14,170 research outputs found
A time dependent relation between EUV solar flare light-curves from lines with differing formation temperatures
Extreme ultraviolet (EUV) solar flare emissions evolve in time as the
emitting plasma heats and then cools. Although accurately modeling this
evolution has been historically difficult, especially for empirical
relationships, it is important for understanding processes at the Sun, as well
as for their influence on planetary atmospheres. With a goal to improve
empirical flare models, a new simple empirical expression is derived to predict
how cool emissions will evolve based on the evolution of a hotter emission.
This technique is initially developed by studying 12 flares in detail observed
by the EUV Variability Experiment (EVE) onboard the Solar Dynamics Observatory
(SDO). Then, over 1100 flares observed by EVE are analyzed to validate these
relationships. The Cargill and Enthalpy Based Thermal Evolution of Loops
(EBTEL) flare cooling models are used to show that this empirical relationship
implies the energy radiated by a population of hotter formed ions is
approximately proportional to the energy exciting a population of cooler formed
ions emitting when the peak formation temperatures of the two lines are up to
72% of each other and above 2 MK. These results have practical implications for
improving flare irradiance empirical modeling and for identifying key emission
lines for future monitoring of flares for space weather operations; and also
provide insight into the cooling processes of flare plasma.Comment: Final version accepted for publication by the Journal of Space
Weather and Space Climate on 23 November 201
Upper limits on the luminosity of the progenitor of type Ia supernova SN2014J
We analysed archival data of Chandra pre-explosion observations of the
position of SN2014J in M82. No X-ray source at this position was detected in
the data, and we calculated upper limits on the luminosities of the progenitor.
These upper limits allow us to firmly rule out an unobscured supersoft X-ray
source progenitor with a photospheric radius comparable to the radius of white
dwarf near the Chandrasekhar mass (~1.38 M_sun) and mass accretion rate in the
interval where stable nuclear burning can occur. However, due to a relatively
large hydrogen column density implied by optical observations of the supernova,
we cannot exclude a supersoft source with lower temperatures, kT < 80 eV. We
find that the supernova is located in the centre of a large structure of soft
diffuse emission, about 200 pc across. The mass, ~3x10^4 M_sun and short
cooling time of the gas, tau_cool ~ 8 Myrs, suggest that it is a
supernova-inflated super-bubble, associated with the region of recent star
formation. If SN2014J is indeed located inside the bubble, it likely belongs to
the prompt population of type Ia supernovae, with a delay time as short as ~ 50
Myrs. Finally, we analysed the one existing post-supernova Chandra observation
and placed upper limit of ~ (1-2) 10^37 erg/s on the X-ray luminosity of the
supernova itself.Comment: 8 pages, 6 figure
Determining surface-wave magnitudes from regional Nevada Test Site data
We re-examine the use of surface-wave magnitudes to determine the yield of underground nuclear explosions and the associated magnitude-yield scaling relationship. We have calculated surface-wave magnitudes for 190 Nevada Test Site (NTS) shots using regional long-period seismograms from a combined super-network of 55 North American stations. Great effort went towards making the data set comprehensive and diverse in terms of yield, source location and shot medium in order to determine the portability of surface-wave magnitude scales. In particular, we examine Pahute Mesa, Rainier Mesa and Yucca Flat explosions detonated above and below the water table, and which range over three orders of magnitude in yield. By observation we find a low-yield measure threshold of approximately one kiloton (kt) for (assumedly) moderately well-coupled explosions recorded at near-regional (<500 km) stations, which have little microseismic noise. In order to utilize regional surface waves (Δ < 15°) for quantifying sources and for discrimination purposes, we have developed related methods for determining time-domain surface-wave magnitudes and scalar moments from regional Rayleigh waves. Employing regional surface-wave data lowers the effective magnitude threshold. One technique employs synthetic seismograms to establish a relationship between the amplitude of the regional Airy phase, or Rayleigh pulse of the Rayleigh wavetrain and an associated surface-wave magnitude, based on conventional M_S determinations, calculated from synthetic seismograms propagated to 40°. The other method uses synthetic seismograms in a similar fashion, but the relationship used is a more straightforward one between scalar moment and peak Rayleigh wave amplitude. Path corrections are readily implemented to both methods. The inclusion of path corrections decreases the M_S variance by a factor of two and affects the absolute scaling relationship by up to a factor of 0.1 magnitude units. This latter effect is attributed to the particular station network used and the Green's functions used to obtain the 40° M_S values. Using a generic structure for the distance travelled past the actual source-receiver path minimizes the difference between magnitudes determined with and without path corrections. The method gives stable M_S values that correlate well with other magnitude scale values over a range of three orders of magnitude in source yield. Our M_S values scale very similarly to more standard teleseismic M_S values from other studies, although the absolute MS values vary by ±M0.5 magnitude units about ours. Such differences are due in part to the choice of MS formula used. For purposes of future user comparisons, we give conversion values to the previous studies. Our most refined M_S values give the relationship M_S = 1.00 x log_10 (yield) +B, where B is dependent upon source region and shot medium. This yield exponent of unity holds for events of all sizes and is in line with M_S-yield scaling relations found by other studies. When events are grouped with respect to source region, significantly better fits to these individual-site linear-regression curves are obtained compared to the fits obtained using a single, all-inclusive- model. This observation implies that shot-site parameters and source structure can significantly affect surface-wave-magnitude measurements. We present these M_S values primarily to augment the extensive historical analysis of explosion data based on surface-wave magnitudes by using regional data to increase the number of events with surface-wave magnitudes. These magnitudes are consistant with the teleseismically determined magnitudes of larger events. We present our preferred surface-wave moment values in a sequel paper
