243 research outputs found

    Implementation of B-splines in a Conventional Finite Element Framework

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    The use of B-spline interpolation functions in the finite element method (FEM) is not a new subject. B-splines have been utilized in finite elements for many reasons. One reason is the higher continuity of derivatives and smoothness of B-splines. Another reason is the possibility of reducing the required number of degrees of freedom compared to a conventional finite element analysis. Furthermore, if B-splines are utilized to represent the geometry of a finite element model, interfacing a finite element analysis program with existing computer aided design programs (which make extensive use of B-splines) is possible. While B-splines have been used in finite element analysis due to the aforementioned goals, it is difficult to find resources that describe the process of implementing B-splines into an existing finite element framework. Therefore, it is necessary to document this methodology. This implementation should conform to the structure of conventional finite elements and only require exceptions in methodology where absolutely necessary. One goal is to implement B-spline interpolation functions in a finite element framework such that it appears very similar to conventional finite elements and is easily understandable by those with a finite element background. The use of B-spline functions in finite element analysis has been studied for advantages and disadvantages. Two-dimensional B-spline and standard FEM have been compared. This comparison has addressed the accuracy as well as the computational efficiency of B-spline FEM. Results show that for a given number of degrees of freedom, B-spline FEM can produce solutions with lower error than standard FEM. Furthermore, for a given solution time and total analysis time B-spline FEM will typically produce solutions with lower error than standard FEM. However, due to a more coupled system of equations and larger elemental stiffness matrix, B-spline FEM will take longer per degree of freedom for solution and assembly times than standard FEM. Three-dimensional B-spline FEM has also been validated by the comparison of a three-dimensional model with plane-strain boundary conditions to an equivalent two-dimensional model using plane strain conditions

    Theoretical Developments and Practical Aspects of Dynamic Systems in Wind Energy Applications

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    The availability of offshore wind resources in coastal regions along with a high concentration of load centers in these areas makes offshore wind energy an attractive opportunity. Infrastructure costs and operation and maintenance costs for offshore wind technology, however, are significant obstacles that need to be overcome to make offshore wind a viable option. Vertical-axis wind turbines (VAWTs) are potentially ideal candidates for large offshore wind energy applications, and may provide a means to significantly reduce life-cycle costs associated with offshore wind energy. This has motivated the development of a flexible and extensible modular analysis framework for investigating VAWT designs. The Offshore Wind Energy Simulation toolkit contains a modular analysis framework that provides a general interface to external modules such as aerodynamics, hydrodynamics/platform dynamics, and generator/drive-train modeling software. Theoretical developments in dynamic systems are also presented in this work. Implicit time integration methods are investigated for their applicability to Gyric systems (flexible systems undergoing general rotational motion). An energy conserving integration method for conventional flexible systems are considered and proven to be energy preserving for Gyric systems. A new, efficient procedure for developing linearized representation of discrete dynamic systems is also presented. Two existing approaches for developing linear representations are combined to arrive at a new, more efficient linearization procedure that overcomes the pitfalls of the individual approaches alone. Furthermore, aeroelastic stability is a known issue for large, flexible structures under aerodynamic loads, and aeroelastic analysis was considered in the development of wind energy design tools. Finally, an investigation of the structural dynamics of offshore VAWT structure is conducted. A fundamental understanding of a resonance in VAWT configurations is sought, and the effects of support conditions on dynamic response of VAWT configurations is explored

    Optimal Design of Passive Flow Control for a Boundary-Layer-Ingesting Offset Inlet Using Design-of-Experiments

