Theoretical Considerations on Mobility Allowance Granted to Long-Term Unemployed

2014 ◽  
Author(s):  
Dan Cristian Top
1994 ◽  
Vol 17 (5) ◽  
pp. 280-293 ◽  
Author(s):  
P. Arru ◽  
S. Rinaldi ◽  
C. Stacchino ◽  
F. Vallana

The hinge design of a new bileaflet valve (Bicarbon) is presented in relation to the long-term durability characteristics. Theoretical considerations supported by experimental findings, lead to the identification of two different wear mechanisms acting in bileaflet valves, i.e. impact and friction wear. Impact wear, caused by the collision between the hinge stops and inflow surface of the leaflet pivots, is the predominant phenomenon; it is mostly influenced by the design of the coupling elements. The wear due to friction is significantly less important, given a proper kinematic coupling and a thorough washout. These different mechanisms can significantly affect the wear resistance and long-term reliability of bileaflet valves; therefore, they have been properly taken into account in designing the new valve model. The safety of the overall material and design solutions adopted in the Bicarbon valve has been confirmed by extensive accelerated durability tests resulting in no mechanical failure or loss of functionality


2001 ◽  
Vol 26 (3) ◽  
pp. 18-22 ◽  
Author(s):  
Neerosh Mudaly ◽  
Chris Goddard

When a child has been abused by his or her father or father-figure and makes the statement ‘I want Dad to come home’, whose voice are we hearing in treatment, how do we interpret and respond to what the child is saying? Understanding and responding to the voices of victims of abuse is a complex issue. This paper explores the issues of listening to and responding to a young vicitm of abuse in the context of the impact of the abuse on this young person, and how these issues emerged and were addressed in the therapeutic process. Amanda, a 13-year-old girl, disclosed sexual abuse by her stepfather. In the initial months of counselling she repeatedly expressed her wish for her stepfather to return home. Amanda’s response to therapy, the short-term and long-term impact issues that were addressed, and the various therapeutic techniques that were used to assist in her recovery, are traced in the context of theoretical considerations.


Author(s):  
Paul C. Liu ◽  
Keith R. MacHutchon

There is clearly no immediate answer to the question posted by the title of this paper. Inasmuch as that there are not much definitively known about rogue waves and that there is still no universally accepted definition for rogue waves in the ocean, we think there might just be even more than one kind of rogue waves to contend with. While the conventional approach has generally designated waves with Hmax∕Hs greater than 2.2 as possible rogue waves, based on Rayleigh distribution considerations, there is conspicuously no provision as to how high the ratio of Hmax∕Hs can be and thus not known how high can a rogue wave be. In our analysis of wave measurements made from a gas-drilling platform in South Indian Ocean, offshore from Mossel Bay, South Africa, we found a number of cases that indicated Hmax∕Hs could be valued in the range between 4 and 10. If this were to be the case, then these records could be considered to be “uncommon” rogue waves, whereas a record of Hmax∕Hs in the range between 2 and 4 could be considered to comprise “typical” rogue waves. On the other hand, the spikes in the Hmax data could have been caused by equipment malfunction or some other phenomenon. Clearly, the question of whether or not there are different kinds of rogue waves cannot be readily answered by theoretical considerations alone and there is a crucial need for long-term wave time-series measurements for studying rogue waves.


Author(s):  
Paul C. Liu ◽  
Keith R. MacHutchon

Inasmuch as there is as yet still no universally accepted definition for rogue waves in the ocean, we think there might just be more than one kind of rogue waves to contend with. While the conventional approach has generally designated waves with Hmax/Hs greater than 2.2 as possible rogue waves, based on Rayleigh distribution considerations, there is conspicuously no provision as to how high the ratio of Hmax/Hs can be. In our analysis of wave measurements made from a gas-drilling platform in South Indian Ocean, offshore from Mossel Bay, South Africa, we found a number of cases that indicated Hmax/Hs could be valued in the range between 4 and 10. If this were to be the case these records could be considered to be “uncommon” rogue waves, whereas a record of Hmax/Hs in the range between 2 and 4 could be considered to comprise “typical” rogue waves. On the other hand the spikes in the Hmax data could have been caused by equipment malfunction or some other phenomenon. Clearly the question of whether or not there are different kinds of rogue waves can not be readily answered by theoretical considerations alone and there is a crucial need for long-term wave time series measurements for studying rogue waves.


