545 research outputs found

    Structural and Thermal Behaviour of a Timber-concrete Prefabricated Composite Wall System

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    Abstract Wood is the oldest building materials and still now it plays an important role in the construction sector. There are many general advantages in using timber for building purposes. First of all, it is an environmentally friendly, easily recyclable material; it has a low weight in relation to strength, which is advantageous for transport, handling and production; moreover wood has aesthetic qualities, which give great possibilities in architectural design. Lastly wooden structures have an excellent performance in case of earthquake if compared to traditional structures. In Europe the development of the timber-concrete composite structures (TCC) began during a shortage of steel for reinforcement in concrete in the beginning of XX century. TCC application was primarily a refurbishment technique for old historical buildings, during the last 50 years interest in TCC systems has increased, resulting in the construction also of new buildings. This paper presents the analysis of the structural and thermal behaviour of an timber-concrete prefabricated composite wall system, the Concrete Glulam Framed Panel (CGFP) which is a panel made of a concrete slab and a structural glulam frame. The research analyses the structural performance with quasi-static in-plane tests, focused on the in-plane strength and stiffness of individual panels, and the thermal behaviour of the system with steady state tests using an hot box apparatus. The results validate the efficacy of proposed system ensuring the resistance and the dissipative structural behaviour through the hierarchy response characterized by the wood frame, the braced reinforced concrete panel of the singular module and by the rocking effects of global system. On the other side hot-box measures demonstrated a high level of thermal resistance of the system reaching U-values around 0,20 W m -2 K -1 . Moreover experimental data permitted to calibrate a FEM model with which will be possible to study and analyse the panels in different conditions and configuration in both mechanical and thermal field

    Effect of telmisartan and ramipril on atrial fibrillation recurrence and severity in hypertensive patients with metabolic syndrome and recurrent symptomatic paroxysmal and persistent atrial fibrillation

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    This study evaluated the effect of telmisartan, ramipril, and amlodipine on atrial fibrillation (AF) recurrence and severity in hypertensive patients with metabolic syndrome. A total of 391 hypertensive outpatients with metabolic syndrome, in sinus rhythm but with at least 2 episodes of AF in the previous 6 months were randomized to telmisartan, ramipril, or amlodipine for 1 year. At the first AF, ventricular rate (VR) and plasma cardiac troponin I (TnI) were evaluated. P-wave dispersion (PWD) and procollagen type I carboxy-terminal peptide (PIP) were evaluated before and after 12 months of treatment. Systolic blood pressure (SBP) and diastolic blood pressure (DBP) were similarly and significantly reduced by all treatments (P < .001). In all, 49\% of patients treated with amlodipine had a recurrence of AF as did 25.5\% of patients with ramipril and 12.9\% of patients with telmisartan (P < .01 vs amlodipine and P < .05 vs ramipril). Ventricular rate and TnI at the first AF recurrence were significantly lower with telmisartan and ramipril than with amlodipine. P-wave dispersion was reduced by ramipril (-5.1 ms, P < .05) and even more by telmisartan (-11 ms, P < .01). Telmisartan and ramipril induced a similar PIP reduction (-52.8 and -49.8 µg/L, respectively, P < .01). These findings suggested that in these patients telmisartan was more effective than ramipril in reducing AF recurrence and severity as well as in improving PWD, despite a similar BP reduction and a similar improvement in cardiac fibrosis. This could be related to a specific effect of telmisartan on atrial electric remodeling

    Quantifying the contribution of single joint kinematics to the overall ergonomic discomfort

