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  • American Institute of Physics  (134,151)
  • Cambridge University Press
  • 2010-2014  (95,764)
  • 1990-1994  (61,915)
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  • 1
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    Cambridge University Press
    In:  EPIC3Antarctic Science, Cambridge University Press, 26(6), pp. 625-635, ISSN: 0954-1020
    Publication Date: 2014-11-27
    Description: A common precursor to ice shelf disintegration, most notably that of Larsen B Ice Shelf, is unusually intense or prolonged surface melt and the presence of surface standing water. However, there has been little research into detailed patterns of melt on ice shelves or the nature of summer melt ponds. We investigated surface melt on Larsen C Ice Shelf at high resolution using Envisat advanced synthetic aperture radar (ASAR) data and explored melt ponds in a range of satellite images. The improved spatial resolution of SAR over alternative approaches revealed anomalously long melt duration in western inlets. Meteorological modelling explained this pattern by föhn winds which were common in this region.Melt ponds are difficult to detect using optical imagery because cloud-free conditions are rare in this region and ponds quickly freeze over, but can be monitored using SAR in all weather conditions. Melt ponds up to tens of kilometres in length were common in Cabinet Inlet, where melt duration was most prolonged. The pattern of melt explains the previously observed distribution of ice shelf densification, which in parts had reached levels that preceded the collapse of Larsen B Ice Shelf,suggesting a potential role for föhn winds in promoting unstable conditions on ice shelves.
    Repository Name: EPIC Alfred Wegener Institut
    Type: Article , isiRev
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  • 2
    Publication Date: 2012-02-03
    Description: This handbook defines the discipline of historical seismology by comprehensively detailing the latest research methodologies for studying historical earthquakes and tsunamis. It describes the many historical sources that contain references to seismic phenomena, discusses the critical problems of interpreting such sources, and presents a summary of the various theories proposed (from ancient Greek to modern times) to explain the causes of earthquakes – indispensable factors for understanding historical earthquake descriptions. The text presents numerous examples of interpretations and misinterpretations of historical earthquakes and tsunamis in order to illustrate the key techniques, with a chapter devoted to an explanation of the date and time systems used throughout history in Mediterranean Europe and the Near East. The authors also tie historical seismology research to archaeological investigations and demonstrate how new scientific databases and catalogues can be compiled from information derived from the methodologies described. This is an important new reference for scientists, engineers, historians and archaeologists on the methodologies for analysing earthquakes and tsunamis of the past. Illustrated with examples from a broad geographic region (including Europe, North Africa, the Middle East, central Asia and the Americas), the book provides a valuable foundation for understanding the Earth’s seismic past and potential future seismic hazard.
    Description: Published
    Description: 3.10. Storia ed archeologia applicate alle Scienze della Terra
    Description: open
    Keywords: Historical earthquakes ; historical tsunamis ; historical seismology ; archaeoseismology ; earthquake catalogues ; databases ; 04. Solid Earth::04.06. Seismology::04.06.05. Historical seismology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: book
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  • 3
    Publication Date: 2017-04-04
    Description: An integrated bio-, magneto- and cyclostratigraphic study of the Ypresian/Lutetian (Early/Middle Eocene) transition along the Otsakar section resulted in the identification of the C22n/C21r chron boundary and of the calcareous nannofossil CP12a/b zonal boundary; the latter is the main correlation criterion of the Lutetian Global Stratotype Section and Point (GSSP) recently defined at Gorrondatxe (Basque Country). By counting precession-related mudstone–marl couplets of 21 ka, the time lapse between both events was calculated to be 819 ka. This suggests that the age of the CP12a/b boundary, and hence that of the Early/Middle Eocene boundary, is 47.76 Ma, 250 ka younger than previously thought. This age agrees with, and is supported by, estimates from Gorrondatxe based on the time lapse between the Lutetian GSSP and the C21r/C21n boundary. The duration of Chron C21r is estimated at 1.326 Ma. Given that the base of the Eocene is dated at 55.8 Ma, the duration of the Early Eocene is 8 Ma, 0.8 Ma longer than in current time scales. The Otsakar results further show that the bases of planktonic foraminiferal zones E8 and P10 are younger than the CP12a/b boundary. The first occurrence of Turborotalia frontosa, being approximately 550 ka older that the CP12a/b boundary, is the planktonic foraminiferal event that lies closest to the Early/Middle Eocene boundary. The larger foraminiferal SBZ12/13 boundary is located close to the CP12a/b boundary and correlates with Chron C21r, not with the C22n/C21r boundary.
