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  • 1
    Electronic Resource
    Electronic Resource
    Amsterdam : Elsevier
    Physics Letters B 294 (1992), S. 466-478 
    ISSN: 0370-2693
    Source: Elsevier Journal Backfiles on ScienceDirect 1907 - 2002
    Topics: Physics
    Type of Medium: Electronic Resource
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  • 2
    Electronic Resource
    Electronic Resource
    Amsterdam : Elsevier
    Physics Letters B 317 (1993), S. 474-484 
    ISSN: 0370-2693
    Source: Elsevier Journal Backfiles on ScienceDirect 1907 - 2002
    Topics: Physics
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  • 3
    Call number: K 95.0020 / R6
    In: Geologische Karte der Republik Österreich
    Type of Medium: Map available for loan
    Pages: 1 Kt. : mehrfarb. ; 54 x 82 cm, gefaltet 12 x 21 cm + Erl.-H. (192 S., 2010) im Umschlag
    ISBN: 9783853160558
    Location: Upper compact magazine
    Branch Library: GFZ Library
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  • 4
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Andalusite porphyroblasts are totally pseudomorphosed by margarite–paragonite aggregates in aluminous pelites containing the peak mineral assemblage andalusite, chlorite, chloritoid, margarite, paragonite, quartz ± garnet, in a NW Iberia contact area. Equilibria at low P–T are investigated using new KFMASH and (mainly) MnCNKFMASH grids constructed with Thermocalc 3.21. P–T and T–X pseudosections with phase modal volume isopleths are constructed for compositions relatively richer and poorer in andalusite to model the assemblages in an andalusite-bearing rock that contains a thin andalusite-rich band (ARB) during retrogression. Their compositions, prior to retrogression, are used in the modelling, and have been retrieved by restoring the pseudomorph-forming elements into the current-depleted matrix, except for Al2O3 which is assumed to be immobile. Compositional differences between the thin band and the rest of the rock have not resulted in differences in andalusite porphyroblast retrogression. The absence of chloritoid resorbtion implies either a pressure increase at constant reacting-system composition, or that its composition changed during retrogression at constant pressure, by becoming enriched in the progressively replaced andalusite porphyroblasts. T–X pseudosections at 1 kbar model this latter process using as end-members in X, first, the restored original rock and ARB compositions, and, then the same process, taking into account the change in composition of both as retrogression proceeded. The MnNCKFMASH pseudosections of rocks with different Al contents facilitate making further deductions on the rock-composition control of the resulting assemblages upon retrogression. Andalusite eventually disappears in relatively Al-poor rocks, resulting, as in this study, in a rock formed by chloritoid–chlorite as the only FM minerals, plus margarite–paragonite pseudomorphs of andalusite. In rocks richer in Al, chlorite would progressively disappear and a kyanite/andalusite–chloritoid assemblage would eventually be stable at retrograde conditions. The Al-silicate, stable during retrogression in Al-rich rocks, indicates pressure conditions and hence the tectonic context under which retrogression took place.
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  • 5
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: In statistically optimised P–T estimation, the contributions to overall uncertainty from different sources are represented by ellipses. One source, for a diffusion-controlled reaction at non-equilibrium, is diffusion modelling of the reaction texture. This modelling is used to estimate ratios, Q, between free-energy differences, ΔG, of reactions among mineral end-members, to replace the equilibrium condition ΔG = 0. The associated uncertainty is compared with those already inherent in the equilibrium case (from end-member data, activity models and mineral compositions). A compact matrix formulation is introduced for activity coefficients, and their partial derivatives governing error propagation. The non-equilibrium example studied is a corona reaction with the assemblage Grt–Opx–Cpx–Pl–Qtz. Two garnet compositions are used, from opposite sides of the corona. In one of them, affected by post-reaction Fe, Mg exchange with pyroxene, the problem of reconstructing the original composition is overcome by direct use of ratios between chemical-potential differences, given by the diffusion modelling. The number of geothermobarometers in the optimisation is limited by near-degeneracies. Their weightings are affected by strong correlations among Q ratios. Uncertainty from diffusion modelling is not large in comparison with other sources. Overall precision is limited mainly by uncertainties in activity models. Hypothetical equilibrium P–T are also estimated for both garnet compositions. By this approach, departure from equilibrium can be measured, with statistical uncertainties. For the example, the result for difference from equilibrium pressure is 1.2 ± 0.7 kbar.
