1,390 research outputs found
A hypersonic research vehicle to develop scramjet engines
Four student design teams produced conceptual designs for a research vehicle to develop the supersonic combustion ramjet (scramjet) engines necessary for efficient hypersonic flight. This research aircraft would provide flight test data for prototype scramjets that is not available in groundbased test facilities. The design specifications call for a research aircraft to be launched from a carrier aircraft at 40,000 feet and a Mach number of 0.8. The aircraft must accelerate to Mach 6 while climbing to a 100,000 foot altitude and then ignite the experimental scramjet engines for acceleration to Mach 10. The research vehicle must then be recovered for another flight. The students responded with four different designs, two piloted waverider configurations, and two unmanned vehicles, one with a blended body-wing configuration, the other with a delta wing shape. All aircraft made use of an engine database provided by the General Electric Aircraft Engine Group; both turbofan ramjet and scramjet engine performance using liquid hydrogen fuel was available. Explained here are the students' conceptual designs and the aerodynamic and propulsion concepts that made their designs feasible
Focusing a fountain of neutral cesium atoms with an electrostatic lens triplet
An electrostatic lens with three focusing elements in an alternating-gradient
configuration is used to focus a fountain of cesium atoms in their ground
(strong-field-seeking) state. The lens electrodes are shaped to produce only
sextupole plus dipole equipotentials which avoids adding the unnecessary
nonlinear forces present in cylindrical lenses. Defocusing between lenses is
greatly reduced by having all of the main electric fields point in the same
direction and be of nearly equal magnitude. The addition of the third lens gave
us better control of the focusing strength in the two transverse planes and
allowed focusing of the beam to half the image size in both planes. The beam
envelope was calculated for lens voltages selected to produced specific
focusing properties. The calculations, starting from first principles, were
compared with measured beam sizes and found to be in good agreement.
Application to fountain experiments, atomic clocks, and focusing polar
molecules in strong-field-seeking states is discussed.Comment: 8 pages 10 figure
Ascaroside Signaling Is Widely Conserved among Nematodes
Background: Nematodes are among the most successful animals on earth and include important human pathogens, yet little is known about nematode pheromone systems. A group of small molecules called ascarosides has been found to mediate mate finding, aggregation, and developmental diapause in Caenorhabditis elegans, but it is unknown whether ascaroside signaling exists outside of the genus Caenorhabditis.
Results: To determine whether ascarosides are used as signaling molecules by other nematode species, we performed a mass spectrometry-based screen for ascarosides in secretions from a variety of both free-living and parasitic (plant, insect, and animal) nematodes. We found that most of the species analyzed, including nematodes from several different clades, produce species-specific ascaroside mixtures. In some cases, ascaroside biosynthesis patterns appear to correlate with phylogeny, whereas in other cases, biosynthesis seems to correlate with lifestyle and ecological niche. We further show that ascarosides mediate distinct nematode behaviors, such as retention, avoidance, and long-range attraction, and that different nematode species respond to distinct, but overlapping, sets of ascarosides.