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    This research will investigate the use of Design-of-Experiments (DOE) in the development of an optimal passive flow control vane design for a boundary-layer-ingesting (BLI) offset inlet in transonic flow. This inlet flow control is designed to minimize the engine fan face distortion levels and first five Fourier harmonic half amplitudes while maximizing the inlet pressure recovery. Numerical simulations of the BLI inlet are computed using the Reynolds-averaged Navier-Stokes (RANS) flow solver, OVERFLOW, developed at NASA. These simulations are used to generate the numerical experiments for the DOE response surface model. In this investigation, two DOE optimizations were performed using a D-Optimal Response Surface model. The first DOE optimization was performed using four design factors which were vane height and angles-of-attack for two groups of vanes. One group of vanes was placed at the bottom of the inlet and a second group symmetrically on the sides. The DOE design was performed for a BLI inlet with a free-stream Mach number of 0.85 and a Reynolds number of 2 million, based on the length of the fan face diameter, matching an experimental wind tunnel BLI inlet test. The first DOE optimization required a fifth order model having 173 numerical simulation experiments and was able to reduce the DC60 baseline distortion from 64% down to 4.4%, while holding the pressure recovery constant. A second DOE optimization was performed holding the vanes heights at a constant value from the first DOE optimization with the two vane angles-of-attack as design factors. This DOE only required a second order model fit with 15 numerical simulation experiments and reduced DC60 to 3.5% with small decreases in the fourth and fifth harmonic amplitudes. The second optimal vane design was tested at the NASA Langley 0.3-Meter Transonic Cryogenic Tunnel in a BLI inlet experiment. The experimental results showed a 80% reduction of DPCPavg, the circumferential distortion level at the engine fan face

    Oral activated charcoal prevents experimental cerebral malaria in mice and in a randomized controlled clinical trial in man did not interfere with the pharmacokinetics of parenteral artesunate.

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    BACKGROUND: Safe, cheap and effective adjunct therapies preventing the development of, or reducing the mortality from, severe malaria could have considerable and rapid public health impact. Oral activated charcoal (oAC) is a safe and well tolerated treatment for acute poisoning, more recently shown to have significant immunomodulatory effects in man. In preparation for possible efficacy trials in human malaria, we sought to determine whether oAC would i) reduce mortality due to experimental cerebral malaria (ECM) in mice, ii) modulate immune and inflammatory responses associated with ECM, and iii) affect the pharmacokinetics of parenteral artesunate in human volunteers. METHODS/PRINCIPAL FINDINGS: We found that oAC provided significant protection against P. berghei ANKA-induced ECM, increasing overall survival time compared to untreated mice (p<0.0001; hazard ratio 16.4; 95% CI 6.73 to 40.1). Protection from ECM by oAC was associated with reduced numbers of splenic TNF(+) CD4(+) T cells and multifunctional IFNgamma(+)TNF(+) CD4(+) and CD8(+) T cells. Furthermore, we identified a whole blood gene expression signature (68 genes) associated with protection from ECM. To evaluate whether oAC might affect current best available anti-malarial treatment, we conducted a randomized controlled open label trial in 52 human volunteers (ISRCTN NR. 64793756), administering artesunate (AS) in the presence or absence of oAC. We demonstrated that co-administration of oAC was safe and well-tolerated. In the 26 subjects further analyzed, we found no interference with the pharmacokinetics of parenteral AS or its pharmacologically active metabolite dihydroartemisinin. CONCLUSIONS/SIGNIFICANCE: oAC protects against ECM in mice, and does not interfere with the pharmacokinetics of parenteral artesunate. If future studies succeed in establishing the efficacy of oAC in human malaria, then the characteristics of being inexpensive, well-tolerated at high doses and requiring no sophisticated storage would make oAC a relevant candidate for adjunct therapy to reduce mortality from severe malaria, or for immediate treatment of suspected severe malaria in a rural setting. TRIAL REGISTRATION: Controlled-Trials.com ISRCTN64793756

    Soil quality indices as affected by long-term burning, irrigation, tillage, and fertility management

