scholarly journals A Quantitative Approach to Assess Seismic Vulnerability of Touristic Accommodations: Case Study in Montreal, Canada

GeoHazards ◽  
2021 ◽  
Vol 2 (2) ◽  
pp. 137-152
Author(s):  
Thomas Candela ◽  
Philippe Rosset ◽  
Luc Chouinard

In many places of the world, the interruption of touristic activities in the aftermath of a catastrophic earthquake is often neglected in the evaluation of seismic risks; however, these activities can account for a significant proportion of short-term and long-term economic impacts for these regions. In the last decade, several rapid visual screening techniques have been developed to define the typology of buildings and to estimate their seismic vulnerability and potential for damage. We adapted the existing screening procedures that have been developed for generic buildings to specific circumstances that are most common for tourist accommodations. The proposed approach considered six criteria related to structural and nonstructural elements of buildings, as well as local soil conditions. A score was assigned to each criterion as a function of the capacity of the elements to resist ground shaking. A vulnerability index in four levels of building vulnerability was developed combining the scores of the six criteria. The approach was tested in a pilot area of Montreal to a set of 70 typical buildings grouped in four categories based on their accommodation capacity. In Montreal, tourism is an important source of income for the city where 351,000 room-nights were booked with total stay expenditures of CAD 4.9 billion in 2019. The results indicated potential significant disruptions in activities related to tourism; 46% of the buildings investigated have a high to very high vulnerability index. Among them, 4/5 are located in the old city and 1/5 in the downtown area of the pilot zone.

Author(s):  
S. Odunuga ◽  
O. Adegun ◽  
S. A. Raji ◽  
S. Udofia

Abstract. Floods are devastating natural disasters with a significant impact on human life and the surrounding environment. This paper analyses historical and recent flood (2012 extreme) peak flow at strategic locations, land use activities and Floodplain Vulnerability Index analyses of the Niger–Benue River Floodplain. The 2012 peak flow at Jederbode on the Niger River was about 50% above the long term average. At Jebba (Niger), the 2012 peak flow of 1567 m3 s−1 was also far higher than the long term mean annual peak flow of 1159 m3 s−1. The 2012 peak flow at Lokoja was also about 50 % above the historical average. The Benue River at Makurdi had peak flow of 16 387 m3 s−1 which was also unusually higher than the historical average while Wuroboki (Benue) had peak flow of 3362 m3 s−1 which was also much higher that the historical average (694 m3 s−1). The mixed land use which supported diverse ecosystem services has the largest cover of 5654 km2 (36.85%) of the Niger–Benue floodplain. The flood vulnerability of the various land uses within the floodplain include; medium, high and very high levels. A four levels hierarchical implementation adaptation strategy for sustainable agricultural practices along the rivers flood plain was proposed. The implementation hierarchy includes: Community Concern, Local Authority Concern, State Concern and National Concern.


1974 ◽  
Vol 64 (5) ◽  
pp. 1429-1454
Author(s):  
M. D. Trifunac ◽  
F. E. Udwadia

Abstract Accelerograms recorded at six stations in the metropolitan Los Angeles area during the Borrego Mountain, 1968, the Lytle Creek, 1970, and the San Fernando, 1971, earthquakes in southern California have been studied. In comparing the ground motions recorded during different earthquakes at each of the six stations and in correlations of these motions recorded at different stations during the same earthquake, those aspects of the analysis which emerge from this study and are relevant for seismic zoning have been emphasized. It has been found that the patterns of strong ground shaking in this area depend predominantly on the mechanism and the distance of an earthquake source from a recording station and that the local soil conditions played only a minor role in modifying the ground motion at this particular area. It has been shown that gross spectral characteristics of ground motion recorded at various stations can be approximately related by the seismic moment at the low-frequency end and by the stress drop at the high-frequency end.


Buildings ◽  
2021 ◽  
Vol 11 (10) ◽  
pp. 485
Author(s):  
Moustafa Moufid Kassem ◽  
Salmia Beddu ◽  
Jun Hao Ooi ◽  
Chee Ghuan Tan ◽  
Ahmad Mohamad El-Maissi ◽  
...  

Rapid visual screening is a quick and simple approach often used by researchers to estimate the seismic vulnerability of buildings in an area. In this study, preliminary seismic vulnerability assessment of 500 buildings situated at Northern and Eastern George Town, Malaysia, was carried out by utilizing a modified FEMA-154 (2002) method that suits Malaysian conditions. Data were collected from online sources via Google Maps and Google Earth instead of traditional surveying data collection through street screening. The seismic assessment analysis of this study was based on the RVS performance score and the damage state classification for each building typology. This approach generates, for each building, a final performance score based on governing parameters such as structural resisting system, height, structural irregularities, building age, and soil type. The findings revealed the immediate need for effective seismic mitigation strategies, as 90% of the studied buildings required a further detailed analyses to pinpoint their exact seismic vulnerability performance. Most of the surveyed buildings were predicted to experience moderate-to-substantial damage, with 220 out of 500 being classed as damage state 2 (D2) and damage state 3 (D3). A GIS map, “RVS Malaysian Form-George Town Area”, was generated via ArcGIS and shared with the public to provide vital information for further research.


