87 research outputs found
Fatigue Behavior of a Zirconium-Based Bulk Metallic Glass
Although the mechanical behavior of Zr-based bulk metallic glasses (BMGs) has been studied, fatigue studies in controlled environments and testing conditions have not been adequately performed or understood. Early fatigue examinations of rectangular bar specimens tested in bending had resulted in fatigue strengths substantially lower than anticipated [1,2,3,4,5]. Preliminary work performed by Peter et al. and Wang et al. on uniaxial button-head specimens have yielded in very different fatigue behavior with fatigue-endurance limits comparable to conventional high-strength, crystalline alloys [6,7,8,9,10]. Between all S-N results studied, the fatigue-endurance limits for Zr-based BMGs have been observed to range from 150 MPa to 1 GPa [1,2,3,4,5,6,7,8,9,10]. Testing conditions, sample preparation, and the quality of the amorphous alloy may provide the understanding for this variability in fatigue behavior.
In the following thesis, several investigations were engaged to better understand changeability in the fatigue behavior of a Zr-based BMG, Zr52.5Al10Ti5Cu17.9Ni14.6 (at. %). The studies were primarily conducted to explain how the loading conditions, the sample preparation, the quality of the glass materials, the test environment, or the chemical composition affect the degradation behavior of BMGs. Fabrication, corrosion, metallography, and cyclic loading were types of investigations performed.
Fatigue testing was conducted in air and vacuum environments. By comparing the results, the environmental effects due to water vapor (in air) on the fatigue lifetime of BMG-11 were evaluated. It was concluded that water vapor does not have a detrimental effect on the fatigue lifetime of BMG-11. Indeed, the observed lifetimes in vacuum were shorter than those in air. Early fatigue tests in vacuum with and without the use of an ionization gauge seemed to indicate that the dissociation of the residual water vapor to atomic hydrogen in vacuum via a hot tungsten-filament ionization gauge could be a factor in the shorter fatigue lifetimes in vacuum than in air. Further testing has disproved this hypothesis. Closer examinations of the surface of multiple samples has led to the discovery of mechanical wear and fused copper (from copper grips) near the crack initiation site.
Because of the possible impact the ionization gauge may have had on the fatigue behavior of BMG-11, hydrogen-charged samples were tested in air and compared to uncharged samples in order to understand any detrimental effects hydrogen may have on the fatigue lifetime around the fatigue-endurance limit. Though the ionization gauge did not seem to play a detrimental role in the fatigue lifetime of amorphous samples tested in vacuum, charged hydrogen embrittles the material with increases in hardness values and lower fatigue lifetimes for cathodically-charged samples. These results could impact Zr-based BMGs’ usefulness in hydrogen-rich environments.
Fatigue studies were performed on button head, uniaxial specimens with different surface finishes in order to better understand the influence the average surface roughness and/or critical surface defects may have on the fatigue behavior. It was hypothesized that geometric, surface flaws could lower the observed life of a BMG sample by shortening the crack initiation phase and providing local stress concentrators. Careful studies of surface conditions indicate that fatigue-endurance limits are greatly impacted by the average surface roughness with possible reductions over fifty percent. Lastly, a rectangular bend-bar sample was finished with a coarse grit paper on the tension side of the sample, and observed for the location of crack initiation.
Four-point and three-point bending fatigue studies were conducted to observe the effect of variability in loading conditions versus uniaxial tension studies, and to observe any impact from testing volume on the fatigue life of BMG-11. Both, three point and four point bend results seemed to exhibit slightly better fatigue behavior compared to the uniaxial tests. However, little difference was observed between three-and four-point bending. These results are similar to those found with a preliminary study of uniaxial specimens with varying testing gauge lengths.
