3,905 research outputs found

    Flexibility@Work 2013: yearly report on flexible labor and employment

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    There is no clear evidence that the strong growth in the share of flexible labor relations between 2002 and 2007 points at a worldwide trend towards a larger share of flexible labor at the expense of traditional open-ended labor contracts. The growth in flexible labor varies too much between countries and periods to draw such a conclusion. In most countries in Europe, in North America and Japan, the share of flexible labor has declined during the recent economic recession that started after 2007. There is also no structural trade-off between different forms of (formal) flexible labor. Observations in Europe suggest that growth or decline of different types of flexible labor can be attributed to changes in both local societal and economic structures and in institutions and legislation. Growth of flexible labor appears mainly in countries where the labor participation is increasing while it is declining where labor participation is relatively low or stagnating. This suggests an important role for flexible labor for new non-traditional labor market participants to enter the labor market. At the same time, there is a strong correlation between the share of flexible labor and economic growth, particularly with respect to fixed-term contracts and agency work. Flexible labor is the first form of employment effected by a decline in labor demand in an economic crisis, particularly when flexible workers are younger and lower educated. But at the same time, flexible work will be the first type of employment that recovers when the economy stabilizes after a crisis. The opportunity to offer flexible work may even accelerate economic growth. Therefore, a further growth in flexible work can be expected once the economies in most western countries start to grow significantly again. Agency work in particular has grown in nearly all markets over the last decade, which does indicate a structural component of growth of agency work in the modern labor market apart from the business cycle

    Resource partitioning among African savanna herbivores in North Cameroon: the importance of diet composition, food quality and body mass

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    The relationship between herbivore diet quality, and diet composition (the range of food plants consumed) and body mass on resource partitioning of herbivores remains the subject of an ongoing scientific debate. In this study we investigated the importance of diet composition and diet quality on resource partitioning among eight species of savanna herbivore in north Cameroon, with different body mass. Dung samples of four to seven wild herbivore and one domesticated species were collected in the field during the dry and wet period. Diet composition was based on microhistological examination of herbivore droppings, epidermis fragments were identified to genus or family level. In addition, the quality of the faecal droppings was determined in terms of phosphorus, nitrogen and fibre concentrations. The results showed that there was no significant correlation between body mass and (differences in) diet composition for wet and dry season. When all species are considered, only significant relationships are found by the Spearman rank correlation analyses during the wet season between body mass and phosphorus and nitrogen, but this relationship did not exist during the dry season. When the analyses focuses on ruminants only (thus leaving out hippo), none of the relationships between body mass and diet quality was significant in either season. During the dry season the proportion of graminoids ranged between 10% (small unidentified herbivore species) to 90% (hippopotamus), during the wet season this proportion ranged from 60% (zebu) to 90% (hippopotamus). All species but zebu had more graminoids in their dung during wet season compared with dry season. However all species but hartebeest had more graminoids old stems in their dung during the dry season, compared with the wet season. The niche breadth for food categories consumed by kob (0.300), hippo (0.090), hartebeest (0.350), roan (0.510) and zebu (0.300) was much greater in the dry season than in the wet season for kob (0.120), hippo (0.020), hartebeest (0.190), roan (0.090) and zebu (0.200). When looking at grass taxa consumed, the niche breadth of kob (0.220), hartebeest (0.140), and roan (0.250) was also greater in the dry season when compared with the wet season for kob (0.050), hartebeest (0.120) and roan (0.120). The opposite was found for zebu and hippo. Comparison of the species’ diet compositions with randomized data showed that dietary overlap between different herbivore species was much higher than what would be expected on the basis of chance, demonstrating surprisingly limited niche separation between species. This offers potential for competition, but it is more likely that the high niche overlap indicates absence of competition, due to low herbivore densities and abundant food resources, permitting species to share non-limiting resources. With increasing herbivore densities and subsequent increasing scarcity of resources, the relationship between diet quality and body mass in combination with increased niche separation is expected to become more visibl