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    Understanding the impacts of long-term agricultural practices on soil quality (SQ) is key for sustaining agroecosystem productivity. This study investigated conventional and no-tillage (NT), residue burning and no burning, residue level (high and low), and irrigation (irrigated and dryland) effects on soil properties, SQ, and crop yields following 16 yr of a wheat (Triticum aestivum L.)–soybean [Glycine max (L.) Merr.] double-crop system via the Soil Management Assessment Framework (SMAF). A field experiment was conducted in the Lower Mississippi River Delta region on a silt-loam soil. Bulk density, soil organic C (SOC), total N (TN), pH, electrical conductivity (EC), and soil P and K from the 0- to 10-cm soil depth were used as SQ indicators investigated individually and as an overall soil quality index (SQI). Following 16 yr, residue burning reduced SOC (1.1%) compared with no burning (1.24%). Irrigation resulted in greater soil TN than dryland management systems (p \u3c 0.05). Reduced soil pH and extractable soil P and K occurred under NT, high residue, and irrigated treatments. Irrigation increased soybean yields, regardless of the tillage system. Burned, NT–high residue management increased wheat yields (3.45 Mg ha−1). Irrigation reduced SQ because of low EC and K scores. High residue reduced SQ compared with the low residue treatment within NT systems, owing to low pH scores. The SMAF indices identified the impacts of irrigation, NT, and optimal N fertilization on SQ. Monitoring of soil pH, P, and K may be needed to maintain SQ in long-term wheat–soybean systems

    Soil quality indices based on long-term conservation cropping systems management

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    The Soil Management Assessment Framework (SMAF) may provide insight into how conservation practices affect soil quality (SQ) regionally. Therefore, we aimed to quantify SQ in a long-term (15-yr) crop rotation and bio-covers experiment under notillage using SMAF. Main effects were cropping rotations of soybean [Glycine max (L.) Merr.], corn (Zea mays L.), and cotton (Gossypium hirsutum L.). Split-block biocover treatments consisted of winter wheat (Triticum aestivum L.), Austrian winter pea (Pisum sativum L. sativum var. arvense), hairy vetch (Vicia villosa Roth), poultry litter, and fallow (control). Seven SQ indicators—soil pH, total organic carbon (TOC), bulk density (BD), soil extractable P and K, electrical conductivity (EC), and sodium adsorption ration (SAR)—were scored using SMAF algorithms, and investigated individually and as an overall soil quality index (SQI). Simple linear regressions were performed between SQI and crop yields. Differences (

    Review of the California Trawl Fishery for Pacific Ocean Shrimp, Pandalus jordani, from 1992 to 2007

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    The commercial bottom trawl fishery for Pacific ocean shrimp, Pandalus jordani, or pink shrimp, operates mostly off the west coast of the contiguous United States. The California portion of the fishery has not been thoroughly documented or reviewed since the 1991 fishing season, despite its fluctuating more during the last 16 years (1992–2007) than at any other period in its 56-year history. We used fishery-dependent data, California Department of Fish and Game commercial landing receipts and logbook data, to analyze trends and review the California pink shrimp trawl fishery from 1992 to 2007. In particular, we focus on the most recent years of the fishery (2001–07) to highlight the gear developments and key management measures implemented in the fishery. The fishery is primarily driven by market conditions and is highly regulated by both state and Federal management agencies. Several key regulatory measures implemented during this decade have had significant effects on the fishery. For example, the requirement of a Bycatch Reduction Device on trawl nets targeting pink shrimp was approved in 2001 and has greatly reduced levels of finfish bycatch. Fishery production has declined, particularly in recent years, and may be attributed to decreased market prices, followed by reduced fishermen participation; both of which are related to changes in the processing sector and demand for the product

    Comparative effectiveness of dipeptidyl peptidase-4 (DPP-4) inhibitors and human glucagon-like peptide-1 (GLP-1) analogue as add-on therapies to sulphonylurea among diabetes patients in the Asia-Pacific region: a systematic review