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  • 6
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 7
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 8
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 9
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 10
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 11
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 12
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 13
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 14
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 15
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: This paper characterizes the metamorphic thermal structure of the Higo Metamorphic Complex (HMC) and presents the results of a numerical simulation of a geotherm with melt migration and solidification. Reconstruction of the geological and metamorphic structure shows that the HMC initially had a simple thermal structure where metamorphic temperatures and pressures increased towards apparent lower structural levels. Subsequently, this initial thermal structure has been collapsed by E–W and NNE–SSW trending high-angle faults. Pressure and temperature conditions using the analysis of mineral assemblages and thermobarometry define a metamorphic field P–T array that may be divided into two segments: the array at apparent higher structural levels has a low-dP/dT slope, whereas that at apparent lower structural levels has a high-dP/dT slope. This composite array cannot be explained by heat conduction in subsolidus rocks alone. Migmatite is exposed pervasively at apparent lower structural levels, but large syn-metamorphic plutons are absent at the levels exposed in the HMC. Transport and solidification of melt within migmatite is a potential mechanism to generate the composite array. Thermal modelling of a geotherm with melt migration and solidification shows that the composite thermal structure may be formed by a change of the dominant heat transfer from an advective regime to a conduction regime with decreasing depth. The model also predicts that strata beneath the crossing point will consist of high-grade solid metamorphic rocks and solidified melt products, such as migmatite. This prediction is consistent with the observation that migmatite was associated with the very high-dP/dT slope. The melt migration model is able to generate the very high-dP/dT segment due to the high rate of heat transfer by advection.
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  • 16
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 17
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 18
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 19
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: This study analyses the mineralogical and chemical transformations associated with an Alpine shear zone in polymetamorphic metapelites from the Monte Rosa nappe in the upper Val Loranco (N-Italy). In the shear zone, the pre-Alpine assemblage plagioclase + biotite + kyanite is replaced by the assemblage garnet + phengite + paragonite at eclogite facies conditions of about 650 °C at 12.5 kbar. Outside the shear zone, only minute progress of the same metamorphic reaction was attained during the Alpine metamorphic overprint and the pre-Alpine mineral assemblage is largely preserved. Textures of incomplete reaction, such as garnet rims at former grain contacts between pre-existing plagioclase and biotite, are preserved in the country rocks of the shear zone. Reaction textures and phase relations indicate that the Alpine metamorphic overprint occurred under largely anhydrous conditions in low strain domains. In contrast, the mineralogical changes and phase equilibrium diagrams indicate water saturation within the Alpine shear zones. Shear zone formation occurred at approximately constant volume but was associated with substantial gains in silica and losses in aluminium and potassium. Changes in mineral modes associated with chemical alteration and progressive deformation indicate that plagioclase, biotite and kyanite were not only consumed in the course of the garnet-and phengite-producing reactions, but were also dissolved ‘congruently’ during shear zone formation. A large fraction of the silica liberated by plagioclase, biotite and kyanite dissolution was immediately re-precipitated to form quartz, but the dissolved aluminium- and potassium-bearing species appear to have been stable in solution and were removed via the pore fluid. The reaction causes the localization of deformation by producing fine-grained white mica, which forms a mechanically weak aggregate.
