically longer periods. We have investigated Karl G. Jansky Very Large Array and Multi-Element Radio Linked Interferometer Network (MERLIN) radio maps of powerful jet sources for morphological evidence of geodetic precession. For perhaps the best-studied source, Cygnus A, we find strong evidence for geodetic precession. Projection effects can enhance precession features, for which we find indications in strongly projected sources. For a complete sample of 33 3CR radio sources, we find strong evidence for jet precession in 24 cases (73 per cent). The morphology of the radio maps suggests that the precession periods are of the order of 10 6- 10 7 yr. We consider different explanations for the morphological features and conclude that geodetic precession is the best explanation. The frequently observed gradual jet angle changes in samples of powerful blazars can be explained by orbital motion. Both observations can be explained simultaneously by postulating that a high fraction of powerful radio sources have subparsec supermassive black hole binaries.We consider complementary evidence and discuss if any jetted supermassive black hole with some indication of precession could be detected as individual gravitational wave source in the near future. This appears unlikely, with the possible exception of M87.Peer reviewedFinal Published versio

    Dust Grain-Size Distributions From MRN to MEM

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    Employing the Maximum Entropy Method algorithm, we fit interstellar extinction measurements which span the wavelength range 0.125-3 micron. We present a uniform set of MEM model fits, all using the same grain materials, optical constants and abundance constraints. In addition, we are taking advantage of improved UV and IR data and better estimates of the gas-to-dust ratio. The model fits cover the entire range of extinction properties that have been seen in the Galaxy and the Magellanic Clouds. The grain models employed for this presentation are the simplistic homogeneous spheres models (i.e., Mathis, Rumpl, & Nordsieck 1977) with two (graphite, silicate) or three (graphite, silicate, amorphous carbon) components. Though such usage is only a first step, the results do provide interesting insight into the use of grain size as a diagnostic of dust environment. We find that the SMC Bar extinction curve cannot be fit using carbon grains alone. This is a challenge to the recent observational result indicating little silicon depletion in the SMC.Comment: 24 pages, 5 figures, accepted for publication in the Astrophysical Journa

    Starburst-Driven Galactic Winds: Filament Formation and Emission Processes

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    We have performed a series of three-dimensional simulations of the interaction of a supersonic wind with a non-spherical radiative cloud. These simulations are motivated by our recent three-dimensional model of a starburst-driven galactic wind interacting with an inhomogeneous disk, which show that an optically emitting filament can be formed by the break-up and acceleration of a cloud into a supersonic wind. In this study we consider the evolution of a cloud with two different geometries (fractal and spherical) and investigate the importance of radiative cooling on the cloud's survival. We have also undertaken a comprehensive resolution study in order to ascertain the effect of the assumed numerical resolution on the results. We find that the ability of the cloud to radiate heat is crucial for its survival. While an adiabatic cloud is destroyed over a short period of time, a radiative cloud is broken up via the Kelvin-Helmholtz instability into numerous small, dense cloudlets, which are drawn into the flow to form a filamentary structure. The degree of fragmentation is highly dependent on the resolution of the simulation, with the number of cloudlets formed increasing as the Kelvin-Helmholtz instability is better resolved. Nevertheless, there is a clear qualitative trend, with the filamentary structure still persistent at high resolution. We confirm the mechanism behind the formation of the H-alpha emitting filaments found in our global simulations of a starburst-driven wind. Based on our resolution study, we conclude that bow shocks around accelerated gas clouds, and their interaction, are the main source of the soft X-ray emission observed in these galactic-scale winds. [ABRIDGED]Comment: Accepted to ApJ, 39 pages, 21 figures, movie file can obtained at http://www.mso.anu.edu.au/~jcooper/movie/halpha.mo