    Spin-dependent transport in metal/semiconductor tunnel junctions

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    This paper describes a model as well as experiments on spin-polarized tunnelling with the aid of optical spin orientation. This involves tunnel junctions between a magnetic material and gallium arsenide (GaAs), where the latter is optically excited with circularly polarized light in order to generate spin-polarized carriers. A transport model is presented that takes account of carrier capture in the semiconductor surface states, and describes the semiconductor surface in terms of a spin-dependent energy distribution function. The so-called surface spin-splitting can be calculated from the balance of the polarized electron and hole flow in the semiconductor subsurface region, the polarized tunnelling current across the tunnel barrier between the magnetic material and the semiconductor surface, and the spin relaxation at the semiconductor surface. Measurements are presented of the circular-polarization-dependent photocurrent (the so-called helicity asymmetry) in thin-film tunnel junctions of Co/Al2O3/GaAs. In the absence of a tunnel barrier, the helicity asymmetry is caused by magneto-optical effects (magnetic circular dichroism). In the case where a tunnel barrier is present, the data cannot be explained by magneto-optical effects alone; the deviations provide evidence that spin-polarized tunnelling due to optical spin orientation occurs. In Co/τ-MnAl/AlAs/GaAs junctions no deviations from the magneto-optical effects are observed, most probably due to the weak spin polarization of τ-MnAl along the tunnelling direction; the latter is corroborated by bandstructure calculations. Finally, the application of photoexcited GaAs for spin-polarized tunnelling in a scanning tunnelling microscope is discussed.

    Validation of active forest fires detected by MSG-SEVIRI by means of MODIS hot spots and AWiFS images.

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    The detection of forest fires and the determination of their parameters have been usually carried out by polar-orbit sensors: AVHRR, (A)ATSR, BIRD and MODIS mainly. However, their time resolution prevents them from operating in real time. In contrast, the new geostationary sensors have very appropriate capacities for the observation of the Earth and monitoring of forest fires, as is being proved. GOES, MSG and MTSAT are already operative and they have led the international community to think that the global observation network in real time may become a reality. The implementation of this network is the aim of the Global Observations of Forest Cover and Land Cover Dynamics (GOFC/GOLD) FIRE Mapping and Monitoring program, focused internationally on taking decisions concerning the research of the Global Change. In this paper, the operation in real time by the MSG-SEVIRI sensor over the Iberian Peninsula is studied. On the other hand, the reliability of validation results by means of polar sensors, with better spatial resolution, is difficult to analyze due to errors caused by confused location of fires. This paper tries to find the most appropriate spatial scale to carry out comparison between Terra/Aqua-MODIS and Resourcesat1-AWiFS image

    Causal pathways linking environmental change with health behaviour change: Natural experimental study of new transport infrastructure and cycling to work.

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    BACKGROUND: Mechanisms linking changes to the environment with changes in physical activity are poorly understood. Insights into mechanisms of interventions can help strengthen causal attribution and improve understanding of divergent response patterns. We examined the causal pathways linking exposure to new transport infrastructure with changes in cycling to work. METHODS: We used baseline (2009) and follow-up (2012) data (N=469) from the Commuting and Health in Cambridge natural experimental study (Cambridge, UK). Exposure to new infrastructure in the form of the Cambridgeshire Guided Busway was defined using residential proximity. Mediators studied were changes in perceptions of the route to work, theory of planned behaviour constructs and self-reported use of the new infrastructure. Outcomes were modelled as an increase, decrease or no change in weekly cycle commuting time. We used regression analyses to identify combinations of mediators forming potential pathways between exposure and outcome. We then tested these pathways in a path model and stratified analyses by baseline level of active commuting. RESULTS: We identified changes in perceptions of the route to work, and use of the cycle path, as potential mediators. Of these potential mediators, only use of the path significantly explained (85%) the effect of the infrastructure in increasing cycling. Path use also explained a decrease in cycling among more active commuters. CONCLUSION: The findings strengthen the causal argument that changing the environment led to changes in health-related behaviour via use of the new infrastructure, but also show how some commuters may have spent less time cycling as a result.The Commuting and Health in Cambridge study was developed by David Ogilvie, Simon Griffin, Andy Jones and Roger Mackett and initially funded under the auspices of the Centre for Diet and Activity Research (CEDAR), a UKCRC Public Health Research Centre of Excellence. Funding from the British Heart Foundation, Economic and Social Research Council, Medical Research Council, National Institute for Health Research and the Wellcome Trust, under the auspices of the UK Clinical Research Collaboration, is gratefully acknowledged. The study was subsequently funded by the National Institute for Health Research Public Health Research programme (project number 09/3001/06). RP, SG and DO are supported by the Medical Research Council [Unit Programme number MC_UP_12015/6] and JP is supported by a National Institute for Health Research (NIHR) post-doctoral fellowship (PDF 2012-05-157). The views and opinions expressed herein are those of the authors and do not necessarily reflect those of the NIHR PHR programme or the Department of Health. The funders had no role in study design, data collection and analysis, the decision to publish, or the preparation of the manuscript. We thank all staff from the MRC Epidemiology Unit Functional Group Team, in particular for study coordination and data collection (led by Cheryl Chapman and Fiona Whittle) and data management. We also thank Alice Dalton for computing the proximity measures used in this analysis and Louise Foley for her contribution to preparing the questionnaire data for analysis.This is the final version of the article. It first appeared from Elsevier via http://dx.doi.org/10.1016/j.ypmed.2016.02.04

