Rotational traction testing : How can we improve the current test device?
- Twomey, Dara, Connell, Monique, Petrass, Lauren
- Authors: Twomey, Dara , Connell, Monique , Petrass, Lauren
- Date: 2014
- Type: Text , Conference paper
- Relation: 2014 10th Conference of the International Sports Engineering Association, ISEA 2014; Sheffield, United Kingdom; 14th-17th July 2014; published in Procedia Engineering, Vol. 72, p. 919-924
- Full Text:
- Reviewed:
- Description: Rotational resistance is an important sports surface property in optimising both performance and safety for participants. Despite various attempts to create valid devices to measure the rotational traction, the Studded Boot Apparatus (SBA) originally developed in 1975 is still used in the synthetic turf standards of many governing bodies of sport. In addition to validity limitations, poor operator reliability of the SBA has been reported and it was postulated that the manual nature of the device contributed significantly to this result. Therefore, the aim of this paper is to present data on the automation of the SBA and to discuss the reliability and validity issues of the device. An automated version of the SBA was developed called the UB Turf Tester (UBTT) and data was collected by ten inexperienced operators using the original SBA and the UBTT. Testing was undertaken on a synthetic turf and each operator completed ten trials with each device. Despite a slightly greater peak traction value for the UBTT, there was no significant difference between the peak traction for the two devices, F 1,2 = 0.341, p = 0.57. Greater reliability was found between operators for the UB Turf Tester. Given that the SBA is still commonly used to comply with standards, achieving the highest level of intra- and inter-operator reliability is both desirable and invaluable. However, the research on the validity of the device also needs to continue. Interestingly, limitations of the device were identified when it was first developed but very few adaptations have been implemented since then. Undoubtedly, the interaction between the human and the surface is a complex phenomenon but the weight force, the level of penetration, the pattern, shape and position of the cleats and the possibility of measuring rotational stiffness rather than peak traction all require further discussion and investigation.
- Authors: Twomey, Dara , Connell, Monique , Petrass, Lauren
- Date: 2014
- Type: Text , Conference paper
- Relation: 2014 10th Conference of the International Sports Engineering Association, ISEA 2014; Sheffield, United Kingdom; 14th-17th July 2014; published in Procedia Engineering, Vol. 72, p. 919-924
- Full Text:
- Reviewed:
- Description: Rotational resistance is an important sports surface property in optimising both performance and safety for participants. Despite various attempts to create valid devices to measure the rotational traction, the Studded Boot Apparatus (SBA) originally developed in 1975 is still used in the synthetic turf standards of many governing bodies of sport. In addition to validity limitations, poor operator reliability of the SBA has been reported and it was postulated that the manual nature of the device contributed significantly to this result. Therefore, the aim of this paper is to present data on the automation of the SBA and to discuss the reliability and validity issues of the device. An automated version of the SBA was developed called the UB Turf Tester (UBTT) and data was collected by ten inexperienced operators using the original SBA and the UBTT. Testing was undertaken on a synthetic turf and each operator completed ten trials with each device. Despite a slightly greater peak traction value for the UBTT, there was no significant difference between the peak traction for the two devices, F 1,2 = 0.341, p = 0.57. Greater reliability was found between operators for the UB Turf Tester. Given that the SBA is still commonly used to comply with standards, achieving the highest level of intra- and inter-operator reliability is both desirable and invaluable. However, the research on the validity of the device also needs to continue. Interestingly, limitations of the device were identified when it was first developed but very few adaptations have been implemented since then. Undoubtedly, the interaction between the human and the surface is a complex phenomenon but the weight force, the level of penetration, the pattern, shape and position of the cleats and the possibility of measuring rotational stiffness rather than peak traction all require further discussion and investigation.
The need for speed: Timely prevention of the dispersal of noxious weeds in relief fodder using efficient sampling procedures
- Weller, Sandra, Florentine, Singarayer, Sillitoe, Jim, Grech, Charles, McLaren, David, Chauhan, Bhagirath
- Authors: Weller, Sandra , Florentine, Singarayer , Sillitoe, Jim , Grech, Charles , McLaren, David , Chauhan, Bhagirath
- Date: 2015
- Type: Text , Journal article
- Relation: Crop Protection Vol. 70, no. (2015), p. 21-27
- Full Text:
- Reviewed:
- Description: Invasive and noxious weeds are well known as a pervasive problem, imposing significant economic burdens on all areas of agriculture. Whilst there are multiple possible pathways of weed dispersal in this industry, of particular interest to this discussion is the unintended dispersal of weed seeds within fodder. During periods of drought or following natural disasters such as wild fire or flood, there arises the urgent need for 'relief' fodder to ensure survival and recovery of livestock. In emergency situations, relief fodder may be sourced from widely dispersed geographic regions, and some of these regions may be invaded by an extensive variety of weeds that are both exotic and detrimental to the intended destination for the fodder. Pasture hay is a common source of relief fodder and it typically consists of a mixture of grassy and broadleaf species that may include noxious weeds. When required urgently, pasture hay for relief fodder can be cut, baled, and transported over long distances in a short period of time, with little opportunity for prebaling inspection. It appears that, at the present time, there has been little effort towards rapid testing of bales, post-baling, for the presence of noxious weeds, as a measure to prevent dispersal of seeds. Published studies have relied on the analysis of relatively small numbers of bales, tested to destruction, in order to reveal seed species for identification and enumeration. The development of faster, more reliable, and non-destructive sampling methods is essential to increase the fodder industry's capacity to prevent the dispersal of noxious weeds to previously unaffected locales.
- Authors: Weller, Sandra , Florentine, Singarayer , Sillitoe, Jim , Grech, Charles , McLaren, David , Chauhan, Bhagirath
- Date: 2015
- Type: Text , Journal article
- Relation: Crop Protection Vol. 70, no. (2015), p. 21-27
- Full Text:
- Reviewed:
- Description: Invasive and noxious weeds are well known as a pervasive problem, imposing significant economic burdens on all areas of agriculture. Whilst there are multiple possible pathways of weed dispersal in this industry, of particular interest to this discussion is the unintended dispersal of weed seeds within fodder. During periods of drought or following natural disasters such as wild fire or flood, there arises the urgent need for 'relief' fodder to ensure survival and recovery of livestock. In emergency situations, relief fodder may be sourced from widely dispersed geographic regions, and some of these regions may be invaded by an extensive variety of weeds that are both exotic and detrimental to the intended destination for the fodder. Pasture hay is a common source of relief fodder and it typically consists of a mixture of grassy and broadleaf species that may include noxious weeds. When required urgently, pasture hay for relief fodder can be cut, baled, and transported over long distances in a short period of time, with little opportunity for prebaling inspection. It appears that, at the present time, there has been little effort towards rapid testing of bales, post-baling, for the presence of noxious weeds, as a measure to prevent dispersal of seeds. Published studies have relied on the analysis of relatively small numbers of bales, tested to destruction, in order to reveal seed species for identification and enumeration. The development of faster, more reliable, and non-destructive sampling methods is essential to increase the fodder industry's capacity to prevent the dispersal of noxious weeds to previously unaffected locales.