    Description: In press
    Description: 1-19
    Description: 2.2. Laboratorio di paleomagnetismo
    Description: JCR Journal
    Description: restricted
    Keywords: Eocene ; Ypresian–Lutetian boundary ; biostratigraphy ; magnetostratigraphy ; cyclostratigraphy ; 04. Solid Earth::04.04. Geology::04.04.08. Sediments: dating, processes, transport ; 04. Solid Earth::04.04. Geology::04.04.10. Stratigraphy ; 04. Solid Earth::04.05. Geomagnetism::04.05.06. Paleomagnetism
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 4
    Publication Date: 2017-04-03
    Description: An integrated bio-, magneto- and cyclostratigraphic study of the Ypresian/Lutetian (Early/Middle Eocene) transition along the Otsakar section resulted in the identification of the C22n/C21r chron boundary and of the calcareous nannofossil CP12a/b zonal boundary; the latter is the main correlation criterion of the Lutetian Global Stratotype Section and Point (GSSP) recently defined at Gorrondatxe (Basque Country). By counting precession-related mudstone–marl couplets of 21 ka, the time lapse between both events was calculated to be 819 ka. This suggests that the age of the CP12a/b boundary, and hence that of the Early/Middle Eocene boundary, is 47.76 Ma, 250 ka younger than previously thought. This age agrees with, and is supported by, estimates from Gorrondatxe based on the time lapse between the Lutetian GSSP and the C21r/C21n boundary. The duration of Chron C21r is estimated at 1.326 Ma. Given that the base of the Eocene is dated at 55.8 Ma, the duration of the Early Eocene is 8 Ma, 0.8 Ma longer than in current time scales. The Otsakar results further show that the bases of planktonic foraminiferal zones E8 and P10 are younger than the CP12a/b boundary. The first occurrence of Turborotalia frontosa, being approximately 550 ka older that the CP12a/b boundary, is the planktonic foraminiferal event that lies closest to the Early/Middle Eocene boundary. The larger foraminiferal SBZ12/13 boundary is located close to the CP12a/b boundary and correlates with Chron C21r, not with the C22n/C21r boundary.
    Description: Published
    Description: 442-460
    Description: 2.2. Laboratorio di paleomagnetismo
    Description: JCR Journal
    Description: restricted
    Keywords: Eocene ; Ypresian–Lutetian boundary ; biostratigraphy ; magnetostratigraphy ; cyclostratigraphy. ; 04. Solid Earth::04.04. Geology::04.04.08. Sediments: dating, processes, transport ; 04. Solid Earth::04.04. Geology::04.04.10. Stratigraphy ; 04. Solid Earth::04.05. Geomagnetism::04.05.06. Paleomagnetism
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 5
    Publication Date: 2017-04-04
    Description: Stratigraphic, structural, palaeocurrent and palaeomagnetic analyses of Upper Albian deep-water deposits in and around the Deba block (Northern Iberia) are presented. Results indicate an anticlockwise vertical-axis rotation of this block by 35◦ during a maximum time span of c. 1 Ma (Late Albian intra-C. auritus ammonite Subzone). This Albian syndepositional block rotation is interpreted to be the consequence of the coeval activity of conjugatemajor sinistral strike-slip faults and minor (antithetic) dextral strike-slip faults, which border the Deba block. On the base of conservative estimations, a minimum block-rotation rate of 35◦ Ma−1 and a sinistral strike-slip rate of 1.2 kmMa−1 are calculated. As a consequence of the interaction of the rotated Deba block with adjacent nonrotated blocks, its corners experienced coeval transpressive (NW and SE corners) and transtensional deformations (SW and, possibly, NE corners). At the transtensional SW corner, two domal highreflective seismic structures have been recorded and interpreted as high-level magmatic laccoliths. These magmatic intrusions triggered the development of a mineralizing hydrothermal system, which vented to the Late Albian seafloor warm to hot hydrocarbon-rich fluids. Vented hydrocarbon was generated from Albian organic-rich sediments by contact alteration with hydrothermal fluids.
    Description: Published
    Description: 986-1001
    Description: 2.2. Laboratorio di paleomagnetismo
    Description: JCR Journal
    Description: restricted
    Keywords: block rotation ; palaeocurrent ; palaeomagnetism ; Albian ; Basque–Cantabrian Basin ; 04. Solid Earth::04.04. Geology::04.04.09. Structural geology ; 04. Solid Earth::04.05. Geomagnetism::04.05.06. Paleomagnetism ; 04. Solid Earth::04.07. Tectonophysics::04.07.07. Tectonics ; 04. Solid Earth::04.08. Volcanology::04.08.03. Magmas
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 6
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel of Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 149-151, ISBN: 9781107641655
    Publication Date: 2015-03-08
    Repository Name: EPIC Alfred Wegener Institut
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  • 7
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel on Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 109-111, ISBN: 9781107641655
    Publication Date: 2015-03-08
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  • 8
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel of Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 97-100, ISBN: 9781107641655
    Publication Date: 2015-03-08
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  • 9
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel of Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 129-131, ISBN: 9781107641655
    Publication Date: 2015-03-08
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  • 10
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel of Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 133-136, ISBN: 9781107641655
    Publication Date: 2015-03-08
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  • 11
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel on Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 411-484, ISBN: 9781107641655
    Publication Date: 2017-01-13
    Repository Name: EPIC Alfred Wegener Institut
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  • 12
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    Cambridge University Press
    In:  EPIC3Antarctic Science, Cambridge University Press, 26(1), pp. 80-92, ISSN: 0954-1020
    Publication Date: 2019-07-17
    Description: Understanding the regional and seasonal distribution of seismic research surveys in the Southern Ocean is essential for assessing their acoustic impact on the marine environment. An analysis of the navigation data and cruise table in the Seismic Data Library System for Cooperative Research (SDLS) shows that a fairly extensive network of seismic lines is now available for the Southern Ocean. However, line spacing ranges from tens to hundreds of kilometres, and some almost unsurveyed areas still exist. The seasonal distribution of the seismic profile lengths shows periods with increased survey activity between 1976/77 and 2001/02, but only moderate levels of activity between 2002/03 and 2010/11. The corresponding line spacing is large, and lines are widely distributed over the Southern Ocean. None of the eight Antarctic regions considered here have experienced seismic survey activity during all summer seasons in the last 35 years. Instead, periods with survey activity are interspersed by periods with no survey activity. The average survey length ranges from ~2600 km/season off the Antarctic Peninsula to ~260 km/season off Enderby Land. Compared to the industrial seismic exploration off Norway the acoustic impact of the seismic research activity in the Southern Ocean is at least ~150 times lower.
