346 research outputs found
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Impact of spatial, spectral, and radiometric properties of multispectral imagers on glacier surface classification
Using multispectral remote sensing, glacier surfaces can be classified into a range of zones. The properties of these classes are used for a range of glaciological applications including mass balance measurements, glacial hydrology, and melt modelling. However, it is not immediately evident that multispectral data should be optimal for imaging glaciers and ice caps. Thus, this investigation takes an inverse perspective. Taking into account spectral and radiometric properties, in situ spectral reflectance data were used to simulate glacier surface response for a suite of multispectral sensors. Sensor-simulated data were classified and compared. In addition, airborne multispectral imagery was classified for a range of spatial resolutions and intercompared in three different ways. In these analyses, the most important property which determined the suitability of a multispectral imager for glacier surface classification was its radiometric range (i.e. gain settings). Low resolution imagery (250. m. pixels) is too coarse to represent the true complexity present on a glacier while medium resolution imagery (60. m, 30. m, or 20. m) accurately represented the results derived from high resolution airborne imagery. Of those studied here, the satellite imagers currently in use that are most suitable for glacier surface classification are Landsat TM/ETM. + and ASTER (each with particular gain settings). Both Sentinel-2 and the OLI on Landsat 8 are also expected to be similarly qualified. Landsat MSS is also found to be radiometrically well-suited for glacier surface classification, but its lower spatial resolution makes it a secondary selection. © 2013 Elsevier Inc.A. Pope was supported by the National Science Foundation Graduate Research Fellowship Programme under Grant No. DGE-1038596. Further research support came from UK Natural Environment Research Council's Field Spectroscopy Facility, ARCFAC (the European Centre for Arctic Environmental Research), Trinity College Cambridge, Sigma Xi, the Norwegian Marshall Fund, the Explorers Club, the National Geographic Society Young Explorers Program, the Scott Polar Research Institute, the Cambridge University Geography Department, the Cambridge University Department of Anglo-Saxon, Norse, and Celtic Studies, and the Cambridge University Worts Fund
Climate change in the Kola Peninsula, Arctic Russia, during the last 50 years from meteorological observations
Abstract
The authors provide a detailed climatology and evaluation of recent climate change in the Kola Peninsula, Arctic Russia, a region influenced by both the North Atlantic and Arctic Oceans. The analysis is based on 50 years of monthly surface air temperature (SAT), precipitation (PPN), and sea level pressure (SLP) data from 10 meteorological stations for 1966–2015. Regional mean annual SAT is ~0°C: the moderating effect of the ocean is such that coastal (inland) stations have a positive (negative) value. Examined mean annual PPN totals rise from ~430 mm in the northeast of the region to ~600 mm in the west. Annual SAT in the Kola Peninsula has increased by 2.3° ± 1.0°C over the past 50 years. Seasonally, statistically significant warming has taken place in spring and fall, although the largest trend has occurred in winter. Although there has been no significant change in annual PPN, spring has become significantly wetter and fall drier. The former is associated with the only significant seasonal SLP trend (decrease). A positive winter North Atlantic Oscillation (NAO) index is generally associated with a warmer and wetter Kola Peninsula whereas a positive Siberian high (SH) index has the opposite impact. The relationship between both the NAO and SH and the SAT is broadly coherent across the region whereas their relationship with PPN varies markedly, although none of the relationships is temporally invariant. Reduced sea ice in the Barents and White Seas and associated circulation changes are likely to be the principal drivers behind the observed changes.We thank Valery Demin for supplying the SAT and PPN data for Lovozero prior to 1985. In addition, we thank the staff at the various data portals described in Section 3 for their time and effort in making the data available. GJM is supported by the UK Natural Environment Research Council (NERC) through the British Antarctic Survey research program Polar Science for Planet Earth. RMV is funded by NERC PhD studentship NE/L002507/1.This is the author accepted manuscript. It first appeared from the American Meteorological Society at http://dx.doi.org/10.1175/JCLI-D-16-0179.1
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Do livelihood typologies influence local perceptions of forest cover change? Evidence from a tropical forested and non-forested rural landscape in western Uganda
© 2016 Elsevier LtdValidation of scientific findings from satellite remote sensing against local ecological knowledge could make the interpretation of forest cover patterns more robust. In this paper, we examine local perceptions of forest cover change in parishes around Budongo and Bugoma for a 30-year period (1985–2014), compare the results with those obtained from remote sensing (Twongyirwe et al., 2015), and interrogate whether the perceptions could be related to livelihood typologies. First, we characterise household strategies for the entire landscape to place livelihood strategies of communities in deforestated areas in a broader local context. An in-depth questionnaire was administered to 706 households in 13 parishes situated in 4 Agro-Ecological Zones (AEZs). The data included household demographic characteristics, energy use, cropping and livestock husbandry, and seasonal time- and labour-budgets. Principal Components Analysis (PCA) and Cluster Analysis (CA) were employed to help identify dominant structures in the data. Secondly, the 375 households in 