Rangifer ◽  
1991 ◽  
Vol 11 (4) ◽  
pp. 53 ◽  
Author(s):  
James A. Schaefer ◽  
Francois Messier

Random environmental influences, such as snow cover, are widely regarded as an integral feature of caribou population dynamics. We conducted computer simulations to explore the ramifications of such stochastic variability for caribou demography. We devised 4 models with increasing levels of complexity: Model 1, density-independence under different levels of stochasticity and r; Model 2, non-linear effect of snow cover on r; Model 3, non-linear effect of snow cover on r and stochasticity as a function of population size; and Model 4, non-linear effect of snow cover on r, stochasticity as a funciton of population size, and density-dependence according to the logistic equation. The results of Model 1 indicated that nearly all caribou populations subject only to environmental vagaries experienced either extincition or irruption. Model 2 revealed that non-linear effect of snow cover depressed the realised r as a function of population size. Finally, Model 4 suggested long-term population as previously reported in literature, but with reduced chance of overshooting K under moderate to high environmental variability.


2020 ◽  
Vol 7 (2) ◽  
pp. 47-57
Author(s):  
Justin Kadi ◽  
Antonia Schneider ◽  
Roman Seidl

Prior to the onset of the pandemic, evidence on the conversion of regular rental housing into permanent holiday homes has fuelled concerns that Airbnb and other short-term rentals contribute to the shortage of affordable homes and to the displacement of regular residents in cities with high housing demand. When the pandemic set in, the media was quick to speculate that holiday homes would be returned to the regular rental market. This paper provides some theoretical reflections on the factors that are driving and impeding such a development and presents preliminary results from an ongoing research project that empirically traces the impacts of COVID-19 on the rental housing market based on an analysis of real estate listings in four large Austrian cities. We argue that a current shift to the regular rental market is likely, but that the medium- and long-term development is uncertain. Empirically, we demonstrate that such a shift has occurred in all four cities considered. We do not find evidence, however, that the increased rental housing supply has dampened rent levels.


2017 ◽  
Vol 21 (1) ◽  
pp. 441-458 ◽  
Author(s):  
Sebastian Sippel ◽  
Jakob Zscheischler ◽  
Martin Heimann ◽  
Holger Lange ◽  
Miguel D. Mahecha ◽  
...  

Abstract. Daily precipitation extremes and annual totals have increased in large parts of the global land area over the past decades. These observations are consistent with theoretical considerations of a warming climate. However, until recently these trends have not been shown to consistently affect dry regions over land. A recent study, published by Donat et al. (2016), now identified significant increases in annual-maximum daily extreme precipitation (Rx1d) and annual precipitation totals (PRCPTOT) in dry regions. Here, we revisit the applied methods and explore the sensitivity of changes in precipitation extremes and annual totals to alternative choices of defining a dry region (i.e. in terms of aridity as opposed to precipitation characteristics alone). We find that (a) statistical artifacts introduced by data pre-processing based on a time-invariant reference period lead to an overestimation of the reported trends by up to 40 %, and that (b) the reported trends of globally aggregated extremes and annual totals are highly sensitive to the definition of a dry region of the globe. For example, using the same observational dataset, accounting for the statistical artifacts, and based on different aridity-based dryness definitions, we find a reduction in the positive trend of Rx1d from the originally reported +1.6 % decade−1 to +0.2 to +0.9 % decade−1 (period changes for 1981–2010 averages relative to 1951–1980 are reduced to −1.32 to +0.97 % as opposed to +4.85 % in the original study). If we include additional but less homogenized data to cover larger regions, the global trend increases slightly (Rx1d: +0.4 to +1.1 % decade−1), and in this case we can indeed confirm (partly) significant increases in Rx1d. However, these globally aggregated estimates remain uncertain as considerable gaps in long-term observations in the Earth's arid and semi-arid regions remain. In summary, adequate data pre-processing and accounting for uncertainties regarding the definition of dryness are crucial to the quantification of spatially aggregated trends in precipitation extremes in the world's dry regions. In view of the high relevance of the question to many potentially affected stakeholders, we call for a well-reflected choice of specific data processing methods and the inclusion of alternative dryness definitions to guarantee that communicated results related to climate change be robust.