Lastly, a study was performed to better understand the effect crystallinity has on the fatigue behavior of Zr-based bulk metallic glasses. The crystalline phases of BMG-11 have an extremely low ultimate bending strength, around 100 MPa, and are very brittle. Any interfaces between crystalline impurities and the glassy matrix are prime locations for crack-initiation sites. A large volume fraction of crystallinity has been shown to dramatically lower the fatigue lifetime of a Zr-based BMG. This careful study of fatigue behavior leads to the conclusion that the detrimental effect crystallinity and geometrical surface defects have on the fatigue-endurance limit and the fatigue lifetime explain the variability in previously reported results
Mid-to Late Holocene East Antarctic ice-core tephrochronology : implications for reconstructing volcanic eruptions and assessing their climatic impacts over the last 5,500 years
PA and MS received funding from the European Research Council under the European Union's Horizon 2020 research and innovation programme (grant agreement no. 820047). WH is funded by a UKRI Future Leaders Fellowship (MR/S033505/1). Continuous analysis of the B53 and B54 cores for sulphur and insoluble particles was supported by internal funding from the Desert Research Institute, with partial support for interpretation provided by National Science Foundation grant 1925417 to JRM.Ice cores are powerful archives for reconstructing volcanism as they contain both soluble (i.e. aerosols) and insoluble (i.e. tephra) products of volcanic eruptions and for more recent periods have high-precision annually resolved chronologies. The identification and geochemical analysis of cryptotephra in these cores can provide their volcanic source and latitude of injection, complementing records of sulphur injections from volcanic eruptions developed using continuous flow ice-core analysis. Here, we aim to improve the volcanic record for the Southern Hemisphere using a sampling strategy for cryptotephra identification based on coeval deposition of sulphate and microparticles in ice cores from the interior of East Antarctica covering the Mid-to Late Holocene. In total, 15 cryptotephras and one visible horizon were identified and geochemically characterised. Through comparisons to proximal deposits a range of possible sources were isolated for these horizons including the South Sandwich Islands, South Shetland Islands, Victoria Land (Antarctica) and South America. This new tephra framework contributes to the volcanic history of the region by extending the known geographical range of tephra deposition for previously identified events and providing a potential indication of phases of eruptive activity from key sources. Using the tephra-based source attributions and comparison of the timing of the events to a database of sulphur injections from Holocene volcanic eruptions it is possible to refine injection latitudes for some events, which can lead to improved estimates of their radiative forcing potential. The relatively low magnitude of the volcanic stratospheric sulphur injections related to the events in the tephra framework indicates they would have had a limited impact on Southern Hemisphere climate. Further work is required to improve source attributions for some events and/or to determine the magnitude of sulphur injections for individual events during years when coeval eruptions occurred. One limitation of the framework is the dominance of cryptotephra from regional volcanic sources and a lack of tephra from tropical sources, which hampers the refinement of eruption parameters for these large magnitude and often climate-impacting eruptions. This issue could be explored further through increased sampling of these events and/or development of additional analytical techniques for the identification and robust geochemical analysis of glass tephra shards less than 5 μm in diameter. Such investigations could be coupled with model experiments to determine the likelihood that past tropical eruptions deposited glass tephra shards over Antarctica and the potential size range and geographical spread of deposition.Peer reviewe
Gas emissions and subsurface architecture of fault-controlled geothermal systems : a case study of the North Abaya geothermal area
Funding: W. Hutchison is funded by a UKRI Future Leaders Fellowship (MR/S033505/1). E.R.D. Ogilvie was supported by a St Andrews Research Internship Scheme (StARIS) grant from the University of St Andrews.East Africa hosts significant reserves of untapped geothermal energy. Exploration has focused on geologically young (<1 Ma) silicic calderas, yet there are many sites of geothermal potential where there is no clear link to an active volcano. The origin and architecture of these systems are poorly understood. Here, we combine remote sensing and field observations to investigate a fault-controlled geothermal play located north of Lake Abaya in the Main Ethiopian Rift. Soil gas CO2 and temperature surveys were used to examine permeable pathways and showed elevated values along a ∼110 m high fault, which marks the western edge of the Abaya graben. Ground temperatures are particularly elevated where multiple intersecting faults form a wedged horst structure. This illustrates that both deep penetrating graben bounding faults and near-surface fault intersections control the ascent of hydrothermal fluids and gases. Total CO2 emissions along the graben fault are ∼300 t d−1; a value comparable to the total CO2 emission from silicic caldera volcanoes. Fumarole gases show δ13C of −6.4‰ to −3.8‰ and air-corrected 3He/4He values of 3.84–4.11 RA, indicating a magmatic source originating from an admixture of upper mantle and crustal helium. Although our model of the North Abaya geothermal system requires a deep intrusive heat source, we find no ground deformation evidence for volcanic unrest or recent volcanism along the graben fault. This represents a key advantage over the active silicic calderas that typically host these resources and suggests that fault-controlled geothermal systems offer viable prospects for geothermal exploration.Publisher PDFPeer reviewe
What works in conservation? Using expert assessment of summarised evidence to identify practices that enhance natural pest control in agriculture.