7 parishes around Budongo and Bugoma forests (part of the 706) responded to additional questions that sought their perceptions on the forest cover trend. The PCA results for the entire landscape show that significant variation amongst households is mainly related to the cultivation time input, on-farm income particularly from cropping activities, livestock husbandry, demographic characteristics, agricultural extension activities, and cultivation labour input. Hierarchical CA shows that households at the landscape level fall into about nine different types, with variation in spatial distribution. The analysis suggests that poor households do live near forested regions, and that the rural poor are more reliant on forest products than peri-urban populations. Regarding perceptions of forest cover change, the majority (70.1%: n = 375) of the respondents in the parishes think that there has been a decline in forest cover, and this percentage is larger than the percentage of non-respondents (18.9%), those that thought it had increased (5.6%), not changed (3.7%), and those that did not know (1.6%). In addition, perceptions on forest change were significantly related to the household livelihood typologies (X2 = 623.4, df = 4, p = 0.000): respondents who perceived forest cover as having declined and those that provided no response belonged to cluster 2 (“low income mixed farming households”), which is also the dominant livelihood typology around these forests. While the data largely suggest that there is a remarkable agreement between remote sensing results and local knowledge on forest change, and that local people may play a big role in filling data gaps where a dearth of information is prevalent (or where remote sensing evidence is fuzzy), there is a clear signal that people in different social classes and age groups can have very different views on what the change in forest cover might be despite what the remote sensing data show. This might have policy implications if decision makers tend to come from the groups that are not likely to have perceived forest cover change, or base their judgement on views from certain social classes. This implies that it is important to have the remote sensing data available as a counter balance to local perception (and vice versa) and therefore these data should be considered concurrently
What colour is penguin guano?
The identification and quantification of Antarctic Pygoscelis penguin colonies depends increasingly on recognition of the characteristic optical properties of guano deposits, but almost all knowledge of these properties until now has been compromised by resolution and atmospheric propagation effects. Here we present hyperspectral reflectance data in the range 350–2500 nm, collected in situ from fresh guano deposits in Pygoscelis penguin colonies on Signy Island, South Orkney Islands. The period of data collection included the transition from predominantly white guano to the pink coloration characteristic of a krill-rich diet. The main identifiable features in the spectra are a broad absorption feature centred around 550 nm, responsible for the pink coloration and identified with the pigment astaxanthin, as well as several water absorption features. Variations in these features are responsible for differentiation between spectra. From these results we propose two spectral indices suitable for use with satellite data, one of which responds to the presence of astaxanthin in the guano and the other to water. Our results do not allow us to differentiate between penguin species from their guano, but do suggest that the breeding phenology of Pygoscelis penguins could be determined from a time series of multispectral imagery.The fieldwork necessary for this work was supported by BAS through a Collaborative Gearing Scheme award CGS-97 to W.G. Rees and P.N. Trathan, and the ASD FieldSpec Pro was made available through an award (ref. 696.0614) from the UK NERC Field Spectroscopy Facility. We acknowledge with gratitude the support and companionship of the entire staff of the BAS research station at Signy, and especially of M. Jobson, the Base Commander. J.A. Brown is supported by a NERC PhD studentship NE/L501633/1
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Spectral reflectance of whale skin above the sea surface: a proposed measurement protocol
Great whales have been detected using very-high-resolution satellite imagery, suggesting this technology could be used to monitor whales in remote areas. However, the application of this method to whale studies is at an early developmental stage and several technical factors need to be addressed, including capacity for species differentiation and the maximum depth of detection in the water column. Both require knowledge of the spectral reflectance of the various whale species just above the sea surface, as when whales bodies break the surface of the water to breath, log or breach, there is, theoretically, no sea water between the whale’s skin and the satellite sensor. Here we tested whether such reflectance could be measured on dead whale tissue. We measured the spectral reflectance of fresh integument collected during the bowhead subsistence harvest, and of thawed integument samples from various species obtained following strandings and stored at -20°C. We show that fresh and thawed samples of whale integument have different spectral properties. The reflectance of fresh samples was higher than the reflectance of thawed samples, as integument appears to darken after death and with time, even under frozen conditions. In this study, we present the first whale reflectance estimates (without the influence of sea water and for dead tissue). These provide a baseline for additional work, needed to advance the use of satellite imagery to monitor whales and facilitate their conservation.MAVA Foundation, B B Roberts Fund, Cambridge Philosophical Society, Prescott Stranding Grants
What parathyroid hormone levels should we aim for in children with stage 5 chronic kidney disease; what is the evidence?
