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2021 ◽  
Vol 4 ◽  
Author(s):  
Timothy M. Shearman ◽  
J. Morgan Varner

Bark is a complex multifunctional structure of woody plants that varies widely among species. Thick bark is a primary trait that can protect trees from heat generated in surface fires. Outer bark on species that allocate resources to thick bark also tends to be rugose, with bark being thickest at the ridges and thinnest in the furrows. Tree diameter or wood diameter is often used as a predictor for bark thickness but little attention has been made on other factors that might affect bark development and allocation. Here we test multiple mixed effect models to evaluate additional factors (height growth rate, measure height) that correlate with bark allocation and present a method to quantify bark rugosity. We focused on seven co-occurring native tree species in the Tallahatchie Experimental Forest in north Mississippi. Approximately ten saplings of Carya tomentosa, Nyssa sylvatica, Prunus serotina, Pinus echinata, Pinus taeda, Quercus marilandica, and Quercus falcata were destructively sampled for stem analyses. Outer bark thickness (OBT) ranged from 0.01 to 0.77 cm with the thickest maximum outer bark occurring on P. taeda (0.77 cm) and the thinnest maximum outer bark occurring on P. serotina (0.17 cm). Our outer bark allocation models suggest that some individuals with rapid height growth allocate less to outer bark in C. tomentosa, N. sylvatica, P. taeda, and P. serotina, but not for P. echinata or either oak species. All species except for C. tomentosa and N. sylvatica showed evidence for outer bark taper, allocating more outer bark at the base of the bole. Inner bark also was tapered in Carya and the oaks. Bark rugosity varied among species from 0.00 (very smooth) to 0.17 (very rugose) with P. Serotina and C. tomentosa having the smoothest bark. OBT was the best fixed effect for all species. Aside from providing data for several important yet understudied species, our rugosity measures offer promise for incorporating into fluid dynamics fire behavior models.


2021 ◽  
Vol 136 (5) ◽  
Author(s):  
N. J. Emmerson ◽  
J. H. Seifert ◽  
D. E. Watkinson

AbstractSince its introduction to the field of heritage science, oxygen consumption has found multiple applications in the assessment of artefact stability and the examination of conservation treatment efficiencies. Early papers identified various factors affecting oxygen measurements and produced preliminary data on their effects. This paper follows on from the early research by other workers and presents guidance on the application of oxygen consumption as a proxy corrosion rate measurement based on a decade of experience at Cardiff University. It examines the rationale for key aspects of the Cardiff protocols for oxygen consumption and presents data to underpin these. Finally, it provides instructional guidance for heritage scientists adopting oxygen consumption for their research applications.


Author(s):  
Lilia Andreevna GARANINA ◽  
Artem Aleksandrovich NAZAROV

The functions of nurses in the department of gastroenterology are diverse. Nurses perform a wide range of medical appointments (injections, enemas, medication distribution, etc.), diagnostic procedures (body temperature measurement, gastric and duodenal intubation, etc.). If necessary, nurses should be able to calculate the respiratory rate and pulse rate, measure blood pressure, daily urine output, correctly collect the patient’s secretions (sputum, urine, feces) for analysis and send them to the laboratory. In urgent situations, nurses are required to be able to provide first aid (artificial respiration, chest compressions, the application of a hemostatic tourniquet) as well as first aid for gastrointestinal bleeding. This article presents evidence that the role of the nurse in gastroenterology is very important. Since some diseases in gastroenterology require urgent surgical intervention, a nurse is responsible for conducting a high-quality nursing process in the preoperative period and postoperatively for proper and timely nutrition of patients, organizes feeding of patients on strict bed rest, monitors the storage of food in refrigerators and bedside bedside tables, check the content and quality of programs.


PeerJ ◽  
2020 ◽  
Vol 8 ◽  
pp. e8898
Author(s):  
Peter Pyle ◽  
Kenneth R. Foster ◽  
Christine M. Godwin ◽  
Danielle R. Kaschube ◽  
James F. Saracco

Landbird vital rates, such as productivity and adult survivorship, can be estimated by modeling mist-netting capture data. The proportion in which an adult breeding bird is 1 year of age (a “yearling”), however, has been studied only minimally in a few landbird species. Here we relate yearling proportion to habitat-structure covariates, including reclamation age, in a boreal forest landbird community. Data were collected at 35 constant-effort mist-netting stations over a 6-year period, and consisted of 12,714 captures of adults, of 29 landbird species, including 4,943 captures of yearlings. Accuracy of age determination (yearling or older) was assessed based on recapture data and error rates were estimated at a mean of 8.1% (range 0.0–19.4%) among the 29 species, with 20 species showing age-error rates <10%. The estimated mean yearling proportion was 0.407, ranging from 0.178 to 0.613 among species. Remote-sensed Enhanced Vegetation Index (EVI), a measure of habitat greenness, was positively correlated with age since reclamation up to 20 years, at which time it became comparable to that of natural stations. The probability of capturing a yearling for species associated with mature forest was lower at stations with higher EVI and the opposite was the case for species favoring successional habitats. These results suggest that yearling birds are being excluded from preferred breeding habitats by older birds through despotism and/or that yearlings are simply selecting poorer habitat due to lack of breeding experience or other factors. This dynamic appears to be operating in multiple species within this forest landbird community. Captured yearlings may also be “floaters”, or non-breeding individuals not holding territories. However, presuming that yearlings show lower reproductive success whether floating or not, our results suggest that stations with high yearling proportions could be located within sink as opposed to source habitats. Overall, we infer that yearling proportion may become an important vital-rate measure of habitat quality and reclamation efforts, when combined with indices of population size, productivity, reproductive condition and survivorship.


