769 research outputs found

    Absolute Calibration of a 200 MeV Proton Polarimeter for Use with the Brookhaven Linac

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    This work was supported by the National Science Foundation Grant NSF PHY 81-14339 and by Indiana Universit

    A review of the effects of wind on the movement, behavior, energetics, and life history of seabirds

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    For decades, studies have highlighted links between wind patterns and the behavior, ecology, distribution, energetics and life history of seabirds. However, only relatively recently have advancements in tracking technologies and improvements in the resolution of globally available wind data allowed wind impacts on seabirds to be quantified across multiple spatiotemporal scales. Here, we review and synthesize current knowledge of the effects of wind on seabirds. We first describe global patterns of wind circulation and relevant atmospheric processes and discuss the relationship between seabird morphology, flight performance and behavior relative to wind. We then develop a conceptual model linking seabird movement strategies to wind, morphology, flight capabilities and central-place constraint. Finally, we examine how wind influences seabird populations via effects on flight efficiency and energetics, and wind impacts associated with climate variability and severe weather. We conclude by highlighting research priorities for advancing our understanding of the effects of wind on seabird ecology and behavior; these include assessing how and to what extent seabirds use ocean waves for efficient flight, understanding how seabirds sense and anticipate wind patterns, and examining how wind has shaped seabird evolution. Future research should also focus on assessing how wind modulates habitat accessibility, and how this knowledge could be incorporated into theory of seabird habitat use. Moreover, approaches that focus on mechanistic links between climate, wind and demography are needed to assess population-level effects, and will be imperative to understanding how seabirds may be impacted by climate-driven changes to wind patterns

    Moving Atom-Field Interaction: Correction to Casimir-Polder Effect from Coherent Back-action

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    The Casimir-Polder force is an attractive force between a polarizable atom and a conducting or dielectric boundary. Its original computation was in terms of the Lamb shift of the atomic ground state in an electromagnetic field (EMF) modified by boundary conditions along the wall and assuming a stationary atom. We calculate the corrections to this force due to a moving atom, demanding maximal preservation of entanglement generated by the moving atom-conducting wall system. We do this by using non-perturbative path integral techniques which allow for coherent back-action and thus can treat non-Markovian processes. We recompute the atom-wall force for a conducting boundary by allowing the bare atom-EMF ground state to evolve (or self-dress) into the interacting ground state. We find a clear distinction between the cases of stationary and adiabatic motions. Our result for the retardation correction for adiabatic motion is up to twice as much as that computed for stationary atoms. We give physical interpretations of both the stationary and adiabatic atom-wall forces in terms of alteration of the virtual photon cloud surrounding the atom by the wall and the Doppler effect.Comment: 16 pages, 2 figures, clarified discussions; to appear in Phys. Rev.

    A novel D2O tracer method to quantify RNA turnover as a biomarker of de novo ribosomal biogenesis, in vitro, in animal models, and in human skeletal muscle

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    Current methods to quantify in vivo RNA dynamics are limited. Here, we developed a novel stable isotope (D2O) methodology to quantify RNA synthesis (i.e., ribosomal biogenesis) in cells, animal models, and humans. First, proliferating C2C12 cells were incubated in D2O-enriched media and myotubes ±50 ng/ml IGF-I. Second, rat quadriceps (untrained, n = 9; 7-wk interval-“like” training, n = 13) were collected after ~3-wk D2O (70 atom %) administration, with body-water enrichment monitored via blood sampling. Finally, 10 (23 ± 1 yr) men consumed 150-ml D2O followed by 50 ml/wk and undertook 6-wk resistance exercise (6 × 8 repetitions, 75% 1-repetition maximum 3/wk) with body-water enrichment monitored by saliva sampling and muscle biopsies (for determination of RNA synthesis) at 0, 3, and 6 wk. Ribose mole percent excess (r-MPE) from purine nucleotides was analyzed via GC-MS/MS. Proliferating C2C12 cell r-MPE exhibited a rise to plateau, whereas IGF-I increased myotube RNA from 76 ± 3 to 123 ± 3 ng/ÎŒl and r-MPE by 0.39 ± 0.1% (both P < 0.01). After 3 wk, rat quadriceps r-MPE had increased to 0.25 ± 0.01% (P < 0.01) and was greater with running exercise (0.36 ± 0.02%; P < 0.01). Human muscle r-MPE increased to 0.06 ± 0.01 and 0.13 ± 0.02% at 3/6 wk, respectively, equating to synthesis rates of ~0.8%/day, increasing with resistance exercise to 1.7 ± 0.3%/day (P < 0.01) and 1.2 ± 0.1%/day (P < 0.05) at 3/6 wk, respectively. Therefore, we have developed and physiologically validated a novel technique to explore ribosomal biogenesis in a multimodal fashion