QoS support in event detection in WSN through optimal k-coverage
- Alam, Kh Mahmudul, Kamruzzaman, Joarder, Karmakar, Gour, Murhsed, Manzur, Azad, Arman
- Authors: Alam, Kh Mahmudul , Kamruzzaman, Joarder , Karmakar, Gour , Murhsed, Manzur , Azad, Arman
- Date: 2011
- Type: Text , Conference paper
- Relation: 11th International Conference on Computational Science, ICCS 2011; Singapore, Singapore; 1st-3rd June 2011; published in Procedia Computer Science Vol. 4, p. 499-507
- Full Text:
- Reviewed:
- Description: Wireless sensor networks promise to guarantee accurate, fault tolerant and timely detection of events in large scale sensor fields. To achieve this the notion of k-coverage is widely employed in WSNs where significant redundancy is introduced in deployment as an event is expected to be sensed by at least k sensors in the neighborhood. As sensor density increases significantly with k, it is imperative to find the optimal k for the underlying event detection system. In this work, we consider the detection probability, fault tolerance and latency as the Quality of Service (QoS) metrics of an event detection system employing k-coverage and present a probabilistic model to guarantee given QoS support with the minimum degree of coverage taking into account the noise related measurement error, communication interference and sensor fault probability. This work eventually resolves the problem of over or under deployment of sensors, increases scalability and provides a well defined mechanism to tune the degree of coverage according to performance needs.
- Authors: Alam, Kh Mahmudul , Kamruzzaman, Joarder , Karmakar, Gour , Murhsed, Manzur , Azad, Arman
- Date: 2011
- Type: Text , Conference paper
- Relation: 11th International Conference on Computational Science, ICCS 2011; Singapore, Singapore; 1st-3rd June 2011; published in Procedia Computer Science Vol. 4, p. 499-507
- Full Text:
- Reviewed:
- Description: Wireless sensor networks promise to guarantee accurate, fault tolerant and timely detection of events in large scale sensor fields. To achieve this the notion of k-coverage is widely employed in WSNs where significant redundancy is introduced in deployment as an event is expected to be sensed by at least k sensors in the neighborhood. As sensor density increases significantly with k, it is imperative to find the optimal k for the underlying event detection system. In this work, we consider the detection probability, fault tolerance and latency as the Quality of Service (QoS) metrics of an event detection system employing k-coverage and present a probabilistic model to guarantee given QoS support with the minimum degree of coverage taking into account the noise related measurement error, communication interference and sensor fault probability. This work eventually resolves the problem of over or under deployment of sensors, increases scalability and provides a well defined mechanism to tune the degree of coverage according to performance needs.
Understanding personal use of the Internet at work: An integrated model of neutralization techniques and general deterrence theory
- Cheng, Lijiao, Li, Wenli, Zhai, Qingguo, Smyth, Russell
- Authors: Cheng, Lijiao , Li, Wenli , Zhai, Qingguo , Smyth, Russell
- Date: 2014
- Type: Text , Journal article
- Relation: Computers in Human Behavior Vol. 38, no. (September 2014 2014), p. 220-228
- Full Text:
- Reviewed:
- Description: This paper examines the influence of neutralization techniques, perceived sanction severity, perceived detection certainty and perceived benefits of using the Internet for personal purposes on intention to use the Internet at work for personal use. To do so, we draw on a conceptual framework integrating neutralization theory and general deterrence theory. The study finds that both neutralization techniques and perceived benefits have a positive effect on personal use of the Internet. Perceived detection certainty is found to have a negative effect on personal use of the Internet, while the effect of perceived sanctions severity on personal use of the Internet is not significant. The effect of neutralization and perceived benefits are much stronger than perceived detection certainty. The findings suggest that people may think more about neutralization and perceived benefits than they do about costs, when deciding whether to use the Internet at work for personal purposes.
- Description: C1
- Authors: Cheng, Lijiao , Li, Wenli , Zhai, Qingguo , Smyth, Russell
- Date: 2014
- Type: Text , Journal article
- Relation: Computers in Human Behavior Vol. 38, no. (September 2014 2014), p. 220-228
- Full Text:
- Reviewed:
- Description: This paper examines the influence of neutralization techniques, perceived sanction severity, perceived detection certainty and perceived benefits of using the Internet for personal purposes on intention to use the Internet at work for personal use. To do so, we draw on a conceptual framework integrating neutralization theory and general deterrence theory. The study finds that both neutralization techniques and perceived benefits have a positive effect on personal use of the Internet. Perceived detection certainty is found to have a negative effect on personal use of the Internet, while the effect of perceived sanctions severity on personal use of the Internet is not significant. The effect of neutralization and perceived benefits are much stronger than perceived detection certainty. The findings suggest that people may think more about neutralization and perceived benefits than they do about costs, when deciding whether to use the Internet at work for personal purposes.
- Description: C1
Effect of spatial distribution of wax and PEG-isocyanate on the morphology and hydrophobicity of starch films
- Muscat, Delina, Adhikari, Raju, Tobin, Mark, McKnight, Stafford, Wakeling, Lara, Adhikari, Benu
- Authors: Muscat, Delina , Adhikari, Raju , Tobin, Mark , McKnight, Stafford , Wakeling, Lara , Adhikari, Benu
- Date: 2014
- Type: Text , Journal article
- Relation: Carbohydrate Polymers Vol. 111, no. (2014), p. 333-347
- Full Text:
- Reviewed:
- Description: This study proposes a novel method for improving surface hydrophobicity of glycerol plasticized high amylose (HAG) films. We used polyethylene glycol isocyanate (PEG-iso) crosslinker to link HAG and three natural waxes (beeswax, candelilla wax and carnauba wax) to produce HAG + wax + PEG-iso films. The spatial distributions of wax and PEG-iso across the thickness of these films were determined using Synchrotron-based Fourier transform infrared spectroscopy. The hydrophobicity and surface morphology of the films were determined using contact angle (CA) and scanning electron microscopic measurements, respectively. The distribution patterns of wax and the PEG-iso across the thickness of the film, and the nature of crystalline patterns formed on the surface of these films were found to be the key factors affecting surface hydrophobicity. The highest hydrophobicity (CA >90°) was created when the PEG-iso was primarily distributed in the interior of the films and a hierarchical circular pinnacle structure of solidified wax was formed on the surface. © 2014 Elsevier Ltd.
- Authors: Muscat, Delina , Adhikari, Raju , Tobin, Mark , McKnight, Stafford , Wakeling, Lara , Adhikari, Benu
- Date: 2014
- Type: Text , Journal article
- Relation: Carbohydrate Polymers Vol. 111, no. (2014), p. 333-347
- Full Text:
- Reviewed:
- Description: This study proposes a novel method for improving surface hydrophobicity of glycerol plasticized high amylose (HAG) films. We used polyethylene glycol isocyanate (PEG-iso) crosslinker to link HAG and three natural waxes (beeswax, candelilla wax and carnauba wax) to produce HAG + wax + PEG-iso films. The spatial distributions of wax and PEG-iso across the thickness of these films were determined using Synchrotron-based Fourier transform infrared spectroscopy. The hydrophobicity and surface morphology of the films were determined using contact angle (CA) and scanning electron microscopic measurements, respectively. The distribution patterns of wax and the PEG-iso across the thickness of the film, and the nature of crystalline patterns formed on the surface of these films were found to be the key factors affecting surface hydrophobicity. The highest hydrophobicity (CA >90°) was created when the PEG-iso was primarily distributed in the interior of the films and a hierarchical circular pinnacle structure of solidified wax was formed on the surface. © 2014 Elsevier Ltd.
Assessment of post-contingency congestion risk of wind power with asset dynamic ratings
- Banerjee, Binayak, Jayaweera, Dilan, Islam, Syed
- Authors: Banerjee, Binayak , Jayaweera, Dilan , Islam, Syed
- Date: 2015
- Type: Text , Journal article
- Relation: International Journal of Electrical Power and Energy Systems Vol. 69, no. (2015), p. 295-303
- Full Text:
- Reviewed:
- Description: Large scale integration of wind power can be deterred by congestion following an outage that results in constrained network capacity. Post outage congestion can be mitigated by the application of event control strategies; however they may not always benefit large wind farms. This paper investigates this problem in detail and proposes an advanced mathematical framework to model network congestion as functions of stochastic limits of network assets to capture post contingency risk of network congestion resulting through the constrained network capacity that limits high penetration of wind. The benefit of this approach is that it can limit the generation to be curtailed or re-dispatched by dynamically enhancing the network latent capacity in the event of outages or as per the need. The uniqueness of the proposed mathematical model is that it converts conventional thermal constraints to dynamic constraints by using a discretized stochastic penalty function with quadratic approximation of constraint relaxation penalty. The case study results with large and small network models suggest that the following an outage, wind utilization under dynamic line rating can be increased considerably if the wind power producers maintain around a 15% margin of operation.