This paper documents an exercise to synthesize and assess the best available scientific knowledge on the effectiveness of different farm practices at enhancing natural pest regulation in agriculture. It demonstrates a novel combination of three approaches to evidence synthesis-systematic literature search, collated synopsis and evidence assessment using an expert panel. These approaches follow a logical sequence moving from a large volume of disparate evidence to a simple, easily understandable answer for use in policy or practice. The example of natural pest regulation in agriculture was selected as a case study within two independent science-policy interface projects, one European and one British. A third funder, a private business, supported the final stage to translate the synthesized findings into a useful, simplified output for agronomists. As a whole, the case study showcases how a network of scientific knowledge holders and knowledge users can work together to improve the use of science in policy and practice. The process identified five practices with good evidence of a benefit to natural pest regulation, with the most beneficial being 'Combine trap and repellent crops in a push-pull system'. It highlights knowledge gaps, or potential research priorities, by showing practices considered important by stakeholders for which there is not enough evidence to make an assessment of effects on natural pest regulation, including 'Alter the timing of pesticide application.' Finally, the process identifies several important practices where the volume of evidence of effects on natural pest regulation was too large (>300 experimental studies) to be summarised with the resources available, and for which focused systematic reviews may be the best approach. These very well studied practices include 'Reduce tillage' and 'Plant more than one crop per field'.Elements of this work were funded by the European Commission under its 7th framework programme (BiodiversityKnowledge project, Grant number: 265299), the Natural Environment Research Council (NERC)'s Knowledge Exchange Programme on Sustainable Food Production (Grant code: NE/K001191/1) and Waitrose plc. L.V.D is funded by NERC under the Biodiversity and Ecosystem Service Sustainability (BESS) Programme (Grant code: NE/K015419/1).This is the author accepted manuscript. It is currently under an indefinite embargo pending publication by Springer
Clinical diagnosis of TIA or minor stroke and prognosis in patients with neurological symptoms::A rapid access clinic cohort
<div><p>Background</p><p>The long-term risk of stroke or myocardial infarction (MI) in patients with minor neurological symptoms who are not clinically diagnosed with transient ischaemic attack (TIA) or minor stroke is uncertain.</p><p>Methods</p><p>We used data from a rapid access clinic for patients with suspected TIA or minor stroke and follow-up from four overlapping data sources for a diagnosis of ischaemic or haemorrhagic stroke, MI, major haemorrhage and death. We identified patients with and without a clinical diagnosis of TIA or minor stroke. We estimated hazard ratios of stroke, MI, major haemorrhage and death in early and late time periods.</p><p>Results</p><p>5,997 patients were seen from 2005–2013, who were diagnosed with TIA or minor stroke (n = 3604, 60%) or with other diagnoses (n = 2392, 40%). By 5 years the proportion of patients who had a subsequent ischaemic stroke or MI, in patients with a clinical diagnosis of minor stroke or TIA was 19% [95% confidence interval (CI): 17–20%], and in patients with other diagnoses was 10% (95%CI: 8–15%). Patients with clinical diagnosis of TIA or minor stroke had three times the hazard of stroke or MI compared to patients with other diagnoses [hazard ratio (HR)2.83 95%CI:2.13–3.76, adjusted age and sex] by 90 days post-event; however from 90 days to end of follow up, this difference was attenuated (HR 1.52, 95%CI:1.25–1.86). Older patients and those who had a history of vascular disease had a high risk of stroke or MI, whether or not they were diagnosed with minor stroke or TIA.</p><p>Conclusions</p><p>Careful attention to vascular risk factors in patients presenting with transient or minor neurological symptoms not thought to be due to stroke or TIA is justified, particularly those who are older or have a history of vascular disease.</p></div
Effects of antiplatelet therapy on stroke risk by brain imaging features of intracerebral haemorrhage and cerebral small vessel diseases: subgroup analyses of the RESTART randomised, open-label trial
Background
Findings from the RESTART trial suggest that starting antiplatelet therapy might reduce the risk of recurrent symptomatic intracerebral haemorrhage compared with avoiding antiplatelet therapy. Brain imaging features of intracerebral haemorrhage and cerebral small vessel diseases (such as cerebral microbleeds) are associated with greater risks of recurrent intracerebral haemorrhage. We did subgroup analyses of the RESTART trial to explore whether these brain imaging features modify the effects of antiplatelet therapy
An evaluation of gender equity in different models of primary care practices in Ontario
Background: The World Health Organization calls for more work evaluating the effect of health care reforms on
gender equity in developed countries. We performed this evaluation in Ontario, Canada where primary care