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  • 13
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel on Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 123-127, ISBN: 9781107641655
    Publication Date: 2015-03-08
    Repository Name: EPIC Alfred Wegener Institut
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  • 14
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel on Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 1-32, ISBN: 9781107641655
    Publication Date: 2015-03-08
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  • 15
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    Cambridge University Press
    In:  EPIC3Climate Change 2014: Impacts, Adaptation, and Vulnerability. Part A: Global and Sectoral Aspects. Contribution of Working Group II to the Fifth Assessment Report of the Intergovernmental Panel on Climate Change, Cambridge, United Kingdom and New York, NY, USA, Cambridge University Press, pp. 35-94, ISBN: 9781107641655
    Publication Date: 2015-03-08
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  • 16
    Publication Date: 2022-05-25
    Description: Author Posting. © Cambridge University Press, 2013. This article is posted here by permission of Cambridge University Press for personal use, not for redistribution. The definitive version was published in Journal of Fluid Mechanics 731 (2013): 545-578, doi:10.1017/jfm.2013.361 .
    Description: A significant amount of research effort has been made to understand the boundary layer instability and the generation and evolution of turbulence subject to periodic/oscillatory flows. However, little is known about bottom boundary layers driven by highly transient and intermittent free-stream flow forcing, such as solitary wave motion. To better understand the nature of the instability mechanisms and turbulent flow characteristics subject to solitary wave motion, a large number of direct numerical simulations are conducted. Different amplitudes of random initial fluctuating velocity field are imposed. Two different instability mechanisms are observed within the range of Reynolds number studied. The first is a short-lived, nonlinear, long-wave instability which is observed during the acceleration phase, and the second is a broadband instability that occurs during the deceleration phase. Transition from a laminar to turbulent state is observed to follow two different breakdown pathways: the first follows the sequence of $K$-type secondary instability of a near-wall boundary layer at comparatively lower Reynolds number and the second one follows a breakdown path similar to that of free shear layers. Overall characteristics of the flow are categorized into four regimes as: (i) laminar; (ii) disturbed laminar; (iii) transitional; and (iv) turbulent. Our categorization into four regimes is consistent with earlier works. However, this study is able to provide more specific definitions through the instability characteristics and the turbulence breakdown process.
    Description: This study is supported by National Science Foundation (CMMI-1135026; OCE- 1130217; OCE-1131016).
    Description: 2014-08-28
    Keywords: Coastal engineering ; Solitary waves ; Turbulent flows
    Repository Name: Woods Hole Open Access Server
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  • 17
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    Cambridge University Press
    Publication Date: 2022-05-25
    Description: Author Posting. © Cambridge University Press, 2012. This article is posted here by permission of Cambridge University Press for personal use, not for redistribution. The definitive version was published in Journal of Fluid Mechanics 692 (2012): 1-4, doi:10.1017/jfm.2011.468.
    Description: Salt fingers are a form of double-diffusive convection that can occur in a wide variety of fluid systems, ranging from stellar interiors and oceans to magma chambers. Their amplitude has long been difficult to quantify, and a variety of mechanisms have been proposed. Radko & Smith (J. Fluid Mech., this issue, vol. 692, 2012, pp. 5–27) have developed a new theory that balances the basic growth rate with that of secondary instabilities that act on the finite amplitude fingers. Their approach promises a way forward for computationally challenging systems with vastly different scales of decay for momentum, heat and dissolved substances.
    Description: 2013-01-24
    Keywords: Double diffusive convection ; Instability ; Ocean processes
    Repository Name: Woods Hole Open Access Server
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  • 18
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    Cambridge University Press
    Publication Date: 2022-05-25
    Description: Author Posting. © Cambridge University Press, 2013. This article is posted here by permission of Cambridge University Press for personal use, not for redistribution. The definitive version was published in Journal of Fluid Mechanics 726 (2013): 371-403, doi:10.1017/jfm.2013.231.
    Description: Nonlinear stratified spindown of an along-isobath current over an insulated slope is shown to develop asymmetries in the vertical circulation and vertical relative vorticity field. During spindown, cyclonic vorticity is weakened to a greater extent than anticyclonic vorticity near the boundary because of buoyancy advection. As a consequence, Ekman pumping is weakened over Ekman suction. Momentum advection can weaken Ekman pumping and strengthen Ekman suction. Time-dependent feedback between the geostrophic flow and the frictional secondary circulation induces asymmetry in cyclonic and anticyclonic vorticity away from the boundary. Buoyancy advection over a slope can modify the secondary circulation such that anticyclonic vorticity decays faster than cyclonic vorticity outside the boundary layer. In contrast, momentum advection can cause cyclonic vorticity to spin down faster than anticyclonic vorticity. A scaling and analytical solutions are derived for when buoyancy advection over a slope can have a more significant impact than momentum advection on these asymmetries. In order to test this scaling and analytical solutions, numerical experiments are run in which both buoyancy and momentum advection are active. These solutions are contrasted with homogeneous or stratified spindown over a flat bottom, in which momentum advection controls the asymmetries. These results are applied to ocean currents over continental shelves and slopes.