- Authors: Banerjee, Binayak , Jayaweera, Dilan , Islam, Syed
- Date: 2015
- Type: Text , Journal article
- Relation: International Journal of Electrical Power and Energy Systems Vol. 69, no. (2015), p. 295-303
- Full Text:
- Reviewed:
- Description: Large scale integration of wind power can be deterred by congestion following an outage that results in constrained network capacity. Post outage congestion can be mitigated by the application of event control strategies; however they may not always benefit large wind farms. This paper investigates this problem in detail and proposes an advanced mathematical framework to model network congestion as functions of stochastic limits of network assets to capture post contingency risk of network congestion resulting through the constrained network capacity that limits high penetration of wind. The benefit of this approach is that it can limit the generation to be curtailed or re-dispatched by dynamically enhancing the network latent capacity in the event of outages or as per the need. The uniqueness of the proposed mathematical model is that it converts conventional thermal constraints to dynamic constraints by using a discretized stochastic penalty function with quadratic approximation of constraint relaxation penalty. The case study results with large and small network models suggest that the following an outage, wind utilization under dynamic line rating can be increased considerably if the wind power producers maintain around a 15% margin of operation.
Simplifying and improving ant-based clustering
- Tan, Swee, Ting, Kaiming, Teng, Shyh
- Authors: Tan, Swee , Ting, Kaiming , Teng, Shyh
- Date: 2011
- Type: Text , Conference paper
- Relation: 11th International Conference on Computational Science, ICCS 2011; Singapore, Singapore; 1st-3rd June 2011, published in Procedia Computer Science Vol. 4, p. 46-55
- Full Text:
- Reviewed:
- Description: Ant-based clustering (ABC) is a data clustering approach inspired from cemetery formation activities observed in real ant colonies. Building upon the premise of collective intelligence, such an approach uses multiple ant-like agents and a mixture of heuristics, in order to create systems that are capable of clustering real-world data. Many recently proposed ABC systems have shown competitive results, but these systems are geared towards adding new heuristics, resulting in increasingly complex systems that are harder to understand and improve. In contrast to this direction, we demonstrate that a state-of-the-art ABC system can be systematically evaluated and then simplified. The streamlined model, which we call SABC, differs fundamentally from traditional ABC systems as it does not use the ant-colony and several key components. Yet, our empirical study shows that SABC performs more effectively and effciently than the state-of-the-art ABC system.
- Authors: Tan, Swee , Ting, Kaiming , Teng, Shyh
- Date: 2011
- Type: Text , Conference paper
- Relation: 11th International Conference on Computational Science, ICCS 2011; Singapore, Singapore; 1st-3rd June 2011, published in Procedia Computer Science Vol. 4, p. 46-55
- Full Text:
- Reviewed:
- Description: Ant-based clustering (ABC) is a data clustering approach inspired from cemetery formation activities observed in real ant colonies. Building upon the premise of collective intelligence, such an approach uses multiple ant-like agents and a mixture of heuristics, in order to create systems that are capable of clustering real-world data. Many recently proposed ABC systems have shown competitive results, but these systems are geared towards adding new heuristics, resulting in increasingly complex systems that are harder to understand and improve. In contrast to this direction, we demonstrate that a state-of-the-art ABC system can be systematically evaluated and then simplified. The streamlined model, which we call SABC, differs fundamentally from traditional ABC systems as it does not use the ant-colony and several key components. Yet, our empirical study shows that SABC performs more effectively and effciently than the state-of-the-art ABC system.
Integrating public health and sport management : Sport participation trends 2001-2010
- Eime, Rochelle, Sawyer, Neroli, Harvey, Jack, Casey, Meghan, Westerbeek, Hans, Payne, Warren
- Authors: Eime, Rochelle , Sawyer, Neroli , Harvey, Jack , Casey, Meghan , Westerbeek, Hans , Payne, Warren
- Date: 2015
- Type: Text , Journal article
- Relation: Sport Management Review Vol. 18, no. 2 (2015), p. 207-217
- Full Text:
- Reviewed:
- Description: In order to inform strategies to increase levels of physical activity (PA) for a healthier society, it is important to understand participation trends in leisure-time physical activity (LTPA). Little is known about the context of LTPA participation, particularly from the perspective of "sport and recreation" (S&R) categories such as organised and club-based activities. The primary aim of this study is to contribute to the sport management literature by specifically examining PA participation levels and trends in Australia over a decade, for those aged 15 years and older, through the lens of S&R. This paper also discusses the potential synergy between the public health and sport management domains with regard to LTPA/S&R. The Australian Sports Commission provided data from the Exercise, Recreation and Sport Survey (ERASS), a population survey conducted quarterly from 2001 to 2010 by computer-assisted telephone interview. Participation in LTPA was analysed by year, gender and age, in three hierarchically related categories: (1) any LTPA participation, (2) participation in an organised context, and (3) organised participation in a club. Participation rates in any LTPA increased significantly over the decade. However, this was not matched by increases in organised and/or club participation, which largely remained steady over the 10-year period. Much of the organised participation was within a club setting, and participation in this context is more likely among males than females. There is some evidence that the overall level of LTPA is increasing, which is positive for health, but there was generally no increase in club-based participation, resulting in sport contributing relatively less to overall population LTPA. However, the depth of information available from population surveys regarding club-based LTPA is insufficient to draw definitive conclusions, or make important strategic decisions about sport and health policy. There is a critical need for more comprehensive sport participation data to provide the evidence for improved programme and policy development. An avenue for this to occur may be through the integration of participation data from peak sport organisations. (C) 2014 Sport Management Association of Australia and New Zealand. Published by Elsevier Ltd. All rights reserved.
- Authors: Eime, Rochelle , Sawyer, Neroli , Harvey, Jack , Casey, Meghan , Westerbeek, Hans , Payne, Warren
- Date: 2015
- Type: Text , Journal article
- Relation: Sport Management Review Vol. 18, no. 2 (2015), p. 207-217
- Full Text:
- Reviewed:
- Description: In order to inform strategies to increase levels of physical activity (PA) for a healthier society, it is important to understand participation trends in leisure-time physical activity (LTPA). Little is known about the context of LTPA participation, particularly from the perspective of "sport and recreation" (S&R) categories such as organised and club-based activities. The primary aim of this study is to contribute to the sport management literature by specifically examining PA participation levels and trends in Australia over a decade, for those aged 15 years and older, through the lens of S&R. This paper also discusses the potential synergy between the public health and sport management domains with regard to LTPA/S&R. The Australian Sports Commission provided data from the Exercise, Recreation and Sport Survey (ERASS), a population survey conducted quarterly from 2001 to 2010 by computer-assisted telephone interview. Participation in LTPA was analysed by year, gender and age, in three hierarchically related categories: (1) any LTPA participation, (2) participation in an organised context, and (3) organised participation in a club. Participation rates in any LTPA increased significantly over the decade. However, this was not matched by increases in organised and/or club participation, which largely remained steady over the 10-year period. Much of the organised participation was within a club setting, and participation in this context is more likely among males than females. There is some evidence that the overall level of LTPA is increasing, which is positive for health, but there was generally no increase in club-based participation, resulting in sport contributing relatively less to overall population LTPA. However, the depth of information available from population surveys regarding club-based LTPA is insufficient to draw definitive conclusions, or make important strategic decisions about sport and health policy. There is a critical need for more comprehensive sport participation data to provide the evidence for improved programme and policy development. An avenue for this to occur may be through the integration of participation data from peak sport organisations. (C) 2014 Sport Management Association of Australia and New Zealand. Published by Elsevier Ltd. All rights reserved.