    FUSE Measurements of Far Ultraviolet Extinction. I. Galactic Sight Lines

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    We present extinction curves that include data down to far ultraviolet wavelengths (FUV; 1050 - 1200 A) for nine Galactic sight lines. The FUV extinction was measured using data from the Far Ultraviolet Spectroscopic Explorer. The sight lines were chosen for their unusual extinction properties in the infrared through the ultraviolet; that they probe a wide range of dust environments is evidenced by the large spread in their measured ratios of total-to-selective extinction, R_V = 2.43 - 3.81. We find that extrapolation of the Fitzpatrick & Massa relationship from the ultraviolet appears to be a good predictor of the FUV extinction behavior. We find that predictions of the FUV extinction based upon the Cardelli, Clayton & Mathis (CCM) dependence on R_V give mixed results. For the seven extinction curves well represented by CCM in the infrared through ultraviolet, the FUV extinction is well predicted in three sight lines, over-predicted in two sight lines, and under-predicted in 2 sight lines. A Maximum Entropy Method analysis using a simple three component grain model shows that seven of the nine sight lines in the study require a larger fraction of grain materials to be in dust when FUV extinction is included in the models. Most of the added grain material is in the form of small (radii < 200 A) grains.Comment: Accepted for publication in the Astrophysical Journal. 31 pages with 7 figure

    Homozygosity for a missense mutation in the 67 kDa isoform of glutamate decarboxylase in a family with autosomal recessive spastic cerebral palsy: parallels with Stiff-Person Syndrome and other movement disorders

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    Background Cerebral palsy (CP) is an heterogeneous group of neurological disorders of movement and/or posture, with an estimated incidence of 1 in 1000 live births. Non-progressive forms of symmetrical, spastic CP have been identified, which show a Mendelian autosomal recessive pattern of inheritance. We recently described the mapping of a recessive spastic CP locus to a 5 cM chromosomal region located at 2q24-31.1, in rare consanguineous families. Methods Here we present data that refine this locus to a 0.5 cM region, flanked by the microsatellite markers D2S2345 and D2S326. The minimal region contains the candidate gene GAD1, which encodes a glutamate decarboxylase isoform (GAD67), involved in conversion of the amino acid and excitatory neurotransmitter glutamate to the inhibitory neurotransmitter Îł-aminobutyric acid (GABA). Results A novel amino acid mis-sense mutation in GAD67 was detected, which segregated with CP in affected individuals. Conclusions This result is interesting because auto-antibodies to GAD67 and the more widely studied GAD65 homologue encoded by the GAD2 gene, are described in patients with Stiff-Person Syndrome (SPS), epilepsy, cerebellar ataxia and Batten disease. Further investigation seems merited of the possibility that variation in the GAD1 sequence, potentially affecting glutamate/GABA ratios, may underlie this form of spastic CP, given the presence of anti-GAD antibodies in SPS and the recognised excitotoxicity of glutamate in various contexts

    Transit Timing Observations from Kepler: III. Confirmation of 4 Multiple Planet Systems by a Fourier-Domain Study of Anti-correlated Transit Timing Variations

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    We present a method to confirm the planetary nature of objects in systems with multiple transiting exoplanet candidates. This method involves a Fourier-Domain analysis of the deviations in the transit times from a constant period that result from dynamical interactions within the system. The combination of observed anti-correlations in the transit times and mass constraints from dynamical stability allow us to claim the discovery of four planetary systems Kepler-25, Kepler-26, Kepler-27, and Kepler-28, containing eight planets and one additional planet candidate.Comment: Accepted to MNRA

    Kepler-16: A Transiting Circumbinary Planet

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    We report the detection of a planet whose orbit surrounds a pair of low-mass stars. Data from the Kepler spacecraft reveal transits of the planet across both stars, in addition to the mutual eclipses of the stars, giving precise constraints on the absolute dimensions of all three bodies. The planet is comparable to Saturn in mass and size, and is on a nearly circular 229-day orbit around its two parent stars. The eclipsing stars are 20% and 69% as massive as the sun, and have an eccentric 41-day orbit. The motions of all three bodies are confined to within 0.5 degree of a single plane, suggesting that the planet formed within a circumbinary disk.Comment: Science, in press; for supplemental material see http://www.sciencemag.org/content/suppl/2011/09/14/333.6049.1602.DC1/1210923.Doyle.SOM.pd
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