    Description: 2014-06-05
    Keywords: Geophysical flows ; Ocean circulation ; Topographic effects
    Repository Name: Woods Hole Open Access Server
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  • 19
    Publication Date: 2017-04-04
    Description: The effect of pressure on melt viscosity was investigated for five compositions along the join An(CaAl2Si2O8)–Di(CaMgSi2O6) and four alkali silicates containing lithium, sodium, and potassium in constant ratio of ∼ 1:1:1, but alkali-silica ratios are varying. The experiments were performed in an internally heated gas pressure vessel at pressures from 50 to 400 MPa in the viscosity range from 108 to 1011.5 Pa⋅s using parallel plate viscometry. The polymerized An composition shows a negative pressure dependence of viscosity while the other, more depolymerized compositions of the join An–Di have neutral to positive pressure coefficients. The alkali silicates display neutral to slightly positive pressure coefficients for melt viscosity. These findings in the high viscosity range of 108–1011 Pa⋅s, where pressure appears to be more efficient than in low viscous melts at high temperature, are consistent with previous results on the viscosity of polymerized to depolymerized melts in the system NaAlSi3O8–CaMgSi2O6 by Behrens and Schulze [ H. Behrens and F. Schulze, Am. Mineral. 88, 1351 (2003) ]. Thus we confirm that the sign of the pressure coefficient for viscosity is mainly related to the degree of melt polymerization in silicate and aluminosilicate melts.
    Description: DFG Grant n.°BE1720/9
    Description: Published
    Description: 044504-14
    Description: 2.3. TTC - Laboratori di chimica e fisica delle rocce
    Description: JCR Journal
    Description: open
    Keywords: viscosity ; polymerisation ; anorthite ; diopside ; 04. Solid Earth::04.08. Volcanology::04.08.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 20
    Publication Date: 2022-05-26
    Description: Author Posting. © Cambridge University Press, 2011. This article is posted here by permission of Cambridge University Press for personal use, not for redistribution. The definitive version was published in Journal of Fluid Mechanics 686 (2011): 534-567, doi:10.1017/jfm.2011.345.
    Description: Most of the nearly zonal, multiple, alternating jets observed in the oceans are latent, that is, their amplitudes are weak relative to the ambient mesoscale eddies. Yet, relatively strong jets are often observed in dynamical simulations. To explore mechanisms controlling the degree of latency, we analyse solutions of an idealized, eddy-resolving and flat-bottom quasigeostrophic model, in which dynamically generated mesoscale eddies maintain and interact with a set of multiple zonal jets. We find that the degree of the latency is controlled primarily by the bottom friction: the larger the friction parameter, the more latent are the jets; and the degree of the latency is substantial for a realistic range of the oceanic bottom friction coefficient. This result not only provides a plausible explanation for the latency of the oceanic jets, but it may also be relevant to the prominent atmospheric multiple jets observed on giant gas planets, such as Jupiter. We hypothesize that these jets can be so strong because of the relative absence of the bottom friction. The mechanism controlling the latency in our solutions is understood in terms of the changes induced in the linear eigenmodes of the time–mean flow by varying the bottom friction coefficient; these changes, in turn, affect and modify the jets. Effects of large Reynolds numbers on the eddies, jets, and the latency are also discussed.
    Description: Funding was provided: for P.B. by NSF grants OCE 0725796 and OCE 0845150, for J.T.F. by NSF grant OCE 0845150, for I.K. by NSF grant OCE 0842834, and for S.K. by the University Research Fellowship from the Royal Society. S.K. also acknowledges support from the Mary Sears Grant from the Woods Hole Oceanographic Institution.
    Description: 2012-09-27
    Keywords: Geostrophic turbulence ; Quasi-geostrophic flows ; Waves in rotating fluids
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  • 21
    Publication Date: 2022-05-26
    Description: Author Posting. © Cambridge University Press, 2013. This article is posted here by permission of Cambridge University Press for personal use, not for redistribution. The definitive version was published in Journal of Fluid Mechanics 738 (2014): 143-183, doi:10.1017/jfm.2013.583.
    Description: We investigate and quantify stirring due to chaotic advection within a steady, three-dimensional, Ekman-driven, rotating cylinder flow. The flow field has vertical overturning and horizontal swirling motion, and is an idealization of motion observed in some ocean eddies. The flow is characterized by strong background rotation, and we explore variations in Ekman and Rossby numbers, E and Ro, over ranges appropriate for the ocean mesoscale and submesoscale. A high-resolution spectral element model is used in conjunction with linear analytical theory, weakly nonlinear resonance analysis and a kinematic model in order to map out the barriers, manifolds, resonance layers and other objects that provide a template for chaotic stirring. As expected, chaos arises when a radially symmetric background state is perturbed by a symmetry-breaking disturbance. In the background state, each trajectory lives on a torus and some of the latter survive the perturbation and act as barriers to chaotic transport, a result consistent with an extension of the KAM theorem for three-dimensional, volume-preserving flow. For shallow eddies, where E is O(1), the flow is dominated by thin resonant layers sandwiched between KAM-type barriers, and the stirring rate is weak. On the other hand, eddies with moderately small E experience thicker resonant layers, wider-spread chaos and much more rapid stirring. This trend reverses for sufficiently small E, corresponding to deep eddies, where the vertical rigidity imposed by strong rotation limits the stirring. The bulk stirring rate, estimated from a passive tracer release, confirms the non-monotonic variation in stirring rate with E. This result is shown to be consistent with linear Ekman layer theory in conjunction with a resonant width calculation and the Taylor–Proudman theorem. The theory is able to roughly predict the value of E at which stirring is maximum. For large disturbances, the stirring rate becomes monotonic over the range of Ekman numbers explored. We also explore variation in the eddy aspect ratio.