Conclusions: Our findings indicate that nematodes utilize a conserved family of signaling molecules despite having evolved to occupy diverse ecologies. Their structural features and level of conservation are evocative of bacterial quorum sensing, where acyl homoserine lactones (AHLs) are both produced and sensed by many species of gram-negative bacteria. The identification of species-specific ascaroside profiles may enable pheromone-based approaches to interfere with reproduction and survival of parasitic nematodes, which are responsible for significant agricultural losses and many human diseases worldwide
Prenatal diagnosis, management and outcome of fetal uretero-pelvic junction obstruction
Abstract
Prenatal diagnosis, management and outcome were studied retrospectively in 24 cases of unilateral
and bilateral uretero-pelvie junction obstruction (UPJO). Moderate-to-marked pelvic dilatation was documented
in 19 out of 24 cases. The low morbidity and mortality observed in this study are probably determined by the late
(third trimester) detection of UPJO, resulting in an underestimation of the prevalence of more severe renal
pathology. Amniotic fluid was increased in 4 out of 14 cases of unilateral UPJO and in 5 out of 10 cases of
bilateral UPJO, the underlying mechanism of which is still unclear. There was no oligohydramnios. The incidence
of extrarenal structural pathology was low, i.e., 3 out of 24 cases. A close agreement could be demonstrated
between pre- and postnatal sonographic grading of pelvic dilatation. However, postnatal ultrasonic grading of
pelvic dilatation correlated poorly with the degree of functional obstruction as determined by IVP and lasix
renography. Despite the severity of pelvic dilatation in the majority of cases, enlarged kidneys were revealed by
postnatal clinical examination in only three instances, underlining the importance of prenatal sonographic detection
of UPJO
Experimental Metrics for Identifying Origins of Combustion Variability during Spark-Assisted Compression Ignition
Spark-assisted compression ignition, SACI, can be used to control the combustion phasing of compression-ignition gasoline engines. However, implementation of this technique can be confounded by cyclic variability. The purpose of this paper is to define experimental metrics that describe the SACI process and to demonstrate the use of these metrics for identifying the source(s) of cyclic variability during the SACI process. This study focused on a light load condition (7 mg/cycle, 200 kPa i.m.e.p.), where spray-guided direct fuel injection with spark ignition and an exhaust-rebreathing strategy was employed to achieve flame propagation, which led to compression ignition. This study employed a combination of measurements including pressure-based heat-release analysis, spark-discharge voltage/current measurements, and cycle-resolved combustion imaging. Based on these measurements, four distinct combustion periods were identified; namely, the spark discharge, the early kernel growth (EKG), flame propagation, and the compression ignition periods. Metrics were defined to characterize each period and used to identify the contribution of each period to the cyclic variability of the main heat release. For the light load condition studied here, the EKG period had the largest effect on the crank angle (CA) position of 50 per cent mass burned, CA50. The spark-discharge event may affect CA50 indirectly through its influence on EKG. However, this could not be definitively assessed here since the camera was incapable of recording both the spark-discharge event and the flame images during cycles of the same tests.Peer Reviewedhttp://deepblue.lib.umich.edu/bitstream/2027.42/86770/1/Sick18.pd
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Effects of surface roughness and vortex generators on the NACA 4415 airfoil
Wind turbines in the field can be subjected to many and varying wind conditions, including high winds with rotor locked or with yaw excursions. In some cases the rotor blades may be subjected to unusually large angles of attack that possibly result in unexpected loads and deflections. To better understand loadings at unusual angles of attack, a wind tunnel test was performed. An 18-inch constant chord model of the NACA 4415 airfoil section was tested under two dimensional steady state conditions in the Ohio State University Aeronautical and Astronautical Research Laboratory (OSU/AARL) 7 x 10 Subsonic Wind Tunnel (7 x 10). The objective of these tests was to document section lift and moment characteristics under various model and air flow conditions. These included a normal angle of attack range of {minus}20{degree} to +40{degree}, an extended angle of attack range of {minus}60{degree} to +230{degree}, applications of leading edge grit roughness (LEGR), and use of vortex generators (VGs), all at chord Reynolds numbers as high as possible for the particular model configuration. To realistically satisfy these conditions the 7 x 10 offered a tunnel-height-to-model-chord ratio of 6.7, suggesting low interference effects even at the relatively high lift and drag conditions expected during the test. Significantly, it also provided chord Reynolds numbers up to 2.0 million. 167 figs., 13 tabs
Geographical differences of carbapenem non-susceptible Enterobacterales and Acinetobacter spp. in Germany from 2017 to 2019
Background
Since May 2016, infection and colonisation with carbapenem non-susceptible Acinetobacter spp. (CRA) and Enterobacterales (CRE) have to be notified to health authorities in Germany. The aim of our study was to assess the epidemiology of CRA and CRE from 2017 to 2019 in Germany, to identify risk groups and to determine geographical differences of CRA and CRE notifications.