2019 ◽  
Vol 8 (6) ◽  
pp. 271 ◽  
Author(s):  
Yuanxuan Yang ◽  
Alison Heppenstall ◽  
Andy Turner ◽  
Alexis Comber

This study describes the integration and analysis of travel smart card data (SCD) with points of interest (POIs) from social media for a case study in Shenzhen, China. SCD ticket price with tap-in and tap-out times was used to identify different groups of travellers. The study examines the temporal variations in mobility, identifies different groups of users and characterises their trip purpose and identifies sub-groups of users with different travel patterns. Different groups were identified based on their travel times and trip costs. The trip purpose associated with different groups was evaluated by constructing zones around metro station locations and identifying the POIs in each zone. Each POI was allocated to one of six land use types, and each zone was allocated a set of land use weights based on the number of POI check-ins for the POIs in that zone. Trip purpose was then inferred from trip time linked to the land use at the origin and destination zones using a novel “land use change rate” measure. A cluster analysis was used to identify sub-groups of users based on individual temporal travel patterns, which were used to generate a novel “boarding time profile”. The results show how different groups of users can be identified and the differences in trip times and trip purpose quantified between and within groups. Limitations of the study are discussed and a number of areas for further work identified, including linking to socioeconomic data and a deeper consideration of the timestamps of POI check-ins to support the inference of dynamic and multiple land uses at one location. The methods and metrics developed by this research use social media POI data to semantically contextualise information derived from the SCD and to overcome the drawbacks and limitations of traditional travel survey data. They are novel and generalizable to other studies. They quantify spatiotemporal mobility patterns for different groups of travellers and infer how their purposes of their journeys change through the day. In so doing, they support a more nuanced and detailed view of who, where, when and why people use city spaces.


2017 ◽  
Vol 33 (3) ◽  
pp. 337-365 ◽  
Author(s):  
Christian Tarsney

Abstract:I argue that the use of a social discount rate to assess the consequences of climate policy is unhelpful and misleading. I consider two lines of justification for discounting: (i) ethical arguments for a ‘pure rate of time preference’ and (ii) economic arguments that take time as a proxy for economic growth and the diminishing marginal utility of consumption. In both cases I conclude that, given the long time horizons, distinctive uncertainties, and particular costs and benefits at stake in the climate context, discount rates are at best a poor proxy for the normative considerations they are meant to represent.


2016 ◽  
Vol 264 (4) ◽  
pp. 566-574 ◽  
Author(s):  
Kristen A. Ban ◽  
Mark E. Cohen ◽  
Clifford Y. Ko ◽  
Mark W. Friedberg ◽  
Jonah J. Stulberg ◽  
...  

2016 ◽  
Vol 46 (3) ◽  
pp. 627-676 ◽  
Author(s):  
Bonnie-Jeanne MacDonald ◽  
Lars Osberg ◽  
Kevin D. Moore

AbstractWill 70% of a worker's final annual employment earnings sustain living standards after retirement? Despite increasing skepticism, the most dominant measure of retirement income adequacy by financial planners, pensions plan advisors, academics and public policy makers is the “final employment earnings replacement rate”, where 70% is considered the right target to ensure living standards remain at approximately the same level after retirement. Using Statistics Canada's LifePaths dynamic population micro-simulation model, this paper asks whether those individuals from the 1951–1958 Canadian birth cohort who attain roughly a 70% final employment earnings replacement rate (as conventionally measured) at retirement do, in fact, achieve approximate continuity in their living standards. We find that the conventional final earnings replacement rate measure has little predictive value for living standards continuity between working-life and retirement. The primary reason is that employment earnings in a single year is not a reliable representation of a worker's standard of living — it relies on an inadequate pre-retirement measurement period, does not incorporate important components of consumption sources (such as home equity), and ignores household size (particularly children). As a result, we find that the correlation between the conventional earnings replacement rate and actual living standards continuity is relatively low (0.11). The paper therefore suggests an alternative metric for assessing how well a worker's living standard is maintained after retirement — i.e., the Living Standards Replacement Rate, or the LSRR. The LSRR provides a more accurate, understandable and consistent measure of retirement income adequacy.


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