    Dependence of the Frequency of the Kilohertz Quasi-Periodic Oscillations on X-ray Count Rate and Colors in 4U 1608-52

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    We present new results based on observations carried out with the Rossi X-ray Timing Explorer during the decay of an outburst of the low-mass X-ray binary (LMXB) and atoll source 4U 1608-52. Our results appear to resolve, at least in 4U 1608-52, one of the long-standing issues about the phenomenology of the kilohertz quasi-periodic oscillations (kHz QPOs), namely, the lack of a unique relation between the frequency of the kHz QPOs and the X-ray flux. We show that despite its complex dependence on the X-ray flux, the frequency of the kHz QPOs is monotonically related to the position of the source in the color-color diagram. Our findings strengthen the idea that, as in the case of Z sources, in the atoll sources the X-ray flux is not a good indicator of M˙\dot M, and that the observed changes in the frequency of the kHz QPOs in LMXBs are driven by changes in M˙\dot M. These results raise some concern about the recently reported detection of the orbital frequency at the innermost stable orbit in 4U 1820-30.Comment: Accepted for publication in The Astrophysical Journal Letters. Uses AAS LaTex v4.0 (5 pages plus 4 postscript figures

    Fuel-Responsive Allosteric DNA-Based Aptamers for the Transient Release of ATP and Cocaine

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    We show herein that allostery offers a key strategy for the design of out-of-equilibrium systems by engineering allosteric DNA-based nanodevices for the transient loading and release of small organic molecules. To demonstrate the generality of our approach, we used two model DNA-based aptamers that bind ATP and cocaine through a target-induced conformational change. We re-engineered these aptamers so that their affinity towards their specific target is controlled by a DNA sequence acting as an allosteric inhibitor. The use of an enzyme that specifically cleaves the inhibitor only when it is bound to the aptamer generates a transient allosteric control that leads to the release of ATP or cocaine from the aptamers. Our approach confirms that the programmability and predictability of nucleic acids make synthetic DNA/RNA the perfect candidate material to re-engineer synthetic receptors that can undergo chemical fuel-triggered release of small-molecule cargoes and to rationally design non-equilibrium systems

    Droplet minimizers for the Gates-Lebowitz-Penrose free energy functional

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    We study the structure of the constrained minimizers of the Gates-Lebowitz-Penrose free-energy functional FGLP(m){\mathcal F}_{\rm GLP}(m), non-local functional of a density field m(x)m(x), xTLx\in {\mathcal T}_L, a dd-dimensional torus of side length LL. At low temperatures, FGLP{\mathcal F}_{\rm GLP} is not convex, and has two distinct global minimizers, corresponding to two equilibrium states. Here we constrain the average density L^{-d}\int_{{\cal T}_L}m(x)\dd x to be a fixed value nn between the densities in the two equilibrium states, but close to the low density equilibrium value. In this case, a "droplet" of the high density phase may or may not form in a background of the low density phase, depending on the values nn and LL. We determine the critical density for droplet formation, and the nature of the droplet, as a function of nn and LL. The relation between the free energy and the large deviations functional for a particle model with long-range Kac potentials, proven in some cases, and expected to be true in general, then provides information on the structure of typical microscopic configurations of the Gibbs measure when the range of the Kac potential is large enough

    Prognostic factors for important clinical outcomes in patients with a severe infection

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    Patients who are admitted with a suspicion of a severe infection usually enter the hospital through the emergency department (ED). The recognition of prognostic factors in an early stage affects further treatment and might improve clinical outcomes. WE EXAMINED POSSIBLE PROGNOSTIC FACTORS FOR FOUR IMPORTANT OUTCOMES: intensive care unit (ICU) admission, positive blood cultures, mortality and re-admission. All adult patients arriving at the ED with a suspected infection for whom admittance and intravenous (iv) antibiotics were indicated were included between March and December 2006. Possible prognostic variables were obtained from medical history, physical examination and laboratory results during the ED presentation. Data were analysed using logistic regression analysis. A total of 295 ED patients were evaluated, of whom 27 were referred to the ICU, 62 had a positive blood culture, 16 died and 48 were re-admitted. In multivariate analysis, patients with a respiration rate of >25/min were at higher risk for ICU admission. Patients with a positive blood culture had a higher heart rate and a higher percentage of segmented neutrophils. Patients who died during admission were more likely to be older, confused and had lower blood pressure. Patients who were re-admitted within 30 days were more likely to be male, younger and less likely to have a positive blood culture. Routine clinical and biochemical information can be used to predict ICU admission, the presence of bacteraemia, mortality and re-admission (within 30 days) and should be taken into consideration for treatment decision

    The Effect of Differing Fluid Replacement Strategies on Running Performance

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