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  • 20
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Low-pressure crystal-liquid equilibria in pelitic compositions are important in the formation of low-pressure, high-temperature migmatites and in the crystallization of peraluminous leucogranites and S-type granites and their volcanic equivalents. This paper provides data from vapour-present melting of cordierite-bearing pelitic assemblages and augments published data from vapour-present and vapour-absent melting of peraluminous compositions, much of which is at higher pressures. Starting material for the experiments was a pelitic rock from Morton Pass, Wyoming, with the major assemblage quartz-K feldspar-biotite-cordierite, approximately in the system KFMASH. A greater range in starting materials was obtained by addition of quartz and sillimanite to aliquots of this rock. Sixty-one experiments were carried out in cold-seal apparatus at pressures of 1–3.5 kbar (particularly 2 kbar) and temperatures from 700 to 840 °C, with and without the addition of water. In the vapour-present liquidus relations at 2 kbar near the beginning of melting, the sequence of reactions with increasing temperature is: Qtz + Kfs + Crd + Sil + Spl + V = L; Qtz + Kfs + Crd + Spl + Ilm + V = Bt + L; and Qtz + Bt + V = Crd + Opx + Ilm + L. Vapour-absent melting starts at about 800 °C with a reaction of the form Qtz + Bt = Kfs + Crd + Opx + Ilm + L. Between approximately 1–3 kbar the congruent melting reaction is biotite-absent, and biotite is produced by incongruent melting, in contrast to higher-pressure equilibria. Low pressure melts from pelitic compositions are dominated by Qtz-Kfs-Crd. Glasses at 820–840 °C have calculated modes of approximately Qtz42Kfs46Crd12. Granites or granitic leucosomes with more than 10–15% cordierite should be suspected of containing residual cordierite. The low-pressure glasses are quite similar to the higher-pressure glasses from the literature. However, XMg increases from about 0.1–0.3 with increasing pressure from 1 to 10 kbar, and the low-temperature low-pressure glasses are the most Fe-rich of all the experimental glasses from pelitic compositions.
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  • 21
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Quartz-rich veins in metapelitic schists of the Sanandaj-Sirjan belt, Hamadan region, Iran, commonly contain two Al2SiO5 polymorphs, and, more rarely, three coexisting Al2SiO5 polymorphs. In most andalusite and sillimanite schists, the types of polymorphs in veins correlate with Al2SiO5 polymorph(s) in the host rocks, although vein polymorphs are texturally and compositionally distinct from those in adjacent host rocks; e.g. vein andalusite is enriched in Fe2O3 relative to host rock andalusite. Low-grade rocks contain andalusite + quartz veins, medium-grade rocks contain andalusite + sillimanite + quartz ± plagioclase veins, and high-grade rocks contain sillimanite + quartz + plagioclase veins/leucosomes. Although most andalusite and sillimanite-bearing veins occur in host rocks that also contain Al2SiO5, kyanite-quartz veins crosscut rocks that lack Al2SiO5 (e.g. staurolite schist, granite). A quartz vein containing andalusite + kyanite + sillimanite + staurolite + muscovite occurs in andalusite–sillimanite host rocks. Textural relationships in this vein indicate the crystallization sequence andalusite to kyanite to sillimanite. This crystallization sequence conflicts with the observation that kyanite-quartz veins post-date andalusite–sillimanite veins and at least one intrusive phase of a granite that produced a low-pressure–high-temperature contact aureole; these relationships imply a sequence of andalusite to sillimanite to kyanite. Varying crystallization sequences for rocks in a largely coherent metamorphic belt can be explained by P–T paths of different rocks passing near (slightly above, slightly below) the Al2SiO5 triple point, and by overprinting of multiple metamorphic events in a terrane that evolved from a continental arc to a collisional orogen.
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  • 22
    Electronic Resource
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    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Zircon fission track dating and track length analysis in the high-grade part of the Asemigawa region of the Sanbagawa belt demonstrates a simple cooling history passing through the partial annealing zone at 63.2 ± 5.8 (2 σ) Ma. Combining this age with previous results of phengite and amphibole K–Ar and 40Ar/39Ar dating gives a cooling rate of between 6 and 13 °C Myr−1, which can be converted to a maximum exhumation rate of 0.7 mm year−1 using the known shape of the P–T path. This is an order of magnitude lower than the early part of the exhumation history. In contrast, zircon fission track analyses in the low-grade Oboke region show that this area has undergone a complex thermal history probably related to post-orogenic secondary reheating younger than c. 30 Ma. This event may correlate with the widespread igneous activity in south-west Japan around 15 Ma. The age of subduction-related metamorphism in the Oboke area is probably considerably older than the generally accepted range of 77–70 Ma.