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    The prevalence of diabetes mellitus is rising globally, and it induces a substantial public health burden to the healthcare systems. Its optimal control is one of the most significant challenges faced by physicians and policy-makers. Whereas some of the established oral hypoglycaemic drug classes like biguanide, sulphonylureas, thiazolidinediones have been extensively used, the newer agents like dipeptidyl peptidase-4 (DPP-4) inhibitors and the human glucagon-like peptide-1 (GLP-1) analogues have recently emerged as suitable options due to their similar efficacy and favorable side effect profiles. These agents are widely recognized alternatives to the traditional oral hypoglycaemic agents or insulin, especially in conditions where they are contraindicated or unacceptable to patients. Many studies which evaluated their clinical effects, either alone or as add-on agents, were conducted in Western countries. There exist few reviews on their effectiveness in the Asia-Pacific region. The purpose of this systematic review is to address the comparative effectiveness of these new classes of medications as add-on therapies to sulphonylurea drugs among diabetic patients in the Asia-Pacific countries. We conducted a thorough literature search of the MEDLINE and EMBASE from the inception of these databases to August 2013, supplemented by an additional manual search using reference lists from research studies, meta-analyses and review articles as retrieved by the electronic databases. A total of nine randomized controlled trials were identified and described in this article. It was found that DPP-4 inhibitors and GLP-1 analogues were in general effective as add-on therapies to existing sulphonylurea therapies, achieving HbA1c reductions by a magnitude of 0.59–0.90% and 0.77–1.62%, respectively. Few adverse events including hypoglycaemic attacks were reported. Therefore, these two new drug classes represent novel therapies with great potential to be major therapeutic options. Future larger-scale research should be conducted among other Asia-Pacific region to evaluate their efficacy in other ethnic groups

    Early Trajectory Prediction in Elite Athletes

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    Cerebellar plasticity is a critical mechanism for optimal feedback control. While Purkinje cell activity of the oculomotor vermis predicts eye movement speed and direction, more lateral areas of the cerebellum may play a role in more complex tasks, including decision-making. It is still under question how this motor-cognitive functional dichotomy between medial and lateral areas of the cerebellum plays a role in optimal feedback control. Here we show that elite athletes subjected to a trajectory prediction, go/no-go task manifest superior subsecond trajectory prediction accompanied by optimal eye movements and changes in cognitive load dynamics. Moreover, while interacting with the cerebral cortex, both the medial and lateral cerebellar networks are prominently activated during the fast feedback stage of the task, regardless of whether or not a motor response was required for the correct response. Our results show that cortico-cerebellar interactions are widespread during dynamic feedback and that experience can result in superior task-specific decision skills

    Results of Antiretroviral Treatment Interruption and Intensification in Advanced Multi-Drug Resistant HIV Infection from the OPTIMA Trial

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    BACKGROUND: Guidance is needed on best medical management for advanced HIV disease with multidrug resistance (MDR) and limited retreatment options. We assessed two novel antiretroviral (ARV) treatment approaches in this setting. METHODS AND FINDINGS: We conducted a 2×2 factorial randomized open label controlled trial in patients with a CD4 count≤300 cells/µl who had ARV treatment (ART) failure requiring retreatment, to two options (a) re-treatment with either standard (≤4 ARVs) or intensive (≥5 ARVs) ART and b) either treatment starting immediately or after a 12-week monitored ART interruption. Primary outcome was time to developing a first AIDS-defining event (ADE) or death from any cause. Analysis was by intention to treat. From 2001 to 2006, 368 patients were randomized. At baseline, mean age was 48 years, 2% were women, median CD4 count was 106/µl, mean viral load was 4.74 log(10) copies/ml, and 59% had a prior AIDS diagnosis. Median follow-up was 4.0 years in 1249 person-years of observation. There were no statistically significant differences in the primary composite outcome of ADE or death between re-treatment options of standard versus intensive ART (hazard ratio 1.17; CI 0.86-1.59), or between immediate retreatment initiation versus interruption before re-treatment (hazard ratio 0.93; CI 0.68-1.30), or in the rate of non-HIV associated serious adverse events between re-treatment options. CONCLUSIONS: We did not observe clinical benefit or harm assessed by the primary outcome in this largest and longest trial exploring both ART interruption and intensification in advanced MDR HIV infection with poor retreatment options. TRIAL REGISTRATION: Clinicaltrials.gov NCT00050089
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