Bone char as a green sorbent for removing health threatening fluoride from drinking water
- Alkurdi, Susan, Al-Juboori, Raed, Bundschuh, Jochen, Hamawand, Ihsan
- Authors: Alkurdi, Susan , Al-Juboori, Raed , Bundschuh, Jochen , Hamawand, Ihsan
- Date: 2019
- Type: Text , Journal article , Review
- Relation: Environment International Vol. 127, no. (2019), p. 704-719
- Full Text:
- Reviewed:
- Description: Millions of people around the world suffer from or prone to health problems caused by high concentration of fluoride in drinking water sources. One of the environmentally friendly and cost-effective ways for removing fluoride is the use of bone char. In this review, the structural properties and binding affinity of fluoride ions from different water sources was critically discussed. The effect of experimental conditions on enhancing the adsorption capacity of fluoride ions using bone char samples was addressed. It appears that surface properties, and conditions of the bone char production such as temperature and residence time play an important role in designing the optimal fluoride removal process. The optimum temperature for fluoride removal seems to be in the range of 500–700 °C and a residence time of 2 h. Applying various equilibrium adsorption isotherms for understanding fluoride adsorption mechanism was presented. The effect of bone char modification with different elements were discussed and recommendations for a further increase in the removal efficiency was proposed. Cost of bone char production and large-scale treatment systems were also discussed based on information available from scientific and commercial sources. Challenges with existing domestic defluoridation designs were highlighted and suggestions for new conceptual designs were provided.
- Authors: Alkurdi, Susan , Al-Juboori, Raed , Bundschuh, Jochen , Hamawand, Ihsan
- Date: 2019
- Type: Text , Journal article , Review
- Relation: Environment International Vol. 127, no. (2019), p. 704-719
- Full Text:
- Reviewed:
- Description: Millions of people around the world suffer from or prone to health problems caused by high concentration of fluoride in drinking water sources. One of the environmentally friendly and cost-effective ways for removing fluoride is the use of bone char. In this review, the structural properties and binding affinity of fluoride ions from different water sources was critically discussed. The effect of experimental conditions on enhancing the adsorption capacity of fluoride ions using bone char samples was addressed. It appears that surface properties, and conditions of the bone char production such as temperature and residence time play an important role in designing the optimal fluoride removal process. The optimum temperature for fluoride removal seems to be in the range of 500–700 °C and a residence time of 2 h. Applying various equilibrium adsorption isotherms for understanding fluoride adsorption mechanism was presented. The effect of bone char modification with different elements were discussed and recommendations for a further increase in the removal efficiency was proposed. Cost of bone char production and large-scale treatment systems were also discussed based on information available from scientific and commercial sources. Challenges with existing domestic defluoridation designs were highlighted and suggestions for new conceptual designs were provided.
Examining the accuracy and in-game performance effects between pre- and post-performance routines : A mixed methods study
- Mesagno, Christopher, Hill, Denise, Larkin, Paul
- Authors: Mesagno, Christopher , Hill, Denise , Larkin, Paul
- Date: 2015
- Type: Text , Journal article
- Relation: Psychology of Sport and Exercise Vol. 19, no. (2015), p. 85-94
- Full Text:
- Reviewed:
- Description: Objectives: Researchers have identified that pre-performance routines improve performance under pressure, yet have not investigated the effects of post-performance routines. Thus, the purpose of the current study was to examine whether the type of performance routine training could improve tenpin bowling accuracy and in-game performance. Design: A mixed-method design was adopted, whereby the impact of a performance routine intervention on performance accuracy and in-game performance was examined. This was followed by participants completing semi-structured interviews which explored the perceived effect of those routines. Method: Thirty-six experienced tenpin bowlers completed 30 accuracy shots pre- and post-intervention training, with league scores obtained for in-game performance comparison. Four groups (i.e., pre-performance routine [PPR], post-performance routine [POST], combined pre-post routine, and a control group) practiced 12 games across four weeks while listening to the group specific routine instruction on an IPod. Results: It was noted that accuracy improved (albeit non-significantly) for the PPR and combined pre-post routine group, but not the other groups. Critically, all intervention groups (PPR, POST & COMBO) improved in-game performance. The qualitative data indicated that both the PPR and POST was perceived to influence positively performance, attentional and emotional control, self-awareness, self-confidence, motivation. The PPR was also considered to enhance a state of readiness, and perceived control. Conclusions: Results indicate that the PPR training enhanced accuracy and in-game performance, with the POST training acting as a supportive role for in-game performance as evidenced by the qualitative and quantitative data. Future research should continue to investigate the effects of POSTs. (C) 2015 Elsevier Ltd. All rights reserved.
- Authors: Mesagno, Christopher , Hill, Denise , Larkin, Paul
- Date: 2015
- Type: Text , Journal article
- Relation: Psychology of Sport and Exercise Vol. 19, no. (2015), p. 85-94
- Full Text:
- Reviewed:
- Description: Objectives: Researchers have identified that pre-performance routines improve performance under pressure, yet have not investigated the effects of post-performance routines. Thus, the purpose of the current study was to examine whether the type of performance routine training could improve tenpin bowling accuracy and in-game performance. Design: A mixed-method design was adopted, whereby the impact of a performance routine intervention on performance accuracy and in-game performance was examined. This was followed by participants completing semi-structured interviews which explored the perceived effect of those routines. Method: Thirty-six experienced tenpin bowlers completed 30 accuracy shots pre- and post-intervention training, with league scores obtained for in-game performance comparison. Four groups (i.e., pre-performance routine [PPR], post-performance routine [POST], combined pre-post routine, and a control group) practiced 12 games across four weeks while listening to the group specific routine instruction on an IPod. Results: It was noted that accuracy improved (albeit non-significantly) for the PPR and combined pre-post routine group, but not the other groups. Critically, all intervention groups (PPR, POST & COMBO) improved in-game performance. The qualitative data indicated that both the PPR and POST was perceived to influence positively performance, attentional and emotional control, self-awareness, self-confidence, motivation. The PPR was also considered to enhance a state of readiness, and perceived control. Conclusions: Results indicate that the PPR training enhanced accuracy and in-game performance, with the POST training acting as a supportive role for in-game performance as evidenced by the qualitative and quantitative data. Future research should continue to investigate the effects of POSTs. (C) 2015 Elsevier Ltd. All rights reserved.
