3,889 research outputs found

    Small Unmanned Aerial Systems (sUAS) for environmental remote sensing: challenges and opportunities revisited

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    Hardin and Jensen (2011) presented six challenges to using small Unmanned Aerial Systems (sUAS) for environmental remote sensing: challenge of the hostile flying environment, challenge of power, challenge of available sensors, challenge of payload weight, challenge of data analysis, and challenge of regulation. Eight years later we revisit each of the challenges in the context of the current sUAS environment. We conclude that technological advances made in the interim (as applied to environmental remote sensing) have either (1) improved practitioner ability to respond to a challenge or (2) decreased the magnitude of the challenge itself. However, relatively short flight time remains a primary challenge to using sUAS in environmental remote sensing

    Learning in the Geoscience Classroom: Q-Methodology, Learning Styles, and Individual Preferences

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    One of the challenges of traditional student learning, from an instructor\u27s perspective, involves achieving an understanding of how students learn. Q-method is an effective approach to improve understanding of human subjectivity, and, as this research suggests, it is an appropriate tool to assist educators to better understand how students learn. In particular, Q-methodology provides the educator with a robust tool to assess student learning styles. This paper adapted an existing learning style instrument to a Q-method analysis in an introductory geographic information system class. The analysis resulted in three learning groups: lone pragmatist, explorer, and synergistic. These three learning groups are described. The paper concludes that the use of Q-method can deepen understanding of students\u27 learning skills and improve instruction through more balanced and learner-focused curricular approaches

    Utilizing National Agriculture Imagery Program Data to Estimate Tree Cover and Biomass of Piñon and Juniper Woodlands

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    With the encroachment of piñon (Pinus ssp.) and juniper (Juniperus ssp.) woodlands onto sagebrush steppe rangelands, there is an increasing interest in rapid, accurate, and inexpensive quantification methods to estimate tree canopy cover and aboveground biomass. The objectives of this study were 1) to evaluate the relationship and agreement of piñon and juniper (P-J) canopy cover estimates, using object-based image analysis (OBIA) techniques and National Agriculture Imagery Program (NAIP, 1-m pixel resolution) imagery with ground measurements, and 2) to investigate the relationship between remotely-sensed P-J canopy cover and ground-measured aboveground biomass. For the OBIA, we used eCognition® Developer 8.8 software to extract tree canopy cover from NAIP imagery across 12 P-J woodlands within the Sagebrush Steppe Treatment Evaluation Project (SageSTEP) network. The P-J woodlands were categorized based on the dominant tree species found at the individual sites for the analysis (western juniper, Utah juniper, and mixed P-J community). Following tree canopy cover extractions, relationships were assessed between remotely-sensed canopy cover and ground-measured aboveground biomass. Our OBIA estimates for P-J canopy cover were highly correlated with ground-measured tree canopy cover (averaged across all regions r = 0.92). However, differences between methods occurred for western and Utah juniper sites (P \u3c 0.05), and were more prominent where tree canopy cover was \u3e 40%. There were high degrees of correlation between predicted aboveground biomass estimates with the use of remotely-sensed tree canopy cover and ground-measured aboveground biomass (averaged across all regions r = 0.89). Our results suggest that OBIA methods combined with NAIP imagery can provide land managers with quantitative data that can be used to evaluate P-J woodland cover and aboveground biomass rapidly, on broad scales. Although some accuracy and precision may be lost when utilizing aerial imagery to identify P-J canopy cover and aboveground biomass, it is a reasonable alternative to ground monitoring and inventory practices

    Movements of Spawning and Non-Spawning Shovelnose Sturgeon in the Missouri River Above Fort Peck Reservoir

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    During the last 40 yrs there has been a lack of pallid sturgeon (Scaphirhynchus albus) recruitment in the upper Missouri River (UMR). However, shovelnose sturgeon (Scaphirhynchus platorynchus) continue to exhibit recruitment in the UMR. Understanding the recruitment dichotomy between species is receiving much attention throughout their range. The objectives of this study were to identify the effects of varying discharge on spawning locations and spawning movements for pallid and shovelnose sturgeon. Two female pallid sturgeon, 32 gravid female shovelnose sturgeon, and 32 non-reproductively active female shovelnose sturgeon were radio tagged at three locations and tracked from 1 May to 5 July 2009. Unfortunately, no data are available for spawning pallid sturgeon movements because fish were not reproductively active. Upstream movement by gravid shovelnose sturgeon varied from 20 percent of the fish tagged at Judith Landing to 56 percent of the fish tagged at Coal Banks Recreation Area (CBRA). Mean maximum upstream movement of gravid shovelnose sturgeon varied from 35.7 km at CBRA to 87.9 km at Fred Robinson Bridge (FRB), mean maximum downstream movement varied from 24.9 km at FRB to 80.3 km at CBRA. Reproductively inactive shovelnose sturgeon exhibited lower mean maximum movements than reproductively active fish (mean maximum distance 5.7 km). Shovelnose sturgeon in the UMR exhibit both upstream and downstream movements prior to spawning and are using several spawning areas. Thus, maintaining spawning habitat throughout a regulated river is important with regard to shovelnose sturgeon conservation

    Impacts of Psychological Stress on Osteoporosis: Clinical Implications and Treatment Interactions

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    The significant biochemical and physiological effects of psychological stress are beginning to be recognized as exacerbating common diseases, including osteoporosis. This review discusses the current evidence for psychological stress-associated mental health disorders as risk factors for osteoporosis, the mechanisms that may link these conditions, and potential implications for treatment. Traditional, alternative, and adjunctive therapies are discussed. This review is not intended to provide therapeutic recommendations, but, rather, the goal of this review is to delineate potential interactions of psychological stress and osteoporosis and to highlight potential multi-system implications of pharmacological interventions. Review of the current literature identifies several potentially overlapping mechanistic pathways that may be of interest (e.g., glucocorticoid signaling, insulin-like growth factor signaling, serotonin signaling) for further basic and clinical research. Current literature also supports the potential for cross-effects of therapeutics for osteoporosis and mental health disorders. While studies examining a direct link between osteoporosis and chronic psychological stress are limited, the studies reviewed herein suggest that a multi-factorial, personalized approach should be considered for improved patient outcomes in populations experiencing psychological stress, particularly those at high-risk for development of osteoporosis
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