Effects of the triaxial deformation and pairing correlation on the proton emitter 145Tm
The ground-state properties of the recent reported proton emitter 145Tm have
been studied within the axially or triaxially deformed relativistic mean field
(RMF) approaches, in which the pairing correlation is taken into account by the
BCS-method with a constant pairing gap. It is found that triaxiality and
pairing correlations play important roles in reproducing the experimental one
proton separation energy. The single-particle level, the proton emission orbit,
the deformation parameters beta = 0.22 and gamma = 28.98 and the corresponding
spectroscopic factor for 145Tm in the triaxial RMF calculation are given as
well.Comment: 17 pages, 7 figures and 1 table. accepted by Physical Review
Clinical effectiveness and cost effectiveness of individual mental health workers colocated within primary care practices: a systematic literature review
Objectives Mental health disorders contribute significantly to the global burden of disease and lead to extensive strain on health systems. The integration of mental health workers into primary care has been proposed as one possible solution, but evidence of clinical and cost effectiveness of this approach is unclear. We reviewed the clinical and cost effectiveness of mental health workers colocated within primary care practices. Design Systematic literature review. Data sources We searched the Medline, Embase, PsycINFO, Healthcare Management Information Consortium (HMIC) and Global Health databases. Eligibility criteria All quantitative studies published before July 2019 were eligible for the review; participants of any age and gender were included. Studies did not need to report a certain outcome measure or comparator in order to be eligible. Data extraction and synthesis Data were extracted using a standardised table; however, pooled analysis proved unfeasible. Studies were assessed for risk of bias using the Risk Of Bias In Non-randomised Studies - of Interventions (ROBINS-I) tool and the Cochrane collaboration’s tool for assessing risk of bias in randomised trials. Results Fifteen studies from four countries were included. Mental health worker integration was associated with mental health benefits to varied populations, including minority groups and those with comorbid chronic diseases. Furthermore, the interventions were correlated with high patient satisfaction and increases in specialist mental health referrals among minority populations. However, there was insufficient evidence to suggest clinical outcomes were significantly different from usual general practitioner care. Conclusions While there appear to be some benefits associated with mental health worker integration in primary care practices, we found insufficient evidence to conclude that an onsite primary care mental health worker is significantly more clinically or cost effective when compared with usual general practitioner care. There should therefore be an increased emphasis on generating new evidence from clinical trials to better understand the benefits and effectiveness of mental health workers colocated within primary care practices
Analyses of the OSU-MASLWR Experimental Test Facility
Today, considering the sustainability of the nuclear technology in the energy mix policy of developing and developed countries, the international community starts the development of new advanced reactor designs. In this framework, Oregon State University (OSU) has constructed, a system level test facility to examine natural circulation phenomena of importance to multi-application small light water reactor (MASLWR) design, a small modular pressurized water reactor (PWR), relying on natural circulation during both steady-state and transient operation. The target of this paper is to give a review of the main characteristics of the experimental facility, to analyse the main phenomena characterizing the tests already performed, the potential transients that could be investigated in the facility, and to describe the current IAEA International Collaborative Standard Problem that is being hosted at OSU and the experimental data will be collected at the OSU-MASLWR test facility. A summary of the best estimate thermal hydraulic system code analyses, already performed, to analyze the codes capability in predicting the phenomena typical of the MASLWR prototype, thermal hydraulically characterized in the OSU-MASLWR facility, is presented as well
Ten year change in forest succession and composition measured by remote sensing
Vegetation dynamics and changes in ecological patterns were measured by remote sensing over a 10 year period (1973 to 1983) for 148,406 landscape elements, covering more than 500 sq km in a protected forested wilderness. Quantitative measurements were made possible by methods to detect ecologically meaningful landscape units; these allowed measurement of ecological transition frequencies and calculation of expected recurrence times. Measured ecological transition frequencies reveal boreal forest wilderness as spatially heterogeneous and highly dynamic, with one-sixth of the area in clearings and early successional stages, consistent with recent postulates about the spatial and temporal patterns of natural ecosystems. Differences between managed forest areas and a protected wilderness allow assessment of different management regimes
Creative teaching and learning: towards a common discourse and practice
There has recently been a call for more pedagogic comparative research to counter the dominance of structural and policy led studies. At the same time there is also a necessity to provide alternative comparative research to that concerned with global standardising performance and performativity strategies. The research, on which this paper is based, fulfils both these aims by investigating creative teaching and learning in nine European countries at classroom level using ethnographic methods in a small number of sites for each partner. The research partners share a common discourse of pedagogy that we are calling creative teaching and learning, a common humanitarian discourse and the ethnographic methodology for the research was a strong framework to counter differing cultural approaches to research. The article analytically characterises some significant strategies used by teachers, the creative learning experienced and the meaning that the experiences had for the students involved. We conclude that this research has laid the basis for a common discourse for further research in a comparative approach that will investigate commonalities to build an understanding of international creative pedagogy and investigate differences to enhance the conceptualisation of it
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