The bone disease that occurs as a result of chronic kidney disease (CKD) is not only debilitating but also linked to poor growth and cardiovascular disease. It is suspected that abnormal bone turnover is the main culprit for these poor outcomes. Plasma parathyroid hormone (PTH) levels are used as a surrogate marker of bone turnover, and there is a small number of studies in children that have attempted to identify the range of PTH levels that correlates with normal bone histology. It is clear that high PTH levels are associated with high bone turnover, although the range is wide. However, the ability of PTH levels to distinguish between low and normal bone turnover is less clear. This is an important issue, because current guidelines for calcium and phosphate management are based upon there being an “optimum” range for PTH. This editorial takes a critical look at the evidence upon which these recommendations are based
The data paper: a mechanism to incentivize data publishing in biodiversity science
<p/> <p>Background</p> <p>Free and open access to primary biodiversity data is essential for informed decision-making to achieve conservation of biodiversity and sustainable development. However, primary biodiversity data are neither easily accessible nor discoverable. Among several impediments, one is a lack of incentives to data publishers for publishing of their data resources. One such mechanism currently lacking is recognition through conventional scholarly publication of enriched metadata, which should ensure rapid discovery of 'fit-for-use' biodiversity data resources.</p> <p>Discussion</p> <p>We review the state of the art of data discovery options and the mechanisms in place for incentivizing data publishers efforts towards easy, efficient and enhanced publishing, dissemination, sharing and re-use of biodiversity data. We propose the establishment of the 'biodiversity data paper' as one possible mechanism to offer scholarly recognition for efforts and investment by data publishers in authoring rich metadata and publishing them as citable academic papers. While detailing the benefits to data publishers, we describe the objectives, work flow and outcomes of the pilot project commissioned by the Global Biodiversity Information Facility in collaboration with scholarly publishers and pioneered by Pensoft Publishers through its journals <it>Zookeys</it>, <it>PhytoKeys</it>, <it>MycoKeys</it>, <it>BioRisk</it>, <it>NeoBiota</it>, <it>Nature Conservation</it> and the forthcoming <it>Biodiversity Data Journal</it>. We then debate further enhancements of the data paper beyond the pilot project and attempt to forecast the future uptake of data papers as an incentivization mechanism by the stakeholder communities.</p> <p>Conclusions</p> <p>We believe that in addition to recognition for those involved in the data publishing enterprise, data papers will also expedite publishing of fit-for-use biodiversity data resources. However, uptake and establishment of the data paper as a potential mechanism of scholarly recognition requires a high degree of commitment and investment by the cross-sectional stakeholder communities.</p
Phenylthiourea Specifically Reduces Zebrafish Eye Size
Phenylthiourea (PTU) is commonly used for inhibiting melanization of zebrafish embryos. In this study, the standard treatment with 0.2 mM PTU was demonstrated to specifically reduce eye size in larval fish starting at three days post-fertilization. This effect is likely the result of a reduction in retinal and lens size of PTU-treated eyes and is not related to melanization inhibition. This is because the eye size of tyr, a genetic mutant of tyrosinase whose activity is inhibited in PTU treatment, was not reduced. As PTU contains a thiocarbamide group which is presented in many goitrogens, suppressing thyroid hormone production is a possible mechanism by which PTU treatment may reduce eye size. Despite the fact that thyroxine level was found to be reduced in PTU-treated larvae, thyroid hormone supplements did not rescue the eye size reduction. Instead, treating embryos with six goitrogens, including inhibitors of thyroid peroxidase (TPO) and sodium-iodide symporter (NIS), suggested an alternative possibility. Specifically, three TPO inhibitors, including those that do not possess thiocarbamide, specifically reduced eye size; whereas none of the NIS inhibitors could elicit this effect. These observations indicate that TPO inhibition rather than a general suppression of thyroid hormone synthesis is likely the underlying cause of PTU-induced eye size reduction. Furthermore, the tissue-specific effect of PTU treatment might be mediated by an eye-specific TPO expression. Compared with treatment with other tyrosinase inhibitors or bleaching to remove melanization, PTU treatment remains the most effective approach. Thus, one should use caution when interpreting results that are obtained from PTU-treated embryos