Arylpyrrole and fipronil analogues that inhibit the motility and/or development of Haemonchus contortus in vitro
- Herath, Dilrukshi, Song, Hongjian, Preston, Sarah, Jabbar, Abdul, Wang, Tao, McGee, Sean, Hofmann, Andreas, Garcia-Bustos, Jose, Chang, Bill, Koehler, Anson, Liu, Yuxiu, Ma, Qiaoqiao, Zhang, Penqxiang, Zhao, Qiqi, Wang, Qingmin, Gasser, Robin
- Authors: Herath, Dilrukshi , Song, Hongjian , Preston, Sarah , Jabbar, Abdul , Wang, Tao , McGee, Sean , Hofmann, Andreas , Garcia-Bustos, Jose , Chang, Bill , Koehler, Anson , Liu, Yuxiu , Ma, Qiaoqiao , Zhang, Penqxiang , Zhao, Qiqi , Wang, Qingmin , Gasser, Robin
- Date: 2018
- Type: Text , Journal article
- Relation: International Journal for Parasitology: Drugs and Drug Resistance Vol. 8, no. 3 (2018), p. 379-385
- Full Text:
- Reviewed:
- Description: Due to widespread drug resistance in parasitic nematodes, there is a need to develop new anthelmintics. Given the cost and time involved in developing a new drug, the repurposing of known chemicals can be a promising, alternative approach. In this context, we tested a library (n = 600) of natural product-inspired pesticide analogues against exsheathed third stage-larvae (xL3s) of Haemonchus contortus (barber's pole worm) using a whole-organism, phenotypic screening technique that measures the inhibition of motility and development in treated larvae. In the primary screen, we identified 32 active analogues derived from chemical scaffolds of arylpyrrole or fipronil. The seven most promising compounds, selected based on their anthelmintic activity and/or limited cytotoxicity, are arylpyrroles that reduced the motility of fourth-stage larvae (L4s) with significant potency (IC 50 values ranged from 0.04 ± 0.01
- Authors: Herath, Dilrukshi , Song, Hongjian , Preston, Sarah , Jabbar, Abdul , Wang, Tao , McGee, Sean , Hofmann, Andreas , Garcia-Bustos, Jose , Chang, Bill , Koehler, Anson , Liu, Yuxiu , Ma, Qiaoqiao , Zhang, Penqxiang , Zhao, Qiqi , Wang, Qingmin , Gasser, Robin
- Date: 2018
- Type: Text , Journal article
- Relation: International Journal for Parasitology: Drugs and Drug Resistance Vol. 8, no. 3 (2018), p. 379-385
- Full Text:
- Reviewed:
- Description: Due to widespread drug resistance in parasitic nematodes, there is a need to develop new anthelmintics. Given the cost and time involved in developing a new drug, the repurposing of known chemicals can be a promising, alternative approach. In this context, we tested a library (n = 600) of natural product-inspired pesticide analogues against exsheathed third stage-larvae (xL3s) of Haemonchus contortus (barber's pole worm) using a whole-organism, phenotypic screening technique that measures the inhibition of motility and development in treated larvae. In the primary screen, we identified 32 active analogues derived from chemical scaffolds of arylpyrrole or fipronil. The seven most promising compounds, selected based on their anthelmintic activity and/or limited cytotoxicity, are arylpyrroles that reduced the motility of fourth-stage larvae (L4s) with significant potency (IC 50 values ranged from 0.04 ± 0.01
Risk constrained short-term scheduling with dynamic line ratings for increased penetration of wind power
- Banerjee, Binayak, Jayaweera, Dilan, Islam, Syed
- Authors: Banerjee, Binayak , Jayaweera, Dilan , Islam, Syed
- Date: 2015
- Type: Text , Journal article
- Relation: Renewable Energy Vol. 83, no. (2015), p. 1139-1146
- Full Text:
- Reviewed:
- Description: Limited transmission capacity may lead to network congestion which results in wind curtailment during periods of high availability of wind. Conventional congestion management techniques usually involve generation management which may not always benefit large wind farms. This paper investigates the problem in detail and presents an improved methodology to quantify the latent scheduling capacity of a power system taking into account stochastic variation in line-thermal rating, intermittency of wind, and mitigating the risk of network congestion associated with high penetration of wind. The mathematical model converts conventional thermal constraints to dynamic constraints by using a discretized stochastic penalty function with quadratic approximation of constraint relaxation risk. The uniqueness of the approach is that it can limit the generation to be curtailed or re-dispatch by dynamically enhancing the network latent capacity as per the need. The approach is aimed at strategic planning of power systems in the context of power systems with short to medium length lines with a priori known unit commitment decisions and uses stochastic optimization with a two stage recourse action. Results suggest that a considerable level of wind penetration is possible with dynamic line ratings, without adversely affecting the risk of network congestion.
- Authors: Banerjee, Binayak , Jayaweera, Dilan , Islam, Syed
- Date: 2015
- Type: Text , Journal article
- Relation: Renewable Energy Vol. 83, no. (2015), p. 1139-1146
- Full Text:
- Reviewed:
- Description: Limited transmission capacity may lead to network congestion which results in wind curtailment during periods of high availability of wind. Conventional congestion management techniques usually involve generation management which may not always benefit large wind farms. This paper investigates the problem in detail and presents an improved methodology to quantify the latent scheduling capacity of a power system taking into account stochastic variation in line-thermal rating, intermittency of wind, and mitigating the risk of network congestion associated with high penetration of wind. The mathematical model converts conventional thermal constraints to dynamic constraints by using a discretized stochastic penalty function with quadratic approximation of constraint relaxation risk. The uniqueness of the approach is that it can limit the generation to be curtailed or re-dispatch by dynamically enhancing the network latent capacity as per the need. The approach is aimed at strategic planning of power systems in the context of power systems with short to medium length lines with a priori known unit commitment decisions and uses stochastic optimization with a two stage recourse action. Results suggest that a considerable level of wind penetration is possible with dynamic line ratings, without adversely affecting the risk of network congestion.
An investigation of correlation factors linking footing resistance on sand with cone penetration test results
- Gavin, Kenneth, Tolooiyan, Ali
- Authors: Gavin, Kenneth , Tolooiyan, Ali
- Date: 2012
- Type: Text , Journal article
- Relation: Computers and Geotechnics Vol. 46, no. (2012), p. 84-92
- Full Text:
- Reviewed:
- Description: Significant research effort has led to improvements in our ability to estimate the ultimate bearing resistance of footings in sand. These techniques often estimate the footing resistance at relatively large displacements, typically 10% of the footing width, q b0.1. Cone Penetration Test (CPT) design methods typically link q b0.1 and q c through a constant reduction factor, α. A range of α factors for shallow footings have been proposed, some methods suggest that α is constant and while others that it varies with footing width and depth (or stress level). There is a dearth of field data with which to compare these correlation factors, in particular where foundation width and depth have been varied in the same ground conditions. For this reason finite element analyses have proven to be a useful tool for performing the parametric studies required to asses factors controlling α. This paper describes the results of numerical analyses performed to investigate α factors for soil profiles which were calibrated using the results of the CPT tests performed at a dense sand test-bed site. The numerical model was first used to perform parametric analyses to consider the effect of footing width, B and footing depth, D on the α factor mobilised in dense Blessington sand. In order to assess the effects of relative density, footing tests in a range of natural sands with variable in situ densities were modeled. The results of the finite element analyses suggest that a direct correlation between q b0.1 and q c can be established at a given test site which is independent of footing width and depth and is relatively weakly dependent on the sands relative density if the zone of influence of the foundation considered is large enough. © 2012 Elsevier Ltd.
- Authors: Gavin, Kenneth , Tolooiyan, Ali
- Date: 2012
- Type: Text , Journal article
- Relation: Computers and Geotechnics Vol. 46, no. (2012), p. 84-92
- Full Text:
- Reviewed:
- Description: Significant research effort has led to improvements in our ability to estimate the ultimate bearing resistance of footings in sand. These techniques often estimate the footing resistance at relatively large displacements, typically 10% of the footing width, q b0.1. Cone Penetration Test (CPT) design methods typically link q b0.1 and q c through a constant reduction factor, α. A range of α factors for shallow footings have been proposed, some methods suggest that α is constant and while others that it varies with footing width and depth (or stress level). There is a dearth of field data with which to compare these correlation factors, in particular where foundation width and depth have been varied in the same ground conditions. For this reason finite element analyses have proven to be a useful tool for performing the parametric studies required to asses factors controlling α. This paper describes the results of numerical analyses performed to investigate α factors for soil profiles which were calibrated using the results of the CPT tests performed at a dense sand test-bed site. The numerical model was first used to perform parametric analyses to consider the effect of footing width, B and footing depth, D on the α factor mobilised in dense Blessington sand. In order to assess the effects of relative density, footing tests in a range of natural sands with variable in situ densities were modeled. The results of the finite element analyses suggest that a direct correlation between q b0.1 and q c can be established at a given test site which is independent of footing width and depth and is relatively weakly dependent on the sands relative density if the zone of influence of the foundation considered is large enough. © 2012 Elsevier Ltd.