    Description: L.J.P., I.I.R., T.M.O. and P.W. have been supported on DOD (MURI) grant N000141110087, administered by the Office of Naval Research. I.I.R. and L.J.P. received additional support from Grant NSF-OCE-0725796 from the National Science Foundation.
    Description: 2014-12-05
    Keywords: Chaotic advection ; Geophysical and geological flows ; Ocean processes
    Repository Name: Woods Hole Open Access Server
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  • 22
    Publication Date: 2022-05-26
    Description: Author Posting. © Foundation for Environmental Conservation, 2009. This article is posted here by permission of Cambridge University Press for personal use, not for redistribution. The definitive version was published in Environmental Conservation 36 (2009): 268-276, doi:10.1017/S0376892910000032.
    Description: No-take marine reserves are widely recognized as an effective conservation tool for protecting marine resources. Despite considerable empirical evidence that abundance and biomass of fished species increase within marine reserve boundaries, the potential for reserves to provide fisheries and conservation benefits to adjacent waters remains heavily debated. This paper uses statistical and population models to evaluate published empirical data on adult spillover from marine reserves and shows that spillover is a common phenomenon for species that respond positively to reserve protection, but at relatively small scales, detectable on average up to 800 m from reserve boundaries. At these small scales, local fisheries around reserves were likely unsustainable in 12 of 14 cases without the reserve, and spillover partially or fully offsets losses in catch due to reserve closure in the other two cases. For reserves to play a role in sustaining and replenishing larger-scale fished stocks, networks of reserves may be necessary, but as few exist this is difficult to evaluate. The results suggest reserves can simultaneously meet conservation objectives and benefit local fisheries adjacent to their boundaries.
    Description: Support was provided by a grant from the David and Lucille Packard Foundation to NCEAS for ecosystem-based management ofmarine systems, the Partnership for Interdisciplinary Studies of Coastal Oceans (PISCO) funded by the David and Lucile Packard Foundation and the Gordon and Betty Moore Foundation (contribution number 348), the Sustainable Fisheries Group supported by the Paul G. Allen Family Foundation and the Bahamas Biocomplexity Project (US NSF Biocomplexity grantOCE-0119976) andUS EPA Science to Achieve Results (R832223).
    Keywords: Adult fish movement ; Fisheries ; Global ; Marine protected areas ; No-take reserves ; Spillover effect ; Synthesis
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  • 23
    Publication Date: 2022-05-26
    Description: Author Posting. © Cambridge University Press, 2014. This article is posted here by permission of Cambridge University Press for personal use, not for redistribution. The definitive version was published in Journal of Fluid Mechanics 752 (2014): R2, doi:10.1017/jfm.2014.389.
    Description: A model of the total volume flux and entrainment occurring in two coalescing axisymmetric turbulent plumes is developed and compared with laboratory experiments. The dynamical evolution of the two plumes is divided into three regions. In region 1, where the plumes are separate, the entrainment in each plume is unaffected by the other plume, although the two plumes are drawn together due to the entrainment of ambient fluid between them. In region 2 the two plumes touch each other but are not yet merged. In this region the total entrainment is a function of both the dynamics of the touching plumes and the reduced surface area through which entrainment occurs. In region 3 the two plumes are merged and the entrainment is equivalent to that in a single plume. We find that the total volume flux after the two plumes touch and before they merge increases linearly with distance from the sources, and can be expressed as a function of the known total volume fluxes at the touching and merging heights. Finally, we define an ‘effective’ entrainment constant, αeff, as the value of α needed to obtain the same total volume flux in two independent plumes as that occurring in two coalescing plumes. The definition of αeff allows us to find a single expression for the development of the total volume flux in the three different dynamical regions. This single expression will simplify the representation of coalescing plumes in more complex models, such as in large-scale geophysical convection, in which plume dynamics are not resolved. Experiments show that the model provides an accurate measure of the total volume flux in the two coalescing plumes as they evolve through the three regions.
    Description: The authors gratefully acknowledge the National Science Foundation (grant OCE-0824636) and the Office of Naval Research (grant N00014-09-1-0844) for their support of the 2013 WHOI Geophysical Fluid Dynamics Summer School where this project was initiated. Support to C.C. was given by the National Science Foundation project OCE-1130008.
    Description: 2015-07-11
    Keywords: Mixing ; Plumes/thermals ; Turbulent mixing
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    ISSN: 1089-7682
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    Topics: Physics , Electrical Engineering, Measurement and Control Technology
    Notes: A quarterly journal devoted to increasing the understanding of nonlinear phenomena and describing the manifestations in a manner comprehensible to researchers from a broad spectrum of disciplines
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    ISSN: 1089-7674
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    Topics: Physics , Electrical Engineering, Measurement and Control Technology
    Notes: The journal features concise, up-to-date reports on significant new findings in applied physics. Emphasizing rapid dissemination for key data and new physical insights, Physics of Plasmas offers prompt publication of new experimental and theoretical papers bearing on applications of physics phenomena to all branches of science, engineering, and modern technology. The journal emphasizes coverage of significant new topics, such as in recent years, high-Tc superconductors, diamond films, porous silicon, and fullerenes. It prints papers which report results of research in nuclear physics and related fields such as nuclear astrophysics.