1997 ◽  
Vol 36 (1) ◽  
pp. 77-87 ◽  
Author(s):  
Nicholas G. Castle

Long-term care institutions have emerged as dominant sites of death for the elderly. However, studies of this trend have primarily examined nursing homes. The purpose of this research is to determine demographic, functional, disease, and facility predictors and/or correlates of death for the elderly residing in board and care facilities. Twelve factors are found to be significant: proportion of residents older than sixty-five years of age, proportion of residents who are chair- or bed-fast, proportion of residents with HIV, bed size, ownership, chain membership, affiliation with a nursing home, number of health services provided other than by the facility, the number of social services provided other than by the facility, the number of social services provided by the facility, and visits by Ombudsmen. These are discussed and comparisons with similar studies in nursing homes are made.


2021 ◽  
pp. 1-15
Author(s):  
Manu J. Sharma ◽  
Brandy L. Callahan

Background: Mild cognitive impairment (MCI) is considered by some to be a prodromal phase of a progressive disease (i.e., neurodegeneration) resulting in dementia; however, a substantial portion of individuals (ranging from 5–30%) remain cognitively stable over the long term (sMCI). The etiology of sMCI is unclear but may be linked to cerebrovascular disease (CVD), as evidence from longitudinal studies suggest a significant proportion of individuals with vasculopathy remain stable over time. Objective: To quantify the presence of neurodegenerative and vascular pathologies in individuals with long-term (>5-year) sMCI, in a preliminary test of the hypothesis that CVD may be a contributor to non-degenerative cognitive impairment. We expect frequent vasculopathy at autopsy in sMCI relative to neurodegenerative disease, and relative to individuals who convert to dementia. Methods: In this retrospective study, using data from the National Alzheimer’s Coordinating Center, individuals with sMCI (n = 28) were compared to those with MCI who declined over a 5 to 9-year period (dMCI; n = 139) on measures of neurodegenerative pathology (i.e., Aβ plaques, neurofibrillary tangles, TDP-43, and cerebral amyloid angiopathy) and CVD (infarcts, lacunes, microinfarcts, hemorrhages, and microbleeds). Results: Alzheimer’s disease pathology (Aβ plaques, neurofibrillary tangles, and cerebral amyloid angiopathy) was significantly higher in the dMCI group than the sMCI group. Microinfarcts were the only vasculopathy associated with group membership; these were more frequent in sMCI. Conclusion: The most frequent neuropathology in this sample of long-term sMCI was microinfarcts, tentatively suggesting that silent small vessel disease may characterize non-worsening cognitive impairment.


2021 ◽  
Vol 14 (4) ◽  
pp. e242495
Author(s):  
Nagara Takao ◽  
Toshiya Murai ◽  
Hironobu Fujiwara

Dopamine supersensitivity psychosis (DSP) frequently arises with long-term antipsychotic treatment and accounts for a significant proportion of treatment-resistant schizophrenia. The mechanism underlying DSP is thought to be a compensatory increase in dopamine receptor density in the striatum caused by long-term antipsychotic treatment. Previous animal studies have reported that antipsychotics increase serotonin 5-HT2A receptor density in the striatum and that 5-HT2A receptor blockers suppress dopamine-sensitive psychomotor activity, which may be linked to the pathophysiology of DSP. In this paper, we describe a patient who was hospitalised with treatment-resistant schizophrenia. Following treatment with high-dose antipsychotic polypharmacy for 10 weeks, the patient experienced worsening of psychotic and extrapyramidal symptoms. The patient was then started on second-generation antipsychotic asenapine while other antipsychotics were tapered off, resulting in improvement of these symptoms. Retrospectively, we presumed that the high-dose antipsychotic polypharmacy caused DSP, which was effectively treated by the potent 5-HT2A receptor antagonism of asenapine.


2021 ◽  
Vol 22 (2) ◽  
pp. 912
Author(s):  
Nabila Seddiki ◽  
John Zaunders ◽  
Chan Phetsouphanh ◽  
Vedran Brezar ◽  
Yin Xu ◽  
...  