Complex coacervation between flaxseed protein isolate and flaxseed gum
- Kaushik, Pratibha, Dowling, Kim, Barrow, Colin, Adhikari, Benu
- Authors: Kaushik, Pratibha , Dowling, Kim , Barrow, Colin , Adhikari, Benu
- Date: 2015
- Type: Text , Journal article
- Relation: Food Research International Vol. 72, no. (2015), p. 91-97
- Full Text:
- Reviewed:
- Description:
Flaxseed protein isolate (FPI) and flaxseed gum (FG) were extracted, and the electrostatic complexation between these two biopolymers was studied as a function of pH and FPI-to-FG ratio using turbidimetric and electrophoretic mobility (zeta potential) tests. The zeta potential values of FPI, FG, and their mixtures at the FPI-to-FG ratios of 1:1, 3:1, 5:1, 10:1, 15:1 were measured over a pH range 8.0-1.5. The alteration of the secondary structure of FPI as a function of pH was studied using circular dichroism. The proportion of a-helical structure decreased, whereas both β-sheet structure and random coil structure increased with the lowering of pH from 8.0 to 3.0. The acidic pH affected the secondary structure of FPI and the unfolding of helix conformation facilitated the complexation of FPI with FG. The optimum FPI-to-FG ratio for complex coacervation was found to be 3:1. The critical pH values associated with the formation of soluble (pHc) and insoluble (pH
Φ1 ) complexes at the optimum FPI-to-FG ratio were found to be 6.0 and 4.5, respectively. The optimum pH (pHopt ) for the optimum complex coacervation was 3.1. The instability and dissolution of FPI-FG complex coacervates started (pHΦ2 ) at pH2.1. These findings contribute to the development of FPI-FG complex coacervates as delivery vehicles for unstable albeit valuable nutrients such as omega-3 fatty acids. © 2015.
- Authors: Kaushik, Pratibha , Dowling, Kim , Barrow, Colin , Adhikari, Benu
- Date: 2015
- Type: Text , Journal article
- Relation: Food Research International Vol. 72, no. (2015), p. 91-97
- Full Text:
- Reviewed:
- Description:
Flaxseed protein isolate (FPI) and flaxseed gum (FG) were extracted, and the electrostatic complexation between these two biopolymers was studied as a function of pH and FPI-to-FG ratio using turbidimetric and electrophoretic mobility (zeta potential) tests. The zeta potential values of FPI, FG, and their mixtures at the FPI-to-FG ratios of 1:1, 3:1, 5:1, 10:1, 15:1 were measured over a pH range 8.0-1.5. The alteration of the secondary structure of FPI as a function of pH was studied using circular dichroism. The proportion of a-helical structure decreased, whereas both β-sheet structure and random coil structure increased with the lowering of pH from 8.0 to 3.0. The acidic pH affected the secondary structure of FPI and the unfolding of helix conformation facilitated the complexation of FPI with FG. The optimum FPI-to-FG ratio for complex coacervation was found to be 3:1. The critical pH values associated with the formation of soluble (pHc) and insoluble (pH
Φ1 ) complexes at the optimum FPI-to-FG ratio were found to be 6.0 and 4.5, respectively. The optimum pH (pHopt ) for the optimum complex coacervation was 3.1. The instability and dissolution of FPI-FG complex coacervates started (pHΦ2 ) at pH2.1. These findings contribute to the development of FPI-FG complex coacervates as delivery vehicles for unstable albeit valuable nutrients such as omega-3 fatty acids. © 2015.
Adaptation of quadtree meshes in the scaled boundary finite element method for crack propagation modelling
- Ooi, Ean Tat, Man, Hou, Natarajan, Sundararajan, Song, Chongmin
- Authors: Ooi, Ean Tat , Man, Hou , Natarajan, Sundararajan , Song, Chongmin
- Date: 2015
- Type: Text , Journal article
- Relation: Engineering Fracture Mechanics Vol. 144, no. (2015), p. 101-117
- Full Text:
- Reviewed:
- Description: A crack propagation modelling technique combining the scaled boundary finite element method and quadtree meshes is developed. This technique automatically satisfies the compatibility requirement between adjacent quadtree cells irrespective of the presence of hanging nodes. The quadtree structure facilitates efficient data storage and rapid computations. Only a single cell is required to accurately model the stress field near crack tips. Crack growth is modelled by splitting the cells in the mesh into two. The resulting polygons are directly modelled by the scaled boundary formulation with minimal changes to the mesh. Four numerical examples demonstrate the salient features of the technique. © 2015.
- Authors: Ooi, Ean Tat , Man, Hou , Natarajan, Sundararajan , Song, Chongmin
- Date: 2015
- Type: Text , Journal article
- Relation: Engineering Fracture Mechanics Vol. 144, no. (2015), p. 101-117
- Full Text:
- Reviewed:
- Description: A crack propagation modelling technique combining the scaled boundary finite element method and quadtree meshes is developed. This technique automatically satisfies the compatibility requirement between adjacent quadtree cells irrespective of the presence of hanging nodes. The quadtree structure facilitates efficient data storage and rapid computations. Only a single cell is required to accurately model the stress field near crack tips. Crack growth is modelled by splitting the cells in the mesh into two. The resulting polygons are directly modelled by the scaled boundary formulation with minimal changes to the mesh. Four numerical examples demonstrate the salient features of the technique. © 2015.
