495 research outputs found
Magnetic Field Structure and Stochastic Reconnection in a Partially Ionized Gas
We consider stochastic reconnection in a magnetized, partially ionized
medium. Stochastic reconnection is a generic effect, due to field line
wandering, in which the speed of reconnection is determined by the ability of
ejected plasma to diffuse away from the current sheet along magnetic field
lines, rather than by the details of current sheet structure. We consider the
limit of weak stochasticity, so that the mean magnetic field energy density is
greater than either the turbulent kinetic energy density or the energy density
associated with the fluctuating component of the field. We consider field line
stochasticity generated through a turbulent cascade, which leads us to consider
the effect of neutral drag on the turbulent cascade of energy. In a
collisionless plasma, neutral particle viscosity and ion-neutral drag will damp
mid-scale turbulent motions, but the power spectrum of the magnetic
perturbations extends below the viscous cutoff scale. We give a simple physical
picture of the magnetic field structure below this cutoff, consistent with
numerical experiments. We provide arguments for the reemergence of the
turbulent cascade well below the viscous cut-off scale and derive estimates for
field line diffusion on all scales. We note that this explains the persistence
of a single power law form for the turbulent power spectrum of the interstellar
medium, from scales of tens of parsecs down to thousands of kilometers. We find
that under typical conditions in the ISM stochastic reconnection speeds are
reduced by the presence of neutrals, but by no more than an order of magnitude.Comment: Astrophysical Journal in pres
Reconstructing and understanding the impacts of storms and surges, southern North Sea
Coastal barriers are ubiquitous globally and provide a vital protective role to valuable landforms, habitats and communities located to landward. They are, however, vulnerable to extreme water levels and storm wave impacts. A detailed record of sub-annual to annual; decadal; and centennial rates of shoreline retreat in frontages characterized by both high (> 3 m) and low (< 1 m) dunes is established for a barrier island on the UK east coast. For four storms (2006â2013) we match still water levels and peak significant wave heights against shoreline change at high levels of spatial densification. The results suggest that, at least in the short-term, shoreline retreat, of typically 5â8 m, is primarily driven by individual events, separated by varying periods of barrier stasis. Over decadal timescales, significant inter-decadal changes can be seen in both barrier onshore retreat rates and in barrier extension rates alongshore. Whilst the alongshore variability in barrier migration seen in the short-term remains at the decadal scale, shoreline change at the centennial stage shows little alongshore variability between a region of barrier retreat (at 1.15 m a) and one of barrier extension. A data-mining approach, synchronizing all the variables that drive shoreline change (still water level, timing of high spring tides and peak significant wave heights), is an essential requirement for validating models that predict future shoreline responses under changing sea level and storminess.This paper was completed while the first author (SB) was a recipient of a Leverhulme Research Fellowship (RF-2015-045) for a project entitled Development and Application of a shoreline response model. This paper is a contribution to NERC BESS Consortium grant A hierarchical approach to the examination of the relationship between biodiversity and ecosystem service flows across coastal margins (grant reference NE/J015423/1). Table 1 reports information gathered as part of an EU FP7 Collaborative Project (grant agreement no: 603458) Resilience-Increasing Strategies for Coasts â toolkit (http://www.risckit.eu).This is the final version of the article. It first appeared from Wiley via http://dx.doi.org/10.1002/esp.390
Mangroves as a sustainable coastal defence
Mangroves effectively reduce the height of wind and swell waves over short distances (less than 500 m),\ud
and can reduce storm surge water levels over greater distances (several kilometres of mangroves). Thus mangroves can\ud
contribute to coastal defence strategies. However, their appropriate use depends on a thorough understanding of the\ud
conditions under which they can provide these coastal defence services. Here we present a literature review of this\ud
topic. Small wind and swell waves can be reduced in height by between 50 and 100% over 500 m of mangroves. Wave\ud
reduction largely depends on water depth and vegetation structure and density. However, few measurements are\ud
available for the reduction of bigger waves (> 70 cm in height) in deeper water (> 2 m). Storm surge water levels may\ud
be reduced by between 5 cm and 50 cm per kilometre of mangrove, based on field measurements and validated\ud
numerical models; water level reduction rates depend on the distance from the edge of the mangrove and the forward\ud
speed of the cyclone, amongst other factors. Extreme events may severely damage or destroy mangroves, reducing their\ud
effectiveness as a coastal defence. The use of mangroves in hybrid engineering can reduce flood risk: for example, a\ud
mangrove foreshore in front of a sea wall/dyke will reduce wave impacts on the wall/dyke. The likelihood of waves\ud
overtopping the sea wall or walls being breached is thus reduced, with an associated reduction in sea defence\ud
maintenance costs. Therefore mangroves can contribute to coastal risk reduction, alongside other risk reduction\ud
measures such as sea walls/dykes, early warning systems and evacuation plans. Additionally, mangroves can respond\ud
dynamically to rising sea levels, in some cases maintaining their surface elevation with respect to local sea level; thus\ud
they may act as a sustainable coastal defence in the face of rising sea levels and changing climatic patterns
Regional coastal food risk assessment for a tidally dominant, natural coastal setting: North Norfolk, southern North Sea
