Atomistic Aspects of Fracture Modelling in the Framework of Continuum Mechanics

1998 ◽  
Vol 538 ◽  
Author(s):  
F. Cleri

AbstractThe validity and predictive capability of continuum models of fracture rests on basic informations whose origin lies at the atomic scale. Examples of such crucial informations are, e.g., the explicit form of the cohesive law in the Barenblatt model and the shear-displacement relation in the Rice-Peierls-Nabarro model. Modem approaches to incorporate atomic-level information into fracture modelling require to increase the size of atomic-scale models up to millions of atoms and more; or to connect directly atomistic and macroscopic, e.g. finite-elements, models; or to pass information from atomistic to continuum models in the form of constitutive relations. A main drawback of the atomistic methods is the complexity of the simulation results, which can be rather difficult to rationalize in the framework of classical, continuum fracture mechanics. We critically discuss the main issues in the atomistic simulation of fracture problems (and dislocations, to some extent); our objective is to indicate how to set up atomistic simulations which represent well-posed problems also from the point of view of continuum mechanics, so as to ease the connection between atomistic information and macroscopic models of fracture.

Author(s):  
R. R. Palmer

In 1792, the French Revolution became a thing in itself, an uncontrollable force that might eventually spend itself but which no one could direct or guide. The governments set up in Paris in the following years all faced the problem of holding together against forces more revolutionary than themselves. This chapter distinguishes two such forces for analytical purposes. There was a popular upheaval, an upsurge from below, sans-culottisme, which occurred only in France. Second, there was the “international” revolutionary agitation, which was not international in any strict sense, but only concurrent within the boundaries of various states as then organized. From the French point of view these were the “foreign” revolutionaries or sympathizers. The most radical of the “foreign” revolutionaries were seldom more than advanced political democrats. Repeatedly, however, from 1792 to 1799, these two forces tended to converge into one force in opposition to the French government of the moment.


The theory of the vibrations of the pianoforte string put forward by Kaufmann in a well-known paper has figured prominently in recent discussions on the acoustics of this instrument. It proceeds on lines radically different from those adopted by Helmholtz in his classical treatment of the subject. While recognising that the elasticity of the pianoforte hammer is not a negligible factor, Kaufmann set out to simplify the mathematical analysis by ignoring its effect altogether, and treating the hammer as a particle possessing only inertia without spring. The motion of the string following the impact of the hammer is found from the initial conditions and from the functional solutions of the equation of wave-propagation on the string. On this basis he gave a rigorous treatment of two cases: (1) a particle impinging on a stretched string of infinite length, and (2) a particle impinging on the centre of a finite string, neither of which cases is of much interest from an acoustical point of view. The case of practical importance treated by him is that in which a particle impinges on the string near one end. For this case, he gave only an approximate theory from which the duration of contact, the motion of the point struck, and the form of the vibration-curves for various points of the string could be found. There can be no doubt of the importance of Kaufmann’s work, and it naturally becomes necessary to extend and revise his theory in various directions. In several respects, the theory awaits fuller development, especially as regards the harmonic analysis of the modes of vibration set up by impact, and the detailed discussion of the influence of the elasticity of the hammer and of varying velocities of impact. Apart from these points, the question arises whether the approximate method used by Kaufmann is sufficiently accurate for practical purposes, and whether it may be regarded as applicable when, as in the pianoforte, the point struck is distant one-eighth or one-ninth of the length of the string from one end. Kaufmann’s treatment is practically based on the assumption that the part of the string between the end and the point struck remains straight as long as the hammer and string remain in contact. Primâ facie , it is clear that this assumption would introduce error when the part of the string under reference is an appreciable fraction of the whole. For the effect of the impact would obviously be to excite the vibrations of this portion of the string, which continue so long as the hammer is in contact, and would also influence the mode of vibration of the string as a whole when the hammer loses contact. A mathematical theory which is not subject to this error, and which is applicable for any position of the striking point, thus seems called for.


2019 ◽  
Author(s):  
Darian Jancowicz-Pitel

The presented paper aimed for exploring the translation process, a translator or interpreter needs equipment or tools so that the objectives of a translation can be achieved. If an interpreter needs a pencil, paper, headphones, and a mic, then an interpreter needs even more tools. The tools required include conventional and modern tools. Meanwhile, the approach needed in research on translation is qualitative and quantitative, depending on the research objectives. If you want to find a correlation between a translator's translation experience with the quality or type of translation errors, a quantitative method is needed. Also, this method is very appropriate to be used in research in the scope of teaching translation, for example from the student's point of view, their level of intelligence regarding the quality or translation errors. While the next method is used if the research contains translation errors, procedures, etc., it is more appropriate to use qualitative methods. Seeing this fact, these part-time translators can switch to the third type of translator, namely free translators. This is because there is an awareness that they can live by translation. These translators set up their translation efforts that involve multiple languages.