The epistemic basis of distance running injury research : A historical perspective
- Hulme, Adam, Finch, Caroline
- Authors: Hulme, Adam , Finch, Caroline
- Date: 2016
- Type: Text , Journal article , Editorial
- Relation: Journal of Sport and Health Science Vol. 5, no. 2 (2016), p. 172-175
- Relation: http://purl.org/au-research/grants/nhmrc/1058737
- Full Text:
- Reviewed:
- Authors: Hulme, Adam , Finch, Caroline
- Date: 2016
- Type: Text , Journal article , Editorial
- Relation: Journal of Sport and Health Science Vol. 5, no. 2 (2016), p. 172-175
- Relation: http://purl.org/au-research/grants/nhmrc/1058737
- Full Text:
- Reviewed:
Screening of the ‘Open Scaffolds’ collection from Compounds Australia identifies a new chemical entity with anthelmintic activities against different developmental stages of the barber's pole worm and other parasitic nematodes
- Preston, Sarah, Jiao, Yaqing, Baell, Jonathan, Keiser, Jennifer, Crawford, Simon, Koehler, Anson, Wang, Tao, Simpson, Moana, Kaplan, Ray, Cowley, Karla, Simpson, Kaylene, Hofmann, Andreas, Jabbar, Abdul, Gasser, Robin
- Authors: Preston, Sarah , Jiao, Yaqing , Baell, Jonathan , Keiser, Jennifer , Crawford, Simon , Koehler, Anson , Wang, Tao , Simpson, Moana , Kaplan, Ray , Cowley, Karla , Simpson, Kaylene , Hofmann, Andreas , Jabbar, Abdul , Gasser, Robin
- Date: 2017
- Type: Text , Journal article
- Relation: International Journal for Parasitology: Drugs and Drug Resistance Vol. 7, no. 3 (2017), p. 286-294
- Full Text:
- Reviewed:
- Description: The discovery and development of novel anthelmintic classes is essential to sustain the control of socioeconomically important parasitic worms of humans and animals. With the aim of offering novel, lead-like scaffolds for drug discovery, Compounds Australia released the ‘Open Scaffolds’ collection containing 33,999 compounds, with extensive information available on the physicochemical properties of these chemicals. In the present study, we screened 14,464 prioritised compounds from the ‘Open Scaffolds’ collection against the exsheathed third-stage larvae (xL3s) of Haemonchus contortus using recently developed whole-organism screening assays. We identified a hit compound, called SN00797439, which was shown to reproducibly reduce xL3 motility by ≥ 70%; this compound induced a characteristic, “coiled” xL3 phenotype (IC50 = 3.46–5.93 μM), inhibited motility of fourth-stage larvae (L4s; IC50 = 0.31–12.5 μM) and caused considerable cuticular damage to L4s in vitro. When tested on other parasitic nematodes in vitro, SN00797439 was shown to inhibit (IC50 = 3–50 μM) adults of Ancylostoma ceylanicum (hookworm) and first-stage larvae of Trichuris muris (whipworm) and eventually kill (>90%) these stages. Furthermore, this compound completely inhibited the motility of female and male adults of Brugia malayi (50–100 μM) as well as microfilariae of both B. malayi and Dirofilaria immitis (heartworm). Overall, these results show that SN00797439 acts against genetically (evolutionarily) distant parasitic nematodes i.e. H. contortus and A. ceylanicum [strongyloids] vs. B. malayi and D. immitis [filarioids] vs. T. muris [enoplid], and, thus, might offer a novel, lead-like scaffold for the development of a relatively broad-spectrum anthelmintic. Our future work will focus on assessing the activity of SN00797439 against other pathogens that cause neglected tropical diseases, optimising analogs with improved biological activities and characterising their targets. © 2017 The Authors
- Authors: Preston, Sarah , Jiao, Yaqing , Baell, Jonathan , Keiser, Jennifer , Crawford, Simon , Koehler, Anson , Wang, Tao , Simpson, Moana , Kaplan, Ray , Cowley, Karla , Simpson, Kaylene , Hofmann, Andreas , Jabbar, Abdul , Gasser, Robin
- Date: 2017
- Type: Text , Journal article
- Relation: International Journal for Parasitology: Drugs and Drug Resistance Vol. 7, no. 3 (2017), p. 286-294
- Full Text:
- Reviewed:
- Description: The discovery and development of novel anthelmintic classes is essential to sustain the control of socioeconomically important parasitic worms of humans and animals. With the aim of offering novel, lead-like scaffolds for drug discovery, Compounds Australia released the ‘Open Scaffolds’ collection containing 33,999 compounds, with extensive information available on the physicochemical properties of these chemicals. In the present study, we screened 14,464 prioritised compounds from the ‘Open Scaffolds’ collection against the exsheathed third-stage larvae (xL3s) of Haemonchus contortus using recently developed whole-organism screening assays. We identified a hit compound, called SN00797439, which was shown to reproducibly reduce xL3 motility by ≥ 70%; this compound induced a characteristic, “coiled” xL3 phenotype (IC50 = 3.46–5.93 μM), inhibited motility of fourth-stage larvae (L4s; IC50 = 0.31–12.5 μM) and caused considerable cuticular damage to L4s in vitro. When tested on other parasitic nematodes in vitro, SN00797439 was shown to inhibit (IC50 = 3–50 μM) adults of Ancylostoma ceylanicum (hookworm) and first-stage larvae of Trichuris muris (whipworm) and eventually kill (>90%) these stages. Furthermore, this compound completely inhibited the motility of female and male adults of Brugia malayi (50–100 μM) as well as microfilariae of both B. malayi and Dirofilaria immitis (heartworm). Overall, these results show that SN00797439 acts against genetically (evolutionarily) distant parasitic nematodes i.e. H. contortus and A. ceylanicum [strongyloids] vs. B. malayi and D. immitis [filarioids] vs. T. muris [enoplid], and, thus, might offer a novel, lead-like scaffold for the development of a relatively broad-spectrum anthelmintic. Our future work will focus on assessing the activity of SN00797439 against other pathogens that cause neglected tropical diseases, optimising analogs with improved biological activities and characterising their targets. © 2017 The Authors
About [q]-regularity properties of collections of sets
- Kruger, Alexander, Thao, Nguyen
- Authors: Kruger, Alexander , Thao, Nguyen
- Date: 2014
- Type: Text , Journal article
- Relation: Journal of Mathematical Analysis and Applications Vol. 416, no. 2 (2014), p. 471-496
- Relation: http://purl.org/au-research/grants/arc/DP110102011
- Full Text:
- Reviewed:
- Description: We examine three primal space local Holder type regularity properties of finite collections of sets, namely, [q]-semiregularity, [q]-subregularity, and uniform [q]-regularity as well as their quantitative characterizations. Equivalent metric characterizations of the three mentioned regularity properties as well as a sufficient condition of [q]-subregularity in terms of Frechet normals are established. The relationships between [q]-regularity properties of collections of sets and the corresponding regularity properties of set-valued mappings are discussed.
- Description: We examine three primal space local Holder type regularity properties of finite collections of sets, namely, [q]-semiregularity, [q]-subregularity, and uniform [q]-regularity as well as their quantitative characterizations. Equivalent metric characterizations of the three mentioned regularity properties as well as a sufficient condition of [q]-subregularity in terms of Frechet normals are established. The relationships between [q]-regularity properties of collections of sets and the corresponding regularity properties of set-valued mappings are discussed. (C) 2014 Elsevier Inc. All rights reserved.
- Authors: Kruger, Alexander , Thao, Nguyen
- Date: 2014
- Type: Text , Journal article
- Relation: Journal of Mathematical Analysis and Applications Vol. 416, no. 2 (2014), p. 471-496
- Relation: http://purl.org/au-research/grants/arc/DP110102011
- Full Text:
- Reviewed:
- Description: We examine three primal space local Holder type regularity properties of finite collections of sets, namely, [q]-semiregularity, [q]-subregularity, and uniform [q]-regularity as well as their quantitative characterizations. Equivalent metric characterizations of the three mentioned regularity properties as well as a sufficient condition of [q]-subregularity in terms of Frechet normals are established. The relationships between [q]-regularity properties of collections of sets and the corresponding regularity properties of set-valued mappings are discussed.
- Description: We examine three primal space local Holder type regularity properties of finite collections of sets, namely, [q]-semiregularity, [q]-subregularity, and uniform [q]-regularity as well as their quantitative characterizations. Equivalent metric characterizations of the three mentioned regularity properties as well as a sufficient condition of [q]-subregularity in terms of Frechet normals are established. The relationships between [q]-regularity properties of collections of sets and the corresponding regularity properties of set-valued mappings are discussed. (C) 2014 Elsevier Inc. All rights reserved.
Scientific evidence is just the starting point : A generalizable process for developing sports injury prevention interventions
- Donaldson, Alex, Lloyd, David, Gabbe, Belinda, Cook, Jill, Young, Warren, White, Peta, Finch, Caroline
- Authors: Donaldson, Alex , Lloyd, David , Gabbe, Belinda , Cook, Jill , Young, Warren , White, Peta , Finch, Caroline
- Date: 2016
- Type: Text , Journal article
- Relation: Journal of Sport and Health Science Vol. 5, no. 3 (2016), p. 334-341
- Relation: http://purl.org/au-research/grants/nhmrc/1058737
- Relation: http://purl.org/au-research/grants/nhmrc/565907
- Full Text:
- Reviewed:
- Description: Background: The 2 most cited sports injury prevention research frameworks incorporate intervention development, yet little guidance is available in the sports science literature on how to undertake this complex process. This paper presents a generalizable process for developing implementable sports injury prevention interventions, including a case study applying the process to develop a lower limb injury prevention exercise training program (FootyFirst) for community Australian football. Methods: The intervention development process is underpinned by 2 complementary premises: (1) that evidence-based practice integrates the best available scientific evidence with practitioner expertise and end user values and (2) that research evidence alone is insufficient to develop implementable interventions. Results: The generalizable 6-step intervention development process involves (1) compiling research evidence, clinical experience, and knowledge of the implementation context; (2) consulting with experts; (3) engaging with end users; (4) testing the intervention; (5) using theory; and (6) obtaining feedback from early implementers. Following each step, intervention content and presentation should be revised to ensure that the final intervention includes evidence-informed content that is likely to be adopted, properly implemented, and sustained over time by the targeted intervention deliverers. For FootyFirst, this process involved establishing a multidisciplinary intervention development group, conducting 2 targeted literature reviews, undertaking an online expert consensus process, conducting focus groups with program end users, testing the program multiple times in different contexts, and obtaining feedback from early implementers of the program. Conclusion: This systematic yet pragmatic and iterative intervention development process is potentially applicable to any injury prevention topic across all sports settings and levels. It will guide researchers wishing to undertake intervention development.