HIV-1 infection rapidly leads to a loss of the proliferative response of memory CD4+ T lymphocytes, when cultured with recall antigens. We report here that CD73 expression defines a subset of resting memory CD4+ T cells in peripheral blood, which highly express the α-chain of the IL-7 receptor (CD127), but not CD38 or Ki-67, yet are highly proliferative in response to mitogen and recall antigens, and to IL-7, in vitro. These cells also preferentially express CCR5 and produce IL-2. We reasoned that CD73+ memory CD4+ T cells decrease very early in HIV-1 infection. Indeed, CD73+ memory CD4+ T cells comprised a median of 7.5% (interquartile range: 4.5–10.4%) of CD4+ T cells in peripheral blood from healthy adults, but were decreased in primary HIV-1 infection to a median of 3.7% (IQR: 2.6–6.4%; p = 0.002); and in chronic HIV-1 infection to 1.9% (IQR: 1.1–3%; p < 0.0001), and were not restored by antiretroviral therapy. Moreover, we found that a significant proportion of CD73+ memory CD4+ T cells were skewed to a gut-homing phenotype, expressing integrins α4 and β7, CXCR3, CCR6, CD161 and CD26. Accordingly, 20% of CD4+ T cells present in gut biopsies were CD73+. In HIV+ subjects, purified CD73+ resting memory CD4+ T cells in PBMC were infected with HIV-1 DNA, determined by real-time PCR, to the same level as for purified CD73-negative CD4+ T cells, both in untreated and treated subjects. Therefore, the proliferative CD73+ subset of memory CD4+ T cells is disproportionately reduced in HIV-1 infection, but, unexpectedly, their IL-7 dependent long-term resting phenotype suggests that residual infected cells in this subset may contribute significantly to the very long-lived HIV proviral DNA reservoir in treated subjects.


2018 ◽  
Vol 19 (12) ◽  
pp. 3888 ◽  
Author(s):  
Aurora Alaguero-Cordovilla ◽  
Francisco Gran-Gómez ◽  
Sergio Tormos-Moltó ◽  
José Pérez-Pérez

Plant roots exploit morphological plasticity to adapt and respond to different soil environments. We characterized the root system architecture of nine wild tomato species and four cultivated tomato (Solanum lycopersicum L.) varieties during early growth in a controlled environment. Additionally, the root system architecture of six near-isogenic lines from the tomato ‘Micro-Tom’ mutant collection was also studied. These lines were affected in key genes of ethylene, abscisic acid, and anthocyanin pathways. We found extensive differences between the studied lines for a number of meaningful morphological traits, such as lateral root distribution, lateral root length or adventitious root development, which might represent adaptations to local soil conditions during speciation and subsequent domestication. Taken together, our results provide a general quantitative framework for comparing root system architecture in tomato seedlings and other related species.


2018 ◽  
Vol 34 (3) ◽  
pp. 1515-1541 ◽  
Author(s):  
Guo-Liang Ma ◽  
Qiang Xie ◽  
Andrew S. Whittaker

Power transformers and bushings are key pieces of substation equipment and are vulnerable to the effects of earthquake shaking. The seismic performance of a 1,100 kV bushing, used in an ultra-high voltage (UHV) power transformer, is studied using a combination of physical and numerical experiments. The physical experiments utilized an earthquake simulator and included system identification and seismic tests. Modal frequencies and shapes are derived from white noise tests. Acceleration, strain, and displacement responses are obtained from the uniaxial horizontal seismic tests. A finite element model of the 1,100 kV bushing is developed and analyzed, and predicted and measured results are compared. There is reasonably good agreement between predicted and measured responses, enabling the finite element model to be used with confidence for seismic vulnerability studies of transformer-bushing systems. A coupling of the experimental and numerical simulations enabled the vertically installed UHV bushing to be seismically qualified for three-component ground shaking with a horizontal zero-period acceleration of 0.53 g.


1951 ◽  
Vol 41 (1-2) ◽  
pp. 149-162 ◽  
Author(s):  
H. H. Nicholson ◽  
G. Alderman ◽  
D. H. Firth

1. The methods of investigation of the effect of ground water-level on crop growth, together with tho field installations in use, are discussed.2. Direct field experiments are handicapped by the difficulties of achieving close control on a sufficiently large scale, due to considerable variations of surface level and depth of peat within individual fields and to rapid fluctuations in rainfall and evaporation. Many recorded experiments are associated with climatic conditions of substantial precipitation during the growing season.3. Seasonal fluctuations of ground water-level in Fen peat soils in England, in natural and agricultural conditions, are described.4. The local soil conditions are outlined and the implications of profile variations are discussed.5. The effective control of ground water-level on a field scale requires deep and commodious ditches and frequent large underdrains to ensure the movement of water underground with sufficient freedom to give rapid compensatory adjustment for marked disturbances of ground water-level following the incidence of heavy rain or excessive evaporation.6. A working installation for a field experiment in ordinary farming conditions is described and the measure of control attained is indicated.


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