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    Economics and philosophy 7 (1991), S. 1-4 
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    Economics and philosophy 7 (1991), S. 67-82 
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    Notes: The application of evolutionary ideas to socioeconomic systems has been an increasingly prominent theme in the work of Friedrich Hayek, and the motif has become dominant in his recent book (Hayek, 1988). In an earlier issue of this journal, Viktor Vanberg (1986) raises two substantive criticisms of Friedrich Hayek' theory of cultural evolution that invoke some important questions concerning use of the evolutionary analogy in social science.
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    Economics and philosophy 6 (1990), S. 1-2 
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    Economics and philosophy 6 (1990), S. 179-205 
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    Notes: A distinctive feature of modern capitalist societies is the tendency of the market to take over the production, maintenance, and distribution of goods that were previously produced, maintained, and distributed by nonmarket means. Yet, there is a wide range of disagreement regarding the proper extent of the market in providing many goods. Labor has been treated as a commodity since the advent of capitalism, but not without significant and continuing challenges to this arrangement. Other goods whose production for and distribution on the market are currently the subject of dispute include sexual intercourse, human blood, and human body parts such as kidneys. How can we determine which goods are properly subjects of market transactions and which are not? The purpose of this article is to propose a theory of what makes economic goods differ from other kinds of goods, which can help to answer this question.
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    Notes: Discontented people might talk of corruption in the Commons, closeness in the Commons and the necessity of reforming the Commons, said Mr. Spenlow solemnly, in conclusion; but when the price of wheat per bushel had been the highest, the Commons had been the busiest; and a man might lay his hand upon his heart, and say this to the whole world, – ‘Touch the Commons, and down comes the country!’
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    Economics and philosophy 6 (1990), S. 235-253 
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    Notes: A basic issue in political economy is the question of how a decentralized economy is possible: How can a system survive and, moreover, be efficient, if all decisions are taken independently, that is, without any explicit coordination? The issue has two sides to it. On the one hand, it is a “thought experiment,” falsifiable only on logical grounds, an object of debate for the sake of pure intellectual interest, even for people who might not live in a market economy. On the other hand, for those who do or might live in such an economy, a thought experiment of this kind contains a critical political dimension, for the conclusions derived from it will usually be appealed to in arguing about the ideal organization of the economy.
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    Economics and philosophy 6 (1990), S. 255-273 
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    Notes: I attempt a reconstruction of Adam Smith's view of human nature as explicated in The Theory of Moral Sentiments (TMS). Smith's view of human conduct is neither functionalist nor reductionist, but interactionist. The moral autonomy of the individual, conscience, is neither made a function of public approval nor reduced to self-contained impulses of altruism and egoism. Smith does not see human conduct as a blend of independently defined impulses. Rather, conduct is unified, by the underpinning sentiment of sympathy.
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    Economics and philosophy 6 (1990), S. 275-292 
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    Notes: In Chapter 12 of the General Theory, on “The State of Long-Term Expectation,” Keynes writes: “It would be foolish, in forming our expectations, to attach great weight to matters which are very uncertain” (CW VII, p. 148). In a footnote to this sentence, Keynes points out that by “very uncertain” he does not mean the same as “very improbable” and refers to the chapter on “The Weight of Arguments” in his earlier Treatise on Probability (CW VIII, pp. 77–85). The purpose of this article, in the first place, is to provide an account of, and to sort out the relations between, Keynes's views on probability, uncertainty, and the weight of arguments.
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    Notes: Many ethical theories, including in particular consequentialist moral the ories, require comparisons of the amount of good possessed or received by different people. In the case of some goods, such as monetary income, wealth, education, or health, such comparisons are relatively unproblematic. Even in the case of such goods there may be serious empirical measurement problems, but there appear to be no difficulties in principle. Thus Cooter and Rappoport (1984) maintained that there was no serious difficulty of making interpersonal utility comparisons for an earlier generation of economists who regarded utility as an index of “material welfare.”
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    Notes: Consider how your consumption would change if you were stranded on a deserted island. Isolation would eliminate all social influences on your consumption decisions, even for the same choice set. You might decide not to consume cosmetics, curtains, or neckties, and pay less attention to the style or color of your clothes, car, or furniture. These choices might not matter as much to you anymore, for you would not have to consider the reactions of other individuals to your consumption. Similarly, isolation would also eliminate social influences on your speech. Absent an audience, your choice of words would not be subject to the judgments of others.
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    Notes: This essay argues in favor of retaining the positive/normative distinction in economics, in spite of developments in methodology and epistemology that have cast doubt on the possibility of a “value-free” economics. The central claim is that it is worthwhile to distinguish between positive economic analysis and normative judgments, even if economics is viewed as being permeated with ethical values. This argument is presented without trying either to demonstrate that there is (or is not) a profound epistemological difference between science and ethics or to show that positive science can (or cannot) afford us access to objective reality.
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    Notes: The concept of fairness as mutual advantage has been developed in the tradition of social contract theory. In this framework society is seen as an enterprise that coordinates the activities of its members in order to advance their interests. All acceptable social rules are in the interest of each member of society. Rules are agreed unanimously – no rules can be enforced against the interest of someone. It is assumed that individuals are basically self-interested and rational. Radical libertarianism claims that individuals do not have to accept any a priori constraints on their behavior. “Libertarianism focuses on negative freedom” (Schokkaert, 1992, p. 89).