- Description: Background: The 2 most cited sports injury prevention research frameworks incorporate intervention development, yet little guidance is available in the sports science literature on how to undertake this complex process. This paper presents a generalizable process for developing implementable sports injury prevention interventions, including a case study applying the process to develop a lower limb injury prevention exercise training program (FootyFirst) for community Australian football. Methods: The intervention development process is underpinned by 2 complementary premises: (1) that evidence-based practice integrates the best available scientific evidence with practitioner expertise and end user values and (2) that research evidence alone is insufficient to develop implementable interventions. Results: The generalizable 6-step intervention development process involves (1) compiling research evidence, clinical experience, and knowledge of the implementation context; (2) consulting with experts; (3) engaging with end users; (4) testing the intervention; (5) using theory; and (6) obtaining feedback from early implementers. Following each step, intervention content and presentation should be revised to ensure that the final intervention includes evidence-informed content that is likely to be adopted, properly implemented, and sustained over time by the targeted intervention deliverers. For FootyFirst, this process involved establishing a multidisciplinary intervention development group, conducting 2 targeted literature reviews, undertaking an online expert consensus process, conducting focus groups with program end users, testing the program multiple times in different contexts, and obtaining feedback from early implementers of the program. Conclusion: This systematic yet pragmatic and iterative intervention development process is potentially applicable to any injury prevention topic across all sports settings and levels. It will guide researchers wishing to undertake intervention development. (C) 2016 Production and hosting by Elsevier B.V. on behalf of Shanghai University of Sport.
- Authors: Donaldson, Alex , Lloyd, David , Gabbe, Belinda , Cook, Jill , Young, Warren , White, Peta , Finch, Caroline
- Date: 2016
- Type: Text , Journal article
- Relation: Journal of Sport and Health Science Vol. 5, no. 3 (2016), p. 334-341
- Relation: http://purl.org/au-research/grants/nhmrc/1058737
- Relation: http://purl.org/au-research/grants/nhmrc/565907
- Full Text:
- Reviewed:
- Description: Background: The 2 most cited sports injury prevention research frameworks incorporate intervention development, yet little guidance is available in the sports science literature on how to undertake this complex process. This paper presents a generalizable process for developing implementable sports injury prevention interventions, including a case study applying the process to develop a lower limb injury prevention exercise training program (FootyFirst) for community Australian football. Methods: The intervention development process is underpinned by 2 complementary premises: (1) that evidence-based practice integrates the best available scientific evidence with practitioner expertise and end user values and (2) that research evidence alone is insufficient to develop implementable interventions. Results: The generalizable 6-step intervention development process involves (1) compiling research evidence, clinical experience, and knowledge of the implementation context; (2) consulting with experts; (3) engaging with end users; (4) testing the intervention; (5) using theory; and (6) obtaining feedback from early implementers. Following each step, intervention content and presentation should be revised to ensure that the final intervention includes evidence-informed content that is likely to be adopted, properly implemented, and sustained over time by the targeted intervention deliverers. For FootyFirst, this process involved establishing a multidisciplinary intervention development group, conducting 2 targeted literature reviews, undertaking an online expert consensus process, conducting focus groups with program end users, testing the program multiple times in different contexts, and obtaining feedback from early implementers of the program. Conclusion: This systematic yet pragmatic and iterative intervention development process is potentially applicable to any injury prevention topic across all sports settings and levels. It will guide researchers wishing to undertake intervention development.
- Description: Background: The 2 most cited sports injury prevention research frameworks incorporate intervention development, yet little guidance is available in the sports science literature on how to undertake this complex process. This paper presents a generalizable process for developing implementable sports injury prevention interventions, including a case study applying the process to develop a lower limb injury prevention exercise training program (FootyFirst) for community Australian football. Methods: The intervention development process is underpinned by 2 complementary premises: (1) that evidence-based practice integrates the best available scientific evidence with practitioner expertise and end user values and (2) that research evidence alone is insufficient to develop implementable interventions. Results: The generalizable 6-step intervention development process involves (1) compiling research evidence, clinical experience, and knowledge of the implementation context; (2) consulting with experts; (3) engaging with end users; (4) testing the intervention; (5) using theory; and (6) obtaining feedback from early implementers. Following each step, intervention content and presentation should be revised to ensure that the final intervention includes evidence-informed content that is likely to be adopted, properly implemented, and sustained over time by the targeted intervention deliverers. For FootyFirst, this process involved establishing a multidisciplinary intervention development group, conducting 2 targeted literature reviews, undertaking an online expert consensus process, conducting focus groups with program end users, testing the program multiple times in different contexts, and obtaining feedback from early implementers of the program. Conclusion: This systematic yet pragmatic and iterative intervention development process is potentially applicable to any injury prevention topic across all sports settings and levels. It will guide researchers wishing to undertake intervention development. (C) 2016 Production and hosting by Elsevier B.V. on behalf of Shanghai University of Sport.
Differential evolution algorithm for predicting blast induced ground vibrations
- Saadat, Mahdi, Hasanzade, Ali, Khandelwal, Manoj
- Authors: Saadat, Mahdi , Hasanzade, Ali , Khandelwal, Manoj
- Date: 2015
- Type: Text , Journal article
- Relation: International Journal of Rock Mechanics and Mining Sciences Vol. 77, no. (2015), p. 97-104
- Full Text:
- Reviewed:
- Description: 1. Introduction One of the most crucial problems in construction blasting is to predict and then mitigate the ground vibration [1]. Blast-induced ground vibration is considered as one of the most important environmental hazards of mining operations and civil engineering projects. Intense vibration can cause critical damage to structures and plants nearby the open-pit mines, dams, and mine slopes, etc [2] and [3]. Researchers who deals with this undesirable phenomenon take into account various range of parameters in order to mitigate the detrimental effects of blasting. Blast influencing parameters can be divided into two categories [2]: (a) Uncontrollable parameters, such as geological and geotechnical characteristics of the rockmass. (b) Controllable parameters, such as burden, spacing, stemming, sub-drilling, delay time, etc.
- Authors: Saadat, Mahdi , Hasanzade, Ali , Khandelwal, Manoj
- Date: 2015
- Type: Text , Journal article
- Relation: International Journal of Rock Mechanics and Mining Sciences Vol. 77, no. (2015), p. 97-104
- Full Text:
- Reviewed:
- Description: 1. Introduction One of the most crucial problems in construction blasting is to predict and then mitigate the ground vibration [1]. Blast-induced ground vibration is considered as one of the most important environmental hazards of mining operations and civil engineering projects. Intense vibration can cause critical damage to structures and plants nearby the open-pit mines, dams, and mine slopes, etc [2] and [3]. Researchers who deals with this undesirable phenomenon take into account various range of parameters in order to mitigate the detrimental effects of blasting. Blast influencing parameters can be divided into two categories [2]: (a) Uncontrollable parameters, such as geological and geotechnical characteristics of the rockmass. (b) Controllable parameters, such as burden, spacing, stemming, sub-drilling, delay time, etc.