6,769 research outputs found

    Robustness of reserve selection procedures under temporal species turnover

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    Complementarity-based algorithms for the selection of reserve networks emphasize the need to represent biodiversity features efficiently, but this may not be sufficient to maintain those features in the long term. Here, we use data from the Common Birds Census in Britain as an exemplar data set to determine guidelines for the selection of reserve networks which are more robust to temporal turnover in features. The extinction patterns found over the 1981-1991 interval suggest that two such guidelines are to represent species in the best sites where they occur (higher local abundance) and to give priority to the rarer species. We tested five reserve selection strategies, one which finds the minimum representation set and others which incorporate the first or both guidelines proposed. Strategies were tested in terms of their efficiency (inversely related to the total area selected) and effectiveness (inversely related to the percentage of species lost) using data on eight pairs of ten-year intervals. The minimum set strategy was always the most efficient, but suffered higher species loss than the others, suggesting that there is a trade-off between efficiency and effectiveness. A desirable compromise can be achieved by embedding the concerns about the long-term maintenance of the biodiversity features of interest in the complementarity-based algorithms

    Strong gravitational lensing by braneworld black holes

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    In this paper, we use the strong field limit approach to investigate the gravitational lensing properties of braneworld black holes. Applying this method to the supermassive black hole at the centre of our galaxy, the lensing observables for some candidate braneworld black hole metrics are compared with those for the standard Schwarzschild case. It is found that braneworld black holes could have significantly different observational signatures to the Schwarzschild black hole.Comment: 8 pages, 4 figures, RevTeX4; v2 reference added; v3 minor technical correctio

    Using presence-absence data to establish reserve selection procedures that are robust to temporal species turnover

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    Previous studies suggest that a network of nature reserves with maximum efficiency (obtained by selecting the minimum area such that each species is represented once) is likely to be insufficient to maintain species in the network over time. Here, we test the performance of three selection strategies which require presence-absence data, two of them previously proposed (multiple representations and selecting an increasing percentage of each species' range) and a novel one based on selecting the site where each species has exhibited a higher permanence rate in the past. Multiple representations appear to be a safer strategy than selecting a percentage of range because the former gives priority to rarer species while the latter favours the most widespread. The most effective strategy was the one based on the permanence rate, indicating that the robustness of reserve networks can be improved by adopting reserve selection procedures that integrate information about the relative value of sites. This strategy was also very efficient, suggesting that the investment made in the monitoring schemes may be compensated for by a lower cost in reserve acquisition

    Habitat complexity and food item size modify the foraging behaviour of a freshwater fish

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    The functional response describes the relationship between feeding rate and prey density, and is important ecologically as it describes how foraging behaviour may change in response to food availability. The effects of habitat complexity and food item size were experimentally tested on the foraging parameters and functional responses of the freshwater fish roach Rutilus rutilus. Habitat complexity was varied through the manipulation of substrate and turbidity, and food item size was varied by using fishmeal pellets in two sizes. As water turbidity and substrate complexity increased, the reaction distance and consumption rate (per number) significantly decreased. Increased food item size significantly decreased consumption rates (per number) but had no influence on any other foraging parameter. Analysis of the interactions between substrate complexity, turbidity and food item size revealed food item size had the greatest influence on consumption rate (per number). Turbidity had the least effect on all the foraging parameters tested. Across all experiments, the functional responses were best described by the Type II response, a relatively consistent finding for R. rutilus. These outputs reveal that fish foraging behaviours and functional responses are highly context dependent, varying with environmental parameters and the availability of food resources of different sizes