Short tandem repeat profiling: part of an overall strategy for reducing the frequency of cell misidentification
The role of cell authentication in biomedical science has received considerable attention, especially within the past decade. This quality control attribute is now beginning to be given the emphasis it deserves by granting agencies and by scientific journals. Short tandem repeat (STR) profiling, one of a few DNA profiling technologies now available, is being proposed for routine identification (authentication) of human cell lines, stem cells, and tissues. The advantage of this technique over methods such as isoenzyme analysis, karyotyping, human leukocyte antigen typing, etc., is that STR profiling can establish identity to the individual level, provided that the appropriate number and types of loci are evaluated. To best employ this technology, a standardized protocol and a data-driven, quality-controlled, and publically searchable database will be necessary. This public STR database (currently under development) will enable investigators to rapidly authenticate human-based cultures to the individual from whom the cells were sourced. Use of similar approaches for non-human animal cells will require developing other suitable loci sets. While implementing STR analysis on a more routine basis should significantly reduce the frequency of cell misidentification, additional technologies may be needed as part of an overall authentication paradigm. For instance, isoenzyme analysis, PCR-based DNA amplification, and sequence-based barcoding methods enable rapid confirmation of a cell line’s species of origin while screening against cross-contaminations, especially when the cells present are not recognized by the species-specific STR method. Karyotyping may also be needed as a supporting tool during establishment of an STR database. Finally, good cell culture practices must always remain a major component of any effort to reduce the frequency of cell misidentification
ER-Alpha-cDNA As Part of a Bicistronic Transcript Gives Rise to High Frequency, Long Term, Receptor Expressing Cell Clones
Within the large group of Estrogen Receptor alpha (ERα)-negative breast cancer patients, there is a subgroup carrying the phenotype ERα−, PR−, and Her2−, named accordingly “Triple-Negative” (TN). Using cell lines derived from this TN group, we wished to establish cell clones, in which ERα is ectopically expressed, forming part of a synthetic lethality screening system. Initially, we generated cell transfectants expressing a mono-cistronic ERα transcription unit, adjacent to a separate dominant selectable marker transcription unit. However, the yield of ERα expressing colonies was rather low (5–12.5%), and only about half of these displayed stable ectopic ERα expression over time. Generation and maintenance of such cell clones under minimal exposure to the ERα ligand, did not improve yield or expression stability. Indeed, other groups have also reported grave difficulties in obtaining ectopic expression of ERα in ERα-deficient breast carcinoma cells. We therefore switched to transfecting these cell lines with pERα-IRES, a plasmid vector encoding a bicistronic translation mRNA template: ERα Open Reading Frame (ORF) being upstream followed by a dominant-positive selectable marker (hygroR) ORF, directed for translation from an Internal Ribosome Entry Site (IRES). Through usage of this bicistronic vector linkage system, it was possible to generate a very high yield of ERα expressing cell clones (50–100%). The stability over time of these clones was also somewhat improved, though variations between individual cell clones were evident. Our successful experience with ERα in this system may serve as a paradigm for other genes where ectopic expression meets similar hardships
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