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    Notes: Postmodernism is often characterized, among other things, as the belief in the unattainability of objective truth and as a rejection of teleological and reductionist, or essentialist, forms of thought. For instance, in his provocative book The Rhetoric of Economics (1985), Donald McCloskey sketches the implications for economic methodology of Richard Rorty's (1979) rejection of the modernist quest for Truth, as represented by various rationalist and empiricist epistemologies. McCloskey describes modernist methodology as displaying a desire to predict and control, a search for objective–;which often means measurable–;knowledge, and an attempt to develop a value-free inquiry, among other characteristics (McCloskey, 1985, pp. 7-8). This “methodological correctness,” McCloske suggests, is discredited by the postmodern dissatisfaction with traditional epistemology. Thus, in place of the modernist belief in a rule-guided path to truth, he advocates a “free market” approach to knowledge, in which participants in the variety of theoretical conversations agree to be earnest and listen politely to one another.
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    Notes: I carved a massive cake of beeswax into bits and rolled them in my hands until they softened ... Going forward I carried wax along the line, and laid it thick on their ears. They tied me up, then, plumb amidships, back to the mast, lashed to the mast, and took themselves again to rowing. Soon, as we came smartly within hailing distance, the two Sirens, noting our fast ship off their point, made ready, and they sang ... The lovely voices in ardor appealing over the water made me crave to listen, and I tried to say ‘Untie me!’ to the crew, jerking my brows; but they bent steady to the oars. (Homer, c. –900, pp. 227–28)
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    Notes: At lunch one day a colleague and I had a friendly argument over occupational licensing. I attacked it for being anticompetitive, arguing that licensing boards raise occupational incomes by restricting entry, advertising, and commercialization. My colleague, while acknowledging anticompetitive aspects, affirmed the need for licensing on the grounds of protecting the consumer from frauds and quacks. In many areas of infrequent and specialized dealing, consumers are not able, ex ante or even ex post, to evaluate competence. I countered by suggesting voluntary means by which reputational problems might be handled and by returning to the offensive. I said that in fact the impetus for licensing usually comes from the practitioners, not their customers, and that licensing boards seldom devote their time to ferreting out incompetence but rather simply to prosecuting unlicensed practitioners. I mentioned cross-sectional findings, such as those on state licensure, prices, and occupational incomes. Overall, I characterized the professional establishment as a group of dastardly operators, who set the standards, write the codes, and enforce behavior to enhance their own material wellbeing - in brief, as venal rent-seekers.
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    Notes: This paper considers the asymptotic behavior of M-estimates in a dynamic linear regression model where the errors have infinite second moments but the exogenous regressors satisfy the standard assumptions. It is shown that under certain conditions, the estimates of the parameters corresponding to the exogenous regressors are asymptotically normal and converge to the true values at the standard n−½ rate.
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    Econometric theory 9 (1993), S. 633-648 
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    Notes: We give a straightforward condition sufficient for determining the minimum asymptotic variance estimator in certain classes of estimators relevant to econometrics. These classes are relatively broad, as they include extremum estimation with smooth or nonsmooth objective functions; also, the rate of convergence to the asymptotic distribution is not required to be n−½. We present examples illustrating the content of our result. In particular, we apply our result to a class of weighted Huber estimators, and obtain, among other things, analogs of the generalized least-squares estimator for least Lp-estimation, 1 ≤ p 〈 ∞.
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    Econometric theory 9 (1993), S. 668-679 
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    Notes: In this paper, we examine the performance of the predictive risk of the Steinrule (SR) and positive-part Stein-rule (PSR) estimators when relevant regressors are omitted in the specified model. The exact formula of the predictive risk of the PSR estimator is derived, and the sufficient condition for the PSR estimator to dominate the SR estimator under a specification error is given. It is shown by numerical computation that the PSR estimator seems to be the best choice among the OLS, SR, and PSR estimators even when there are omitted variables.
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    Econometric theory 9 (1993), S. 687-688 
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    Notes: The central limit theorem in Davidson [2] is extended to allow cases where the variances of sequence coordinates can be tending to zero. A trade-off is demonstrated between the degree of dependence and the rate of degeneration. For the martingale difference case, it is sufficient for the sum of the variances to diverge at the rate of log n.
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    Notes: This paper investigates the asymptotic distribution of the maximum likelihood estimator in a stochastic frontier function when the firms are all technically efficient. For such a situation the true parameter vector is on the boundary of the parameter space, and the scores are linearly dependent. The asymptotic distribution of the maximum likelihood estimator is shown to be a mixture of certain truncated distributions. The maximum likelihood estimates for different parameters may have different rates of stochastic convergence. The model can be reparameterized into one with a regular likelihood function. The likelihood ratio test statistic has the usual mixture of chi-square distributions as in the regular case.
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    Notes: In this paper we consider the small sample properties of the coefficient of determination in a linear regression model with multivariate t errors when proxy variables are used instead of unobservable regressors. The results show that if the unobservable variable is an important variable, the adjusted coefficient of determination can be more unreliable in small samples than the unadjusted coefficient of determination from both viewpoints of the bias and the MSE.