1986 ◽  
Vol 87 (5) ◽  
pp. 775-793 ◽  
Author(s):  
E Kumamoto ◽  
K Kuba

A mechanism of the long-term potentiation of transmitter release induced by adrenaline (ALTP) was studied by recording intracellularly the fast excitatory postsynaptic potentials (fast EPSPs). The ALTP was produced during the blockade of K+ channels at the presynaptic terminals by tetraethylammonium (TEA). The synaptic delay, possibly reflecting a relative change in the duration of an action potential at the presynaptic terminal, was not changed during the course of the ALTP. By contrast, it was significantly lengthened by TEA and other K+ channel inhibitors (4-aminopyridine and Cs+) that markedly enhanced the evoked release of transmitter. The magnitude of facilitation of the fast EPSP, induced by a conditional stimulus to the preganglionic nerve, was decreased during the generation of the ALTP, but was unchanged during the potentiation of transmitter release caused by TEA. These results, together with theoretical considerations applying the residual Ca2+ hypothesis to the facilitation, suggest that the enhancement of transmitter release during the ALTP is not caused by an increased Ca2+ influx during a presynaptic impulse owing to the blockade of K+ channel or the modulation of Ca2+ channel, but presumably is induced by a rise in the basal level of free Ca2+ in the presynaptic terminal.


Parasitology ◽  
1991 ◽  
Vol 103 (3) ◽  
pp. 339-355 ◽  
Author(s):  
A. E. Butterworth ◽  
R. F. Sturrock ◽  
J. H. Ouma ◽  
G. G. Mbugua ◽  
A. J. C. Fulford ◽  
...  

A comparison was made of the long-term impact of different methods of administration of chemotherapy (oxamniquine, 30 mg/kg in divided doses; or praziquantel, 40 mg/kg) on prevalence and intensity of Schistosoma mansoni infection in four areas in Kangundo Location, Machakos District, Kenya. In Area A, treatment was offered in October 1983 and again in April 1985 to all infected individuals. In Area H, treatment was offered in April 1985 to individuals excreting ≥ 100 eggs per gram (epg) of faeces. In Area H, treatment was offered in April 1985 to all infected school children, within the framework of the primary schools. In the witness area, Area W, treatment was given in April 1985, for ethical reasons, to a small number of individuals excreting ≥ 800 epg. Prevalence and intensities of infection were subsequently monitored at yearly intervals for three complete post-treatment years. In the Area S schools, clinical examination was also carried out at yearly intervals. Treatment of all infected individuals on two occasions (Area A) was the most effective and long-lasting way of reducing prevalence and intensity of infection. In this area, however, some earlier interventions had been carried out and pre-treatment intensities were lower than in the other areas. Treatment only of infected schoolchildren (Area S) also had a marked and prolonged effect, comparable to or better than treatment of individuals with heavy infections (Area H). Treatment of infected schoolchildren also caused a persistent reduction in the prevalence of hepatomegaly, and there was suggestive evidence from intensities of infection in community stool surveys (but not from incidence rates) of an effect on transmission. In all study areas, reinfection was most rapid and most intense among children. These findings are discussed in the light of theoretical considerations and of results from other studies, both on schistosomiasis and on intestinal helminths. We conclude that, in areas of low morbidity such as Kangundo, chemotherapy of schoolchildren only, at intervals of up to 3 years, is a satisfactory way of producing a long-term reduction in both intensity of infection and morbidity.


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