A Coastal Risk Assessment Framework (CRAF) provides two levels of coastal risk and vulnerability assessment, by combining information on the spatially variable hazard and exposure. In Phase 1, areas of greatest risk or `hotspots' are identified. In Phase 2, these hotspots are then analysed in greater detail to identify both direct and indirect extreme event impacts. This approach was applied to the barrier coastline of North Norfolk, eastern England. The CRAF identified high risk coastal hotspots on the basis of both hazard impacts (swash regime (tide + surge + wave runup) and overwash/terrestrial inundation regimes) from a 1 in 115 year return period storm and a range of land use, infrastructure, economic and social vulnerability indicators. Hazard extents and hazard severity, in some locations modified by the presence of intertidal saltmarsh, were calculated for 45, 1-2 km wide sections along the topographically complex coast. When combined with ve exposure indicators, eight hotspots were identified along the 45 km long frontage. In a 2nd phase, two of these hotspots, one a chain of small villages (Brancaster/Brancaster Staithe/Burnham Deepdale) and one a small town (Wells-next-the-Sea), were compared in more detail using a suite of coastal inundation and impact assessment models to determine both direct and indirect impacts. Hazards at this higher resolution were calculated using the 1D process-based XBeach model and the 2D LISFLOOD inundation model. Vulnerability to the hazards was calculated using the INDRA (Integrated Disruption Assessment) model with comparison of the two hotspots through the use of a Multi Criteria Analysis (MCA). The selection of hazard hotspots and comparison of hotspots using these techniques allows areas at greatest risk to be identified, of vital importance for coastal management and resource allocation
Polar Fields for AB Dor
Polar spots are often observed on rapidly-rotating cool stars, but the nature
of the magnetic field in these spots is as yet unknown. While Zeeman-Doppler
imaging can provide surface magnetic field maps over much of the observed
stellar surface, the Zeeman signature is suppressed in the dark polar regions.
We have determined the effect on the global coronal structure of three current
models for this polar field: that it is composed (a) of unipolar field, (b) of
bipolar regions or (c) of nested rings of opposite polarity. We take as an
example the young, rapid rotator AB Dor (rotation period = 0.514 days). By
adding these model polar fields into the surface field maps determined from
Zeeman-Doppler imaging, we have compared the resulting coronal structure with
the observable properties of the corona - the magnitude and rotational
modulation of the X-ray emission measure and the presence of slingshot
prominences trapped in the corona around the Keplerian co-rotation radius. We
find that only the presence of a unipolar spot has any significant effect on
the overall coronal structure, forcing much of the polar field to be open.Comment: 10 pages, 21 figure
Therapeutic jurisprudence and procedural justice in Scottish drug courts
Scotland, like other Western jurisdictions, has recently witnessed the development of problem-solving courts aimed at responding more effectively to issues that underlie certain types of offending behaviour. The first to be established were two pilot Drug Courts which drew upon experience of Scottish Drug Treatment and Testing Orders. In common with Drug Courts elsewhere, the Scottish pilots combined treatment, drug testing, supervision and judicial oversight. This article focuses upon the role of judicial involvement in the ongoing review of Drug Court participantsâ progress, drawing upon court observation and interviews with offenders and Drug Court professionals. Drug Court dialogues were typically encouraging on the part of sheriffs, aimed at recognising and reinforcing the progress made by participants and motivating then to maintain and build upon their achievements to date, while participants were generally responsive to the positive feedback they received from the sheriffs as their orders progressed. Interactions within the Scottish Drug Courts reflect key features of procedural justice (Tyler, 1990), including ethicality, efforts to be fair and representation. By contributing to enhanced perceptions of procedural justice, Drug Court dialogues may, it is argued, increase the perceived legitimacy of the court and by so doing encourage increased compliance with treatment and desistance from crime
Mark-recapture validates the use of photo-identification for the widely distributed blue-spotted ribbontail ray, Taeniura lymma
The ability to identify individual animals can provide valuable insights into the behaviour, life history, survivorship, and demographics of wild populations. Photo-identification (photo-ID) uses unique natural markings to identify individuals and can be effective for scalable and non-invasive research on marine fauna. The successful application of photo-ID requires that chosen distinguishing markings are unique to individuals and persist over time. In this study, we validate the use of dorsal spot patterns for identifying individual blue-spotted ribbontail rays (Taeniura lymma) in conjunction with traditional tagging methods. Spot patterns were unique among T. lymma with 90.3% of individuals correctly identified using I3S photo-matching software from images taken up to 496 days apart. In comparison, traditional physical tagging methods showed a tag loss rate of 27% and a maximum tag retention period of only 356 days. Our findings demonstrate the effectiveness of photo-ID as a tool to monitor populations and better understand the ecology of the blue-spotted ribbontail ray without the need for physical tagging. The validation of photo-ID for this widespread species is important as it enables behavioural and demographic changes to be easily tracked in relation to coastal threats such as human development and habitat degradation.</p
Enforcement and compliance: critical practices for community rehabilitation companies and the new NPS?