Author(s):  
Epaminondas Kapetanios

In this article, the author explores the notion of Collective Intelligence (CI) as an emerging computing paradigm. The article is meant to provide a historical and contextual view of CI through the lenses of as many related disciplines as possible (biology, sociology, natural and environmental sciences, physics) in conjunction with the computer science point of view. During this explorative journey, the article also aims at pinpointing the current strengths and weaknesses of CI-related computational and system engineering design and implementation methodologies of CI-based systems. A non-exhaustive list of case studies set up the stage for CI applications as well as challenging research questions. These can be particularly directed towards the Social Web, as a very prominent example of synergistic interactions of a group of people with diverse cultural and professional backgrounds and its potential to become a platform for the emergence of truly CI-based systems.


The detonation of a cartridge of a high explosive is started by firing a detonator, which consists of a small metal cylinder containing a compound or mixture which is itself readily detonated when it is heated. The manner in which detonators thus function is not thoroughly understood, and the methods used for measuring their "efficiency" are, in consequence, diverse. By some methods only the total blow given by the detonator, or its crushing and shattering effect, is measured; the nail test and sand test are the crudest forms. The lead plate test gives a similar measure, and the efficiency of a detonator is judged not only by the depth of the impression produced, but also by the number and appearance of radial grooves in the lead plate produced by the disrupted metal casing. More precise physical methods have been adopted, such as the Hopkinson pressure-bar , which gives a measure of the time of action of the impulsive blow. A more logical method of measurement of efficiency would appear to be a examine the ease with which the detonator will set up detonation in a standard explosive or in a series of standard explosives. Such a method is the Esop test , in which measurement is made of the maximum amount of olive or cotton seed oil which can be mixed with picric acid without preventing its detonation by the detonator embedded in the mixture. Of the same type is the gap test , in which the detonator and a standard explosive are separated and the maximum distance is measured at which detonation of the explosive can be established. The efficiency of a detonator is of considerable technical importance. The more rapidly a detonator can set up detonation in a cartridge of explosive the greater will be the proportion of the cartridge which will detonate and the greater therefore will be the efficiency of the explosive, though once detonation is effectively set up it will be independent of the strength of detonator used. The use of an inefficient detonator may result in portions of cartridges remaining undetonated and becoming a source of danger during the subsequent handling of the material that has been blasted. With the desensitized explosives that are used in coal mines the efficiency of the detonator may influence the safety of the explosive from the point of view of its ability to ignite firedamp. The present investigation has been carried out for that reason.


2013 ◽  
Vol 13 (1) ◽  
pp. 147-161
Author(s):  
Jana Tepperová ◽  
Lucie Rytířová

Abstract Employment related income paid by a third party (non-employer) has its specific tax treatment. In the Czech Republic, a different approach applies for calculation of personal income tax and obligatory insurance contributions from this income. With the preparation of the Single Collection Point (unifying the collection of personal income tax and obligatory insurance contributions), the question arises whether it is possible to set up unified treatment of this income for all obligatory payments. We provide detailed analyses of this topic from the point of view of the Czech legislation and comparison with selected countries. Further we follow with the discussion of problematic issues in unified treatment for all obligatory payments from this income; such as discrimination and complicated administration. We conclude that even if the national legislation for all obligatory payments from this income would not diff er, there will still be different treatment due to specific international regulations.


10.2172/12209 ◽  
1999 ◽  
Author(s):  
M Caturla ◽  
M Johnson ◽  
T Lenosky ◽  
B Sadigh ◽  
S K Theiss ◽  
...  

Author(s):  
Epaminondas Kapetanios

In this article, the author explores the notion of Collective Intelligence (CI) as an emerging computing paradigm. The article is meant to provide a historical and contextual view of CI through the lenses of as many related disciplines as possible (biology, sociology, natural and environmental sciences, physics) in conjunction with the computer science point of view. During this explorative journey, the article also aims at pinpointing the current strengths and weaknesses of CI-related computational and system engineering design and implementation methodologies of CI-based systems. A non-exhaustive list of case studies set up the stage for CI applications as well as challenging research questions. These can be particularly directed towards the Social Web, as a very prominent example of synergistic interactions of a group of people with diverse cultural and professional backgrounds and its potential to become a platform for the emergence of truly CI-based systems.


Author(s):  
Gabriel Popescu ◽  
Simona Bara

Initially, the Romanian development regions created in 1998 had as a main objective the insurance, from the statistic point of view a relatively territorial equilibrated development; they where set up in accordance with the level NUTS-II from the EU. According to the Romanian legislation on force, the regions do not have an administrative status and they do not have legal personality. The analysis of the rural space highlights significant regional disparities, phenomena that have influence to the spending of the EU funds and their degree of absorption. This chapter proposes a method for multi-criteria analysis in order to identify the agricultural and rural territorial disparities and to establish the regional disparities in implementing the National Plan of Rural Development (NPRD) during 2007-2013. The NPRD was put under multi-criteria analysis: the main 13 measures implemented by Romania during 2007-2013 periods.


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