431 research outputs found

    Invariant Tests Based on M-Estimators, Estimating Functions and the Generalized Method of Moments

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    In this paper, we study the invariance properties of various test criteria which have been proposed for hypothesis testing in the context of incompletely specified models, such as models which are formulated in terms of estimating functions (Godambe, 1960) moment conditions and are estimated by generalized method of moments (GMM) procedures (Hansen, 1982), and models estimated by pseudo-likelihood (Gourieroux, Monfort and Trognon, 1984) and M-estimation methods. The invariance properties considered include invariance to (possibly nonlinear) hypothesis reformulations and reparameterizations. The test statistics examined include Wald-type, LR-type, LM-type, score-type, and C(alpha)-type criteria. Extending the approach used in Dagenais and Dufour (1991), we show first that all these test statistics except the Wald-type ones are invariant to equivalent hypothesis reformulations (under usual regularity conditions), but all five of them are not generally invariant to model reparameterizations, including measurement unit changes in nonlinear models. In other words, testing two equivalent hypotheses in the context of equivalent models may lead to completely different inferences. For example, this may occur after an apparently innocuous rescaling of some model variables. Then, in view of avoiding such undesirable properties, we study restrictions that can be imposed on the objective functions used for pseudo-likelihood (or M-estimation) as well as the structure of the test criteria used with estimating functions and GMM procedures to obtain invariant tests. In particular, we show that using linear exponential pseudo-likelihood functions allows one to obtain invariant score-type and C(alpha)-type test criteria, while in the context of estimating function (or GMM) procedures it is possible to modify a LR-type statistic proposed by Newey and West (1987) to obtain a test statistic that is invariant to general reparameterizations. The invariance associated with linear exponential pseudo-likelihood functions is interpreted as a strong argument for using such pseudo-likelihood functions in empirical work.

    La pratique de la contrepartie pour les personnes exclues du marché du travail : ici et ailleurs

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    Les modalitĂ©s et les pratiques de la contrepartie dans l’assistance sociale, dans six pays de l’OCDE sont comparĂ©s. La littĂ©rature anglo-saxonne parle plus volontiers de workfare alors que la littĂ©rature d’Europe continentale utilise la notion de conditionnalitĂ©. Les auteurs utilisent le terme de contrepartie comme concept gĂ©nĂ©rique incluant l’ensemble des programmes introduisant des formes de conditionnalitĂ© de l’aide par opposition Ă  des aides ou des prestations attribuĂ©es de maniĂšre inconditionnelle. Une interprĂ©tation de ces variations est proposĂ©e en situant les rĂ©sultats obtenus par rapport aux connaissances acquises en politique comparĂ©e sur l’évolution des diffĂ©rents types d’État-providence.The methods and practices of reciprocity in social assistance are compared in six OECD countries. The literature from English-speaking countries tends to talk about workfare while Continental European literature uses the concept of conditionality. The authors employ the term “reciprocity” as a generic concept encompassing all of the programs that include forms of conditionality for assistance, as opposed to the unconditional provision of assistance or benefits. The authors put forth an interpretation of these variations by comparing their results with the existing body of work in comparative politics on the development of the various types of welfare states. The development of reciprocity mechanisms, therefore, follows neither a single logic, nor a series of pre-mapped paths determined by existing institutions. To understand and evaluate current experiences and innovations, each case must be carefully examined, taking into account all the constraints, but also the opportunities, created by a new era in the development of the Welfare State

    Effects of Osmotic Stress on Rhamnolipid Synthesis and Time-Course Production of Cell-To-Cell Signal Molecules by Pseudomonas aeruginosa

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    Biosynthesis of biosurfactant rhamnolipids by Pseudomonas aeruginosa depends on two hierarchical quorum sensing systems, LasRI and RhlRI, which synthesize and sense the signal molecules N-(3-oxododecanoyl)-L-homoserine lactone (3OC12-HSL) and N-butyryl-L-homoserine lactone (C4-HSL), respectively. The Pseudomonas Quinolone Signal (PQS) is a third cell-to-cell signal molecule connecting these two systems, and its precursor, 2-heptyl-4-quinolone (HHQ), also constitutes a signal. The chronology of the production of signal molecules and rhamnolipids was determined during growth in PPGAS medium. Hyperosmotic condition (0.5 M NaCl) moderately affected growth, and led to intra-cellular accumulation of compatible solutes. Production of signal molecules was delayed and their highest concentrations were 2.5 to 5 fold lower than in NaCl-free PPGAS, except for HHQ, the highest concentration of which was increased. The presence of NaCl prevented rhamnolipid synthesis. When the osmoprotectant glycine betaine was added to PPGAS/NaCl medium, it was imported by the cells without being metabolized. This did not improve growth, but reestablished the time-courses of HSL and HHQ accumulation and fully or partially restored the HSL and PQS levels. It also partially restored rhamnolipid production. Quantification of mRNAs encoding enzymes involved in HSL, PQS, and rhamnolipid biosyntheses confirmed the effect of hyperosmotic stress and glycine betaine at the gene expression level

    Biochar as a catalyst for hydrogen production from methane conversion

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    Time-Domain Harmonic Balance Method for Turbomachinery Aeroelasticity