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  • 23
    Electronic Resource
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    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Garnet-bearing ultramafic rocks including clinopyroxenite, wehrlite and websterite locally crop out in the Higashi-akaishi peridotite of the Besshi region in the Cretaceous Sanbagawa metamorphic belt. These rock types occur within dunite as lenses, boudins or layers with a thickness ranging from a few centimetres to 1 metre. The wide and systematic variation of bulk-rock composition and the overall layered structure imply that the ultramafic complex originated as a cumulate sequence. Garnet and other major silicates contain rare inclusions of edenitic amphibole, chlorite and magnetite, implying equilibrium at relatively low P–T conditions during prograde metamorphism. Orthopyroxene coexisting with garnet shows bell-shaped Al zoning with a continuous decrease of Al from the core towards the rim, consistent with rims recording peak metamorphic conditions. Estimated P–T conditions using core and rim compositions of orthopyroxene are 1.5–2.4 GPa/700–800 °C and 2.9–3.8 GPa/700–810 °C, respectively, implying a high P/T gradient (〉 3.1 GPa/100 °C) during prograde metamorphism. The presence of relatively low P–T conditions at an early stage of metamorphism and the steep P/T gradient together trace a concave upwards P–T path that shows increasing P/T with higher T, similar to P–T paths reported from other UHP metamorphic terranes. These results suggest either (1) down dragging of hydrated mantle cumulate parallel to the slab–wedge interface in the subduction zone by mechanical coupling with the subducting slab or (2) ocean floor metamorphism and/or serpentinization at early stage of subduction of oceanic lithosphere and ensuing HP–UHP prograde metamorphism.
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  • 24
    Electronic Resource
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    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 25
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: During emplacement and cooling, the layered mafic–ultramafic Kettara intrusion (Jebilet, Morocco) underwent coeval effects of deformation and pervasive fluid infiltration at the scale of the intrusion. In the zones not affected by deformation, primary minerals (olivine, plagioclase, clinopyroxene) were partially or totally altered into Ca-amphibole, Mg-chlorite and CaAl-silicates. In the zones of active deformation (centimetre-scale shear zones), focused fluid flow transformed the metacumulates (peridotites and leucogabbros) into ultramylonites where insoluble primary minerals (ilmenite, spinel and apatite) persist in a Ca-amphibole-rich matrix. Mass-balance calculations indicate that shearing was accompanied by up to 200% volume gain; the ultramylonites being enriched in Si, Ca, Mg, and Fe, and depleted in Na and K. The gains in Ca and Mg and losses in Na and K are consistent with fluid flow in the direction of increasing temperature.When the intrusion had cooled to temperatures prevailing in the country rock (lower greenschist facies), deformation was still active along the shear zones. Intense intragranular fracturing in the shear zone walls and subsequent fluid infiltration allowed shear zones to thicken to metre-scale shear zones with time. The inner parts of the shear zones were transformed into chlorite-rich ultramylonites. In the shear zone walls, muscovite crystallized at the expense of Ca–Al silicates, while calcite and quartz were deposited in ‘en echelon’ veins. Mass-balance calculations indicate that formation of the chlorite-rich shear zones was accompanied by up to 60% volume loss near the centre of the shear zones; the ultramylonites being enriched in Fe and depleted in Si, Ca, Mg, Na and K while the shear zones walls are enriched in K and depleted in Ca and Si. The alteration observed in, and adjacent to the chlorite shear zones is consistent with an upward migrating regional fluid which flows laterally into the shear zone walls. Isotopic (Sr, O) signatures inferred for the fluid indicate it was deeply equilibrated with host lithologies.