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    Econometric theory 9 (1993), S. 524-524 
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    Econometric theory 9 (1993), S. 525-525 
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    Econometric theory 9 (1993), S. 222-240 
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    Notes: The paper develops and explores tests, based on standard moment specifications, for the identifiability of parameters apparently estimable by instrumental variables. An asymptotic expansion under standard restrictive assumptions on the error distribution suggests a correction to the asymptotic distribution. A small sampling experiment indicates that the tests are of use.
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    Econometric theory 9 (1993), S. 155-188 
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    Notes: The concepts of continuous and uniform weak convergence and versions of stochastic equicontinuity are discussed in the context of integrated processes of order one. The considered processes depend on a parameter vector in a specific fashion which is relevant for integrated and cointegrated systems with non-linearities in parameters. The results of the paper can be applied to obtain asymptotic distributions of estimators and test statistics in such systems. In a correctly specified cointegrated Gaussian system, this can be done in a very convenient way. Combining the results of this paper with available general maximum likelihood estimation theories readily shows that the maximum likelihood estimator is asymptotically optimal with a mixed normal limiting distribution. The usefulness of this approach is demonstrated by analyzing a regression model with autoregressive moving average errors and strictly exogenous regressors which may be either integrated of order one, asymptotically stationary, or nonstochastic and bounded.
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    Econometric theory 9 (1993), S. 323-324 
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    Econometric theory 9 (1993), S. 322-323 
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    Econometric theory 9 (1993), S. 313-313 
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    Econometric theory 9 (1993), S. 314-315 
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    Econometric theory 9 (1993), S. 315-316 
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    Econometric theory 9 (1993), S. 324-325 
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    Econometric theory 9 (1993), S. 146-147 
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    Econometric theory 7 (1991), S. 409-411 
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    Econometric theory 7 (1991), S. 413-414 
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    Econometric theory 7 (1991), S. 420-424 
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    Econometric theory 7 (1991), S. 428-431 
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    Econometric theory 7 (1991), S. 404-408 
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    Notes: This paper is concerned with deriving formulae for higher order derivatives of exogenous variables for use in estimating the parameters of an open secondorder continuous time model with mixed stock and flow data and first and second order derivatives of exogenous variables which are not observable. This should provide the basis for the future estimation of continuous time models in a range of applied areas using the new Gaussian estimation computer program developed by Nowman [4].
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    Econometric theory 7 (1991), S. 265-268 
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    Notes: Asymptotic local power analysis has become an important and increasingly used technique in econometrics. This paper reviews the history of local power analysis and delineates the contribution of J.Neyman, E.J.G. Pitman, and G. Noether.
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    Notes: This paper deals with the problem of estimating the covariance matrix of the least-squares regression coefficients under heteroskedasticity and/or autocorrelation of unknown form. We consider an estimator proposed by White [17] and give a relatively simple proof of its consistency. Our proof is based on more easily verifiable conditions than those of White. An alternative estimator with improved small sample properties is also presented.
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    Econometric theory 7 (1991), S. 139-139 
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    Econometric theory 7 (1991), S. 213-221 
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    Notes: This paper presents maximal inequalities and strong law of large numbers for weakly dependent heterogeneous random variables. Specifically considered are Lr mixingales for r 〉 1, strong mixing sequences, and near epoch dependent (NED) sequences. We provide the first strong law for Lr-bounded Lr mixingales and NED sequences for 1 〉 r 〉 2. The strong laws presented for α-mixing sequences are less restrictive than the laws of McLeish [8].
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    Econometric theory 7 (1991), S. 1-21 
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    Notes: An asymptotic optimality theory for the estimation of cointegration regressions is developed in this paper. The theory applies to a reasonably wide class of estimators without making any specific assumptions about the probability distribution or short-run dynamics of the data-generating process. Due to the nonstandard nature of the estimation problem, the conventional minimum variance criterion does not provide a convenient measure of asymptotic efficiency. An alternative criterion, based on the concentration or peakedness of the limiting distribution of an estimator, is therefore adopted. The limiting distribution of estimators with maximum asymptotic efficiency is characterized in the paper and used to discuss the optimality of some known estimators. A new asymptotically efficient estimator is also introduced. This estimator is obtained from the ordinary least-squares estimator by a time domain correction which is nonparametric in the sense that no assumption of a finite parameter model is required. The estimator can be computed with least squares without any initial estimations.
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    Econometric theory 7 (1991), S. 132-138 
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    Econometric theory 6 (1990), S. 406-407 
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    Econometric theory 6 (1990), S. 409-410 
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    Econometric theory 6 (1990), S. 123-150 
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    Notes: Quantile and semiparametric M estimation are methods for estimating a censored linear regression model without assuming that the distribution of the random component of the model belongs to a known parametric family. Both methods require estimating derivatives of the unknown cumulative distribution function of the random component. The derivatives can be estimated consistently using kernel estimators in the case of quantile estimation and finite difference quotients in the case of semiparametric M estimation. However, the resulting estimates of derivatives, as well as parameter estimates and inferences that depend on the derivatives, can be highly sensitive to the choice of the kernel and finite difference bandwidths. This paper discusses the theory of asymptotically optimal bandwidths for kernel and difference quotient estimation of the derivatives required for quantile and semiparametric M estimation, respectively. We do not present a fully automatic method for bandwidth selection.
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    Econometric theory 6 (1990), S. 263-267 
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    Econometric theory 6 (1990), S. 283-283 
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