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    The present paper investigates a time-domain harmonic balance method as an alternative to classical time-marching schemes for stability studies of turbomachineries toward flutter. A weak-coupling approach is applied, which requires computing the fluid response to prescribed harmonic motions of the structure. The harmonic balance method, formulated in the arbitrary Lagrangian/Eulerian framework, is adapted to single-passage reduction using phase-lag boundary conditions expressed purely in the time domain. Validation against experimental data for the 11th standard configuration for aeroelasticity is performed, showing good agreement. Finally, an industrial test case is presented: a fan designed by Safran Snecma. The results show the good accuracy of the proposed harmonic balance method as well as significant reductions in computational time

    Carbon Monoliths with Hierarchical Porous Structure for All-Vanadium Redox Flow Batteries

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    Carbon monoliths were tested as electrodes for vanadium redox batteries. The materials were synthesised by a hard-templating route, employing sucrose as carbon precursor and sodium chloride crystals as the hard template. For the preparation process, both sucrose and sodium chloride were ball-milled together and molten into a paste which was hot-pressed to achieve polycondensation of sucrose into a hard monolith. The resultant material was pyrolysed in nitrogen at 750 ◦C, and then washed to remove the salt by dissolving it in water. Once the porosity was opened, a second pyrolysis step at 900 ◦C was performed for the complete conversion of the materials into carbon. The products were next characterised in terms of textural properties and composition. Changes in porosity, obtained by varying the proportions of sucrose to sodium chloride in the initial mixture, were correlated with the electrochemical performances of the samples, and a good agreement between capacitive response and microporosity was indeed observed highlighted by an increase in the cyclic voltammetry curve area when the SBET increased. In contrast, the reversibility of vanadium redox reactions measured as a function of the difference between reduction and oxidation potentials was correlated with the accessibility of the active vanadium species to the carbon surface, i.e., was correlated with the macroporosity. The latter was a critical parameter for understanding the differences of energy and voltage efficiencies among the materials, those with larger macropore volumes having the higher efficiencies.This work was supported by ICEEL and Region Grand Est and J.F.V.-V. was hired with these fundings. This work was partly supported by a grant overseen by the French National Research Agency (Pc2TES ANR-16-CE06-0012-01), and the authors involved in it (AC, BK and VF) acknowledge the support of the project's coordinator, Mrs Fouzia Achchaq. This study was partly supported by TALiSMAN project (2019-000214), funded by European Regional Development Fund (ERDF)

    Intracranial aneurismal pulsatility as a new individual criterion for rupture risk evaluation: Biomechanical and numerical approach (IRRAs project).

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    International audienceThis study was designed to highlight by means of numerical simulations, the correlation between aneurism sac pulsatility and the risk of rupture through the mechanical properties of the wall. In accordance to previous work suggesting a correlation between the risk of rupture and the material properties of cerebral aneurysms, twelve fluid-structure interaction (FSI) computations were performed on 12 "patient-specific" cases, corresponding to typical shapes and locations of cerebral aneurysms. The variations of the aneurismal volume during the cardiac cycle (3V) are compared using wall material characteristics of either degraded and non-degraded tissues. Aneurysms were located on 7 different arteries: Middle Cerebral Artery (4), Anterior Cerebral Artery (3), Internal Carotid Artery (1), Vertebral Artery (1), Ophthalmic Artery (1) and Basilar Artery (1). Aneurysms presented different shapes (uniform or multi-lobulated) and diastolic volumes (from 18 to 392 mm3). The pulsatility (3V/V) was significantly larger for a soft aneurismal material (average of 26 %) than for a stiff material (average of 4 %). The difference between 3V, for each condition, was statistically significant: p = 0.005. The difference in aneurismal pulsatility as highlighted in this work might be a relevant patientspecific predictor of aneurysm risk of rupture

    Geochemical identity of pre-Dogon and Dogon populations at Bandiagara (Mali, 11th–20th cent. AD)

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    Bone geochemistry of pre-Dogon (11th–16th cent. AD) and Dogon (17th–20th cent. AD) populations buried in two caves of the Bandiagara Cliff (Mali) was examined for the purpose of exploring their diet and mobility. While the Dogon were the subject of extensive ethnographic studies, the lifestyle of the pre-Dogon, so-called “Tellem” is not known. We therefore compared the geochemical composition of Dogon bones with the results obtained from modern dietary surveys in Mali, to establish the parameters of a dietary model that was further applied to the pre-Dogon in order to expand our knowledge concerning their way of life. The exceptional preservation of the bones of both populations was confirmed not only at the macroscopic scale, but also at the mineralogical, histological and geochemical levels, which resemble those of fresh bones, and therefore offered ideal conditions for testing this approach. 15The application of the Bayesian mixing model FRUITS, based on bone ή13C (apatite and collagen) and bone ή N values, suggested a dietary continuity through time, from the 11th century to today. Bone barium (Ba) content revealed very restricted mobility within the Cliff while bone ή18O values indicated that Pre-Dogon and Dogon most likely occupied the Bandiagara Plateau and the Cliff, respectively
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