models resulting from reforms co-exist. // Methods: This cross sectional study of primary care practices uses data collected in 2005-2006. Healthcare service models included in the study consist of fee for service (FFS) based, salaried, and capitation based. We compared the quality of care delivered to women and men in practices of each model. We performed multi-level, multivariate regressions adjusting for patient socio-demographic and economic factors to evaluate vertical equity, and adjusting for these and health factors in evaluating horizontal equity. We measured seven dimensions of health service delivery (e.g. accessibility and continuity) and three dimensions of quality of care using patient surveys (n = 5,361) and chart abstractions (n = 4,108). // Results: Health service delivery measures were comparable in women and men, with differences ≤ 2.2% in all seven dimensions and in all models. Significant gender differences in the health promotion subjects addressed were observed. Female specific preventive manoeuvres were more likely to be performed than other preventive care. Men attending FFS practices were more likely to receive influenza immunization than women (Adjusted odds ratio: 1.75, 95% confidence intervals (CI) 1.05, 2.92). There was no difference in the other three prevention indicators. FFS practices were also more likely to provide recommended care for chronic diseases to men than women (Adjusted difference of -11.2%, CI -21.7, -0.8). A similar trend was observed in Community Health Centers (CHC). // Conclusions: The observed differences in the type of health promotion subjects discussed are likely an appropriate response to the differential healthcare needs between genders. Chronic disease care is non equitable in FFS but not in capitation based models. We recommend that efforts to monitor and address gender based differences in the delivery of chronic disease management in primary care be pursued.Funding for the original study on which this research is based was provided by the Ontario Ministry of Health and Long Term Care Primary Health Care Transition Fund. The views expressed in this report are the views of the authors and do not necessarily reflect those of the Ontario Ministry of Health and Long Term Care
The harlequin ladybird, Harmonia axyridis: global perspectives on invasion history and ecology
The harlequin ladybird, Harmonia axyridis (Pallas) (Coleoptera: Coccinellidae), is native to Asia but has been intentionally introduced to many countries as a biological control agent of pest insects. In numerous countries, however, it has been introduced unintentionally. The dramatic spread of H. axyridis within many countries has been met with considerable trepidation. It is a generalist top predator, able to thrive in many habitats and across wide climatic conditions. It poses a threat to biodiversity, particularly aphidophagous insects, through competition and predation, and in many countries adverse effects have been reported on other species, particularly coccinellids. However, the patterns are not consistent around the world and seem to be affected by many factors including landscape and climate. Research on H. axyridis has provided detailed insights into invasion biology from broad patterns and processes to approaches in surveillance and monitoring. An impressive number of studies on this alien species have provided mechanistic evidence alongside models explaining large-scale patterns and processes. The involvement of citizens in monitoring this species in a number of countries around the world is inspiring and has provided data on scales that would be otherwise unachievable. Harmonia axyridis has successfully been used as a model invasive alien species and has been the inspiration for global collaborations at various scales. There is considerable scope to expand the research and associated collaborations, particularly to increase the breadth of parallel studies conducted in the native and invaded regions. Indeed a qualitative comparison of biological traits across the native and invaded range suggests that there are differences which ultimately could influence the population dynamics of this invader. Here we provide an overview of the invasion history and ecology of H. axyridis globally with consideration of future research perspectives. We reflect broadly on the contributions of such research to our understanding of invasion biology while also informing policy and people
Hyperoxemia and excess oxygen use in early acute respiratory distress syndrome : Insights from the LUNG SAFE study
Publisher Copyright: © 2020 The Author(s). Copyright: Copyright 2020 Elsevier B.V., All rights reserved.Background: Concerns exist regarding the prevalence and impact of unnecessary oxygen use in patients with acute respiratory distress syndrome (ARDS). We examined this issue in patients with ARDS enrolled in the Large observational study to UNderstand the Global impact of Severe Acute respiratory FailurE (LUNG SAFE) study. Methods: In this secondary analysis of the LUNG SAFE study, we wished to determine the prevalence and the outcomes associated with hyperoxemia on day 1, sustained hyperoxemia, and excessive oxygen use in patients with early ARDS. Patients who fulfilled criteria of ARDS on day 1 and day 2 of acute hypoxemic respiratory failure were categorized based on the presence of hyperoxemia (PaO2 > 100 mmHg) on day 1, sustained (i.e., present on day 1 and day 2) hyperoxemia, or excessive oxygen use (FIO2 ≥ 0.60 during hyperoxemia). Results: Of 2005 patients that met the inclusion criteria, 131 (6.5%) were hypoxemic (PaO2 < 55 mmHg), 607 (30%) had hyperoxemia on day 1, and 250 (12%) had sustained hyperoxemia. Excess FIO2 use occurred in 400 (66%) out of 607 patients with hyperoxemia. Excess FIO2 use decreased from day 1 to day 2 of ARDS, with most hyperoxemic patients on day 2 receiving relatively low FIO2. Multivariate analyses found no independent relationship between day 1 hyperoxemia, sustained hyperoxemia, or excess FIO2 use and adverse clinical outcomes. Mortality was 42% in patients with excess FIO2 use, compared to 39% in a propensity-matched sample of normoxemic (PaO2 55-100 mmHg) patients (P = 0.47). Conclusions: Hyperoxemia and excess oxygen use are both prevalent in early ARDS but are most often non-sustained. No relationship was found between hyperoxemia or excessive oxygen use and patient outcome in this cohort. Trial registration: LUNG-SAFE is registered with ClinicalTrials.gov, NCT02010073publishersversionPeer reviewe
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