    Synoptic/planetary-scale interactions and blocking over the North Atlantic Ocean

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    Work was completed on the height tendency diagnoses of two extratropical cyclones that occurred upstream from the blocking event studied previously. One developed explosively over water 60 to 36 hours before the block first appeared, while the second developed explosively over the southeastern United States during the time of block formation. In both cases, both vorticity and temperature advection were consistently important forcing mechanisms. This is in contrast to the block itself, in which vorticity advection was easily the dominant forcing mechanism. Latent heat release was also significant, accounting for about 50 percent of the total height falls in the cyclone below 850 mb. Estimates of latent heat release were greatly enhanced by coupling parameterized estimates with values derived from GOES IR data using an algorithm developed by Marshall's F. R. Robertson. Among the difficulties encountered in this work was the identification of an appropriate lower boundary condition for the solution of the height tendency equation. The zero value currently used tends to yield underestimates of the lower troposphere height tendencies. To address this problem a new diagnostic technique was developed in cooperation with Dr. Peter Zwack of the University of Quebec at Montreal. Based on an equation Dr. Zwack had previously developed (the Zwack-Okossi development equation), researchers now have a relationship that is completely consistent with the height tendency equation and provides estimates of lower boundary geostrophic vorticity or height tendencies. Finally, comparison of the SAT (satellite data) and NOSAT (no satellite data) analyses is progressing well. The present focus is on both the new diagnostic technique and the SAT/NOSAT comparisons. The former is being tested on the southeastern United States cyclone case previously mentioned and compared with the height tendency diagnoses already completed. The latter are being examined for the blocking case described in the publications cited in this summary. In addition to obtaining statistics that will allow general comparison of the two analyses, it will be possible to determine whether conclusions about the dynamics of the block development are influenced by the analysis set used

    HST Observations of the Distant Cluster 0016+16: Quantitative Morphology of Confirmed Cluster Members

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    We present HST images of 24 confirmed members of the distant galaxy cluster Cl0016+16 at redshift 0.55. The Balmer-strong (``E+A'') and emission- line galaxies frequently show unusual visual morphology, implying that galaxian interactions produce ``active'' galaxies in moderate-redshift clusters. We use the image concentration index as a quantitative measure of morphology to show that these unusual galaxies appear disklike, while the normal red galaxies resemble E/S0s. Although consistent with HST observations by Dressler et al. in Cl0939+4713 (z=0.41z=0.41), our results differ from the Couch et al. finding that most Balmer-strong galaxies in AC114 (z=0.31z=0.31) resemble ellipticals. The entire ``E+A'' sample is small, but if future studies confirm their diversity, it will suggest that they have different origins.Comment: 11 pages, uuencoded compressed PostScript, accepted to ApJ Letters, LICK-3

    Rhabdomyolysis in an HIV cohort: epidemiology, causes and outcomes.

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    BackgroundThe Literature on rhabdomyolysis in the HIV-positive population is sparse and limited. We aimed to explore the incidence, patient characteristics, etiologies and outcomes of rhabdomyolysis in a cohort of HIV-positive patients identified through the Johns Hopkins HIV clinical registry between June 1992 and April 2014.MethodsA retrospective analysis of 362 HIV-positive patients with non-cardiac CK elevation ≥1000 IU/L was performed. Both inpatients and outpatients were included. Incidence rate and potential etiologies for rhabdomyolysis were ascertained. The development of acute kidney injury (AKI, defined as doubling of serum creatinine), need for dialysis, and death in the setting of rhabdomyolysis were determined. Logistic regression was used to evaluate the association of peak CK level with the development of AKI.ResultsThree hundred sixty two cases of rhabdomyolysis were identified in a cohort of 7079 patients with a 38,382 person years follow-up time. The incidence rate was nine cases per 1000 person-years (95% CI: 8.5-10.5). Infection was the most common etiology followed by compression injury and drug/alcohol use. One-third of cases had multiple potential etiologies. AKI developed in 46% of cases; 20% of which required dialysis. Thirteen percent died during follow-up. After adjustment, AKI was associated with higher CK (OR 2.05 for each 1-log increase in CK [95% CI: 1.40-2.99]), infection (OR 5.48 [95% CI 2.65-11.31]) and higher HIV viral load (OR 1.22 per 1-log increase [95% CI: 1.03-1.45]).ConclusionRhabdomyolysis in the HIV-positive population has many possible causes and is frequently multifactorial. HIV-positive individuals with rhabdomyolysis have a high risk of AKI and mortality
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