    Geometric Computations on Indecisive Points

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    Semilattices of groups and nonstable K-theory of extended Cuntz limits

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    We give an elementary characterization of those abelian monoidsM that are direct limits of countable sequences of finite direct sums of monoids of the form either (Z/nZ) ⊔ {0} or Z ⊔ {0}. This characterization involves the Riesz refinement property together with lattice-theoretical properties of the collection of all subgroups of M (viewed as a semigroup), and it makes it pos- sible to express M as a certain submonoid of a direct product ×G, where is a distributive semilattice with zero and G is an abelian group. When applied to the monoids V (A) appearing in the nonstable K-theory of C*-algebras, our results yield a full description of V (A) for C*-inductive limits A of finite sums of full matrix algebras over either Cuntz algebras On, where 2 ≀ n < ∞, or corners of O1 by projections, thus extending to the case including O1 earlier work by the authors together with K.R. Goodearl

    Niche partitioning by three Pterodroma petrel species during non-breeding in the equatorial Pacific Ocean

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    Niche divergence is expected for species that compete for shared resources, including migrants that occupy similar regions during the non-breeding season. Studies of temperate seabirds indicate that both spatial and behavioural segregation can be important mechanisms for reducing competition, but there have been few investigations of resource partitioning by closely related taxa in low productivity, tropical environments. We investigated niche partitioning in 3 gadfly petrel taxa, Pterodroma leucoptera leucoptera (n = 22), P. leucoptera caledonica (n = 7) and P. pycrofti (n = 12), during their non-breeding season in the eastern tropical Pacific Ocean by combining tracking data from geolocator-immersion loggers with remotely sensed environmental data in species distribution models (SDMs), and by comparing feather stable isotope ratios. The 3 taxa showed spatial partitioning: two foraged in the North Equatorial Counter Current and one in the South Equatorial Current. This reflected differences in their realised habitat niches, with significant taxon-specific responses to thermocline depth, sea surface temperature and bathymetry. There were also differences among taxa in activity patterns, and all birds spent a much larger proportion of time in flight at night than during the day, suggesting predominance of nocturnal foraging behaviour. Comparison of stable isotope ratios in feathers suggests that P. l. leucoptera and P. pycrofti mainly consume vertically migrating mesopelagic fishes, whereas the diet of P. l. caledonica also includes some lower trophic levels including crustaceans and squid. Unique insights can be gained from studies of the foraging ecology of tropical pelagic seabirds, in comparison with temperate and polar waters, and are urgently required for understanding and protecting tropical avifauna in key marine habitats

    Predictors of Virologic Failure in HIV/AIDS Patients Treated with Highly Active Antiretroviral Therapy in Brasília, Brazil During 2002–2008

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    Little data exists concerning the efficacy of the antiretroviral therapy in the Federal District in Brazil, therefore in order to improve HIV/AIDS patients’ therapy and to pinpoint hot spots in the treatment, this research work was conducted. Of 139 HIV/AIDS patients submitted to the highly active antiretroviral therapy, 12.2% failed virologically. The significant associated factors related to unresponsiveness to the lentiviral treatment were: patients’ place of origin (OR = 3.28; IC95% = 1.0–9.73; P = 0.032) and Mycobacterium tuberculosis infection (RR = 2.90; IC95% = 1.19–7.02; P = 0.019). In the logistic regression analysis, the remaining variables in the model were: patients’ birthplace (OR = 3.28; IC95% = 1.10–9.73; P = 0.032) and tuberculosis comorbidity (OR = 3.82; IC95% = 1.19–12.22; P = 0.024). The patients enrolled in this survey had an 88.0% therapeutic success rate for the maximum period of one year of treatment, predicting that T CD4+ low values and elevated viral loads at pretreatment should be particularly considered in tuberculosis coinfection, besides the availability of new antiretroviral drugs displaying optimal activity both in viral suppression and immunological reconstitution
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