Methods
Cases were notified from laboratories to local public health authorities and forwarded to state and national level. Non-susceptibility was defined as intermediate or resistant to ertapenem, imipenem, or meropenem excluding intrinsic bacterial resistance or the detection of a carbapenemase gene. We analysed CRA and CRE notifications from 2017, 2018 and 2019 per 100,000 inhabitants (notification incidence), regarding their demographic, clinical and laboratory information. The effect of regional hospital-density on CRA and CRE notification incidence was estimated using negative binomial regression.
Results
From 2017 to 2019, 2278 CRA and 12,282 CRE cases were notified in Germany. CRA and CRE cases did not differ regarding demographic and clinical information, e.g. proportion infected. The notification incidence of CRA declined slightly from 0.95 in 2017 to 0.86 in 2019, whereas CRE increased from 4.23 in 2017 to 5.72 in 2019. The highest CRA and CRE notification incidences were found in the age groups above 70 years. Infants below 1 year showed a high CRE notification incidence, too. Notification incidences varied between 0.10 and 2.86 for CRA and between 1.49 and 9.99 for CRE by federal state. The notification incidence of CRA and CRE cases increased with each additional hospital per district.
Conclusion
The notification incidence of CRA and CRE varied geographically and was correlated with the number of hospitals.The results support the assumption that hospitals are the main driver for higher CRE and CRA incidence. Preventive strategies and early control measures should target older age groups and newborns and areas with a high incidence.Peer Reviewe
Vom Zwang zur Pockenschutzimpfung zum Nationalen Impfplan
Im Deutschen Reich wurden Pockenschutzimpfungen staatlich organisiert. Eine reichsweite Impfpflicht wurde 1874 eingeführt, die in der Bundesrepublik Deutschland (BRD) und Deutschen Demokratischen Republik (DDR) bis 1982/1983 fortgeführt wurde. Zuständig für Impfungen waren die 1935 gegründeten Gesundheitsämter. In der DDR wurde das Impfwesen straff organisiert: Man unternahm große Anstrengungen zur Erzielung hoher Impfquoten. Die diesbezüglichen Zuständigkeiten waren auf allen Ebenen und für jedes Lebensalter klar definiert. Während es zunächst nur regionale Impfpflichten gab, enthielt der spätere Impfkalender in Form einer Rechtsvorschrift nationale Pflichtimpfungen beispielsweise gegen Masern. Auch in der BRD bestanden zunächst auf Länderebene vereinzelte Impfpflichten. Mit Einführung des Bundes-Seuchengesetzes 1961 setzte man auf freiwillige Impfungen basierend auf Impfempfehlungen. Seit den 1980er-Jahren verlagerte sich die Durchführung von Impfungen zunehmend vom öffentlichen Gesundheitsdienst (ÖGD) hin zu den niedergelassenen Ärzten. Inzwischen impft der ÖGD überwiegend nur noch subsidiär und 2007 wurden Impfungen Pflichtleistungen der gesetzlichen Krankenkassen. Die Länder entwickelten unlängst zur Förderung von Impfstrategien einen Nationalen Impfplan.In the German Reich, smallpox vaccinations were organized by the state. A mandatory vaccination throughout the empire was introduced in 1874, which was continued in the Federal Republic of Germany (FRG) and the German Democratic Republic (GDR) until 1982/1983. From 1935, health departments were responsible for vaccinations. In the GDR, immunization was tightly organized: The state made great efforts to achieve high vaccination rates. Responsibilities were clearly defined at all levels and for all ages. While vaccination was initially mandatory only at the regional level, the legally mandated immunization schedule later contained compulsory vaccinations, e.g., against measles. In the beginning there were mandatory vaccinations in the FRG at the Länder level. Since 1961, the Federal Epidemics Act has impeded obligatory vaccinations. Instead, voluntary vaccinations based on recommendations were stressed. Since the 1980s, vaccinations have been shifted from the public health service sector to office-based physicians. Today, public health authorities offer mainly supplementary vaccinations. In 2007, protective immunizations were introduced as compulsory benefits of the statutory health insurance (SHI). Recently, the German federal states developed a National Vaccination Plan to support immunization strategies
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