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  • 26
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    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 27
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    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: As the best preserved high- and ultrahigh-pressure (HP and UHP) metamorphic terrane in the Qinling-Dabieshan-Sulu orogen, western Dabieshan is divided into six lithotectonic units along a traverse across the orogen, i.e. from north to south, the Nanwan, Balifan, Huwan, Xinxian, Hong'an and Mulanshan units. In this terrane five eclogite-bearing zones (I–V) are developed. The garnet and clinopyroxene in eclogites from these zones exhibit chemical zoning, suggesting that the rims record general peak temperature and pressure. Thermobarometric study indicates that the peak P–T conditions of eclogite are 550–570°C and 21 kbar for Zone I, 470–500°C and 14–17 kbar for Zone II, 620–670°C and 26–29 kbar for Zone III, 530–560°C and 20–22 kbar for Zone IV, and 490–510°C and 19–20 kbar for Zone V. The symmetrical thermobaric pattern, in conjunction with structural and geochronological data, demonstrates that the Huwan and Hong'an units belong to the same HP slice overlying the UHP slice. This pattern, together with the Mulanshan LT/HP blueschist–greenschist belt in the south, roughly constitutes a ‘normal’ metamorphic zonation. However, clear metamorphic gaps occur between different slices. It is inferred that the LT/HP, HP and UHP slices were broken up from the downgoing slab during subduction and reached different depths along different geothermal gradients. The successive subduction of underlying slices leads to a nearly concomitant uplift of overlying slices, whereas exhumation of the deepest UHP slice was effected by underthrusting of the lower crust of the Yangtze craton.
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  • 28
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    Oxford, UK : Blackwell Science Inc
    Journal of metamorphic geology 22 (2004), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: The Zermatt-Saas serpentinite complex is an integral member of the Penninic ophiolites of the Central Alps and represents the mantle part of the oceanic lithosphere of the Tethys. Metamorphic textures of the serpentinite preserve the complex mineralogical evolution from primary abyssal peridotite through ocean-floor hydration, subduction-related high-pressure overprint, meso-Alpine greenschist facies metamorphism, and late-stage hydrothermal alteration. The early ocean floor hydration of the spinel harzburgites is still visible in relic pseudomorphic bastite and locally preserved mesh textures. The primary serpentine minerals were completely replaced by antigorite. The stable assemblage in subduction-related mylonitic serpentinites is antigorite–olivine–magnetite ± diopside. The mid-Tertiary greenschist facies overprint is characterized by minor antigorite recrystallization. Textural and mineral composition data of this study prove that the hydrated mineral assemblages remained stable during high-pressure metamorphism of up to 2.5 GPa and 650 °C. The Zermatt-Saas serpentinites thus provide a well documented example for the lack of dehydration of a mantle fragment during subduction to 75 km depth.
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  • 29
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    Oxford, UK; Malden, USA : Blackwell Science Inc
    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: The reintroduction of Sphagnum fragments has been found to be a promising method for restoring mire vegetation in a cutaway peatland. Although it is known that moisture controls Sphagnum photosynthesis, information concerning the sensitivity of carbon dynamics on water-level variation is still scarce. In a 4-year field experiment, we studied the carbon dynamics of reintroduced Sphagnum angustifolium material in a restored (rewetted) cutaway peatland. Cutaway peatland restored by Sphagnum reintroduction showed high sensitivity to variation in water level. Water level controlled both photosynthesis and respiration. Gross photosynthesis (PG) had a unimodal response to water-level variation with optimum level at −12 cm. The range of water level for high PG (above 60% of the maximum light-saturated PG) was between 22 and 1 cm below soil surface. Water level had a dual effect on total respiration. When the water level was below soil surface, peat respiration increased rapidly along the lowering water level until the respiration rate started to slow down at approximately −30 cm. Contrary to peat respiration, the response of Sphagnum respiration to water-level variation resembled that of photosynthesis with an optimum at −12 cm. In optimal conditions, Sphagnum reintroduction turned the cutaway site from carbon source to a sink of 23 g C/m2 per season (mid-May to the end of September). In dry conditions, lowered photosynthesis together with the higher peat respiration led to a net loss of 56 g C/m2. Although the water level above the optimum amplitude restricted CO2 fixation, a decrease in peat respiration led to a positive CO2 balance of 9 g C/m2.
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  • 30
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Restoration status of forest rehabilitation areas can be assessed by comparing their ecosystem characteristics with those of a reference system, most often what is considered the natural climax vegetation. However, comprehensive measurements needed for a traditional vegetation description are often hard or impractical in complex (sub)tropical ecosystems. Therefore, an alternative approach is the identification of simple indicators of ecosystem integrity. The use of such indicators can speed up the availability of resource inventories and thus contribute to the accelerated implementation of successful rehabilitation practices. Thermal buffer capacity (TBC) of ecosystems has been previously proposed as an overall indicator of ecosystem integrity. In this article, sequential surface-temperature measurements are proposed as a method