Efforts to secure compliance have always been a core element of probation practice,although compliance has been constructed in diverse ways and promoted through different means throughout its history. This article takes a brief historical perspective and reviews recent research on enforcement practices and developing understandings of compliance. These guide a critical discussion of the practices that might develop as responsibilities for enforcement are divided between the new National Probation Service (NPS) and Community Rehabilitation Companies (CRCs) under the Transforming Rehabilitation agenda, highlighting inevitable tensions and challenges, and anticipating how inter-agency practices might shape the ongoing construction
of compliance. Charging more than one agency with responsibilities in relation to enforcement is tricky and creates risks in terms of legitimacy, credibility and justice. On the whole, future prospects seem difficult, but not hopeless and, in particular, there are examples of positive practices in probation and youth justice for
the NPS and CRCs to draw upon as they develop their inter-agency structures and processes. Elsewhere, initiatives in problem-solving courts, focused, for example, on drug users, may also give indicators of constructive ways forwar
Regional coastal flood risk assessment for a tidally dominant, natural coastal setting: North Norfolk, southern North Sea
A Coastal Risk Assessment Framework (CRAF) provides two levels of coastal risk and vulnerability assessment, by combining information on the spatially variable hazard and exposure. In Phase 1, areas of greatest risk or `hotspots' are identified. In Phase 2, these hotspots are then analysed in greater detail to identify both direct and indirect extreme event impacts. This approach was applied to the barrier coastline of North Norfolk, eastern England. The CRAF identified high risk coastal hotspots on the basis of both hazard impacts (swash regime (tide + surge + wave runup) and overwash/terrestrial inundation regimes) from a 1 in 115 year return period storm and a range of land use, infrastructure, economic and social vulnerability indicators. Hazard extents and hazard severity, in some locations modified by the presence of intertidal saltmarsh, were calculated for 45, 1-2 km wide sections along the topographically complex coast. When combined with five exposure indicators, eight hotspots were identified along the 45 km long frontage. In a 2nd phase, two of these hotspots, one a chain of small villages (Brancaster/Brancaster Staithe/Burnham Deepdale) and one a
small town (Wells-next-the-Sea), were compared in more detail using a suite of coastal inundation and impact assessment models to determine both direct and indirect impacts. Hazards at this higher resolution were calculated using the 1D process-based XBeach model and the 2D LISFLOOD inundation model. Vulnerability to the hazards was calculated using the INDRA (Integrated Disruption Assessment) model with comparison of the two hotspots through the use of a Multi Criteria Analysis (MCA). The selection of hazard hotspots and comparison of hotspots using these techniques allows areas at greatest risk to be identified, of vital importance for coastal management and resource allocation.This work was supported by the European Communityâs 7th Framework
Programme through the grant to RISC-KIT (âResilience-increasing
Strategies for Coasts Toolkitâ), contract no. 603458, and by contributions
by the partner institutes and a grant from The Isaac Newton Trust, Trinity
College, Cambridge
Postdischarge symptoms and rehabilitation needs in survivors of COVIDâ19 infection: A crossâsectional evaluation
Background: There is currently very limited information on the nature and prevalence of postâCOVIDâ19 symptoms after hospital discharge.
Methods: A purposive sample of 100 survivors discharged from a large University hospital were assessed 4 to 8 weeks after discharge by a multidisciplinary team of rehabilitation professionals using a specialist telephone screening tool designed to capture symptoms and impact on daily life. EQâ5Dâ5L telephone version was also completed.
Results: Participants were between 29 and 71 days (mean 48 days) postdischarge from hospital. Thirtyâtwo participants required treatment in intensive care unit (ICU group) and 68 were managed in hospital wards without needing ICU care (ward group). New illnessârelated fatigue was the most common reported symptom by 72% participants in ICU group and 60.3% in ward group. The next most common symptoms were breathlessness (65.6% in ICU group and 42.6% in ward group) and psychological distress (46.9% in ICU group and 23.5% in ward group). There was a clinically significant drop in EQ5D in 68.8% in ICU group and in 45.6% in ward group.
Conclusions: This is the first study from the United Kingdom reporting on postdischarge symptoms. We recommend planning rehabilitation services to manage these symptoms appropriately and maximize the functional return of COVIDâ19 survivors
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