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    Work-related musculoskeletal disorders (WMSDs) represent one of the major issues concerning the occupational safety and health of workers. Thus, a reliable evaluation of workers’ exposure to the risk factors that may contribute to WMSDs development is mandatory, above all, within an industrial context. At present, standard synthetic indices are widely used in this frame, presenting – however - several limitations due to poor reliability and time efficiency. The aim of this work was to investigate the contribution of the displacement quantified for each single joint during the execution of simple reaching tasks, to the overall discomfort of the worker evaluated by means of standard observational methods. Forty-five healthy volunteers were included in the analysis; each subject was asked to reach and rotate 2 spheres placed on a custom-made rack in standardized positions, i.e., above the head and one at floor level at centre side. Whole-body kinematics was acquired via a system based on wearable inertial measurement units. Standard ergonomic scales including RULA (Rapid Upper Limb Assessment), REBA (Rapid Entire Body Assessment), and MMGA (Method for Movement and Gesture Assessment), were assessed for each subject and each sphere position. Moreover, a quantitative index based on actual joint kinematics, i.e., W1 index, was computed for each joint angle involved in the task. Correlation analysis was performed for W1 relative to each joint with respect to RULA, REBA, and MMGA scores. Considering REBA and MMGA scores, the most comfortable reaching areas were the ones in which the sphere was positioned at the top; in contrast, the lowest positions evidenced the most increased discomfort indexes. The RULA did not result sensitive to the different positions, while REBA and MMGA seemed to be more influenced by the range of motion of the lower limb joint angles than the upper limb ones. This study underlines the necessity to focus on multiple potential contributors to WMSDs and underlines the importance of subject-specific approaches toward risk assessment by exploiting quantitative measurements and wearable technologies, which indeed represent key enabling approaches even in consideration of the novel “Industry 5.0” perspective

    The effect of gain saturation in a gain compensated perfect lens

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    The transmission of evanescent waves in a gain-compensated perfect lens is discussed. In particular, the impact of gain saturation is included in the analysis, and a method for calculating the fields of such nonlinear systems is developed. Gain compensation clearly improves the resolution; however, a number of nonideal effects arise as a result of gain saturation. The resolution associated with the lens is strongly dependent on the saturation constant of the active medium.Comment: to appear in J. Opt. Soc. Am.

    9,9-Dimethyl-9,10-dihydroanthracene

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    In the title compound, C16H16, the central benzene ring adopts a boat conformation, with a dihedral angle of 34.7 (9)° between the mean planes of the two fused benzene rings. The two methyl groups at the apex of the central benzene ring are in axial and equatorial conformations. The crystal packing is stabilized by weak C—H⋯π inter­molecular inter­actions

    Millennials, Equity, and the Rule of Law: 2014 National Lawyers Convention, \u3ci\u3eHow First Amendment Procedures Protect First Amendment Substance\u3c/i\u3e

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    A panel, at the National Lawyers Convention, discussed procedure as it relates to First Amendment rights. The panel set forth how First Amendment procedures have historically protected First Amendment substance and discussed modern applications of the issue. For example, the prior restraint doctrine, overbreadth doctrine, the allocation of the burden of proof and relaxation of ripeness rules have important implications for challenging restrictions on speech and defending against libel and defamation. The interaction of free speech and due process is often seen in litigation involving civil harassment orders, or civil protection orders. In many jurisidictions the definition of harassment permits the finding that harassment can be based solely on speech, meaning speech itself can provide a basis for liabilty. In addition, speech may be restricted as a remedy in litigation addressing harassment. Investigations of wrongdoing in the realm of campaign finance law and political speech cases can also have serious implications for speech, both reputational and legal. Further cases involving political speech and campaign finance once exclusively litigated in the civil arena, are now the subject of criminal investigations and prosecutions. This is particularly problematic where many issues in this area remain unsettled. Good lawyering is particularly important in First Amendment cases. Ineffective assistance of counsel can be considered as great an evil in First Amendment cases as in criminal cases. Unfortunately, practicing lawyers often do not understand the process by which constitutional facts are pleaded and proved in First Amendment cases and this problem begins with the way Constitutional Law 101 is taught in law schools. In proving facts in First Amendment litigation the question becomes how does the government prove its justification of a restriction on speech or how does one opposing the government’s restriction on speech respond when the government asserts certain interests as being their justification. In First Amendment litigation the government often relies on legislative facts – newspaper reports, television stories, and criminal cases discussed in the media, arguably the government should be obligated to present more than rumors and speculation

    Genetic and epigenetic changes in primary metastatic and nonmetastatic colorectal cancer

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    Colorectal cancer (CRC) develops as multistep process, which involves genetic and epigenetic alterations. K-Ras, p53 and B-Raf mutations and RASSF1A, E-Cadherin and p16INK4A promoter methylation were investigated in 202 CRCs with and without lymph node and/or liver metastasis, to assess whether gene abnormalities are related to a metastogenic phenotype. K-Ras, B-Raf and p53 mutations were detected in 27, 3 and 32% of the cases, with K-Ras mutations significantly associated with metastatic tumour (P=0.019). RASSF1A, E-Cadherin and p16INK4A methylation was documented in 20, 44 and 33% of the cases with p16INK4A significantly associated with metastatic tumours (P=0.001). Overall, out of 202 tumours, 34 (17%) did not show any molecular change, 125 (62%) had one or two and 43 (21%) three or more. Primary but yet metastatic CRCs were prevalent in the latter group (P=0.023) where the most frequent combination was one genetic (K-Ras in particular) and two epigenetic alterations. In conclusion, this analysis provided to detect some molecular differences between primary metastatic and nonmetastatic CRCs, with K-Ras and p16INK4A statistically altered in metastatic tumours; particular gene combinations, such as coincidental K-Ras mutation with two methylated genes are associated to a metastogenic phenotype

    Genome-Wide snp analysis of southern african populations provides new insights into the dispersal of bantu-Speaking groups

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    The expansion of Bantu-speaking agropastoralist populations had a great impact on the genetic, linguistic, and cultural variation of sub-Saharan Africa. It isgenerally accepted that Bantulanguages originated inanarea around thepresent borderbetweenCameroon and Nigeria approximately 5,000 years ago, from where they spread South and East becoming the largest African linguistic branch. The demic consequences of this event are reflected in the relatively high genetic homogeneity observed acrossmost of sub-Saharan Africapopulations. Inthiswork, weexploredgenome-wide singlenucleotidepolymorphismdata from28populations to characterize the genetic components present in sub-Saharan African populations. Combining novel data from four SouthernAfrican populations withpreviouslypublishedresults,we reject the hypothesis that the" non-Bantu" geneticcomponent reported inSouth-Eastern Africa (Mozambique) reflects extensive gene flow between incoming agriculturalist and resident hunter-gatherer communities.We alternatively suggest that this novel component is the result of demographic dynamics associated with the Bantu dispersal

    Whole mitochondrial DNA sequencing in Alpine populations and the genetic history of the Neolithic Tyrolean Iceman

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    The Tyrolean Iceman is an extraordinarily well-preserved natural mummy that lived south of the Alpine ridge ~5,200 years before present (ybp), during the Copper Age. Despite studies that have investigated his genetic profile, the relation of the Iceman´s maternal lineage with present-day mitochondrial variation remains elusive. Studies of the Iceman have shown that his mitochondrial DNA (mtDNA) belongs to a novel lineage of haplogroup K1 (K1f) not found in extant populations. We analyzed the complete mtDNA sequences of 42 haplogroup K bearing individuals from populations of the Eastern Italian Alps – putatively in genetic continuity with the Tyrolean Iceman—and compared his mitogenome with a large dataset of worldwide K1 sequences. Our results allow a re-definition of the K1 phylogeny and indicate that the K1f haplogroup is absent or rare in present-day populations. We suggest that mtDNA Iceman´s lineage could have disappeared during demographic events starting in Europe from ~5,000 ybp. Based on the comparison of our results with published data, we propose a scenario that could explain the apparent contrast between the phylogeographic features of maternal and paternal lineages of the Tyrolean Iceman within the context of the demographic dynamics happening in Europe from 8,000 ybp.This study was financed by the Provincia Autonoma di Bolzano – Alto Adige, Ripartizione Diritto allo studio, università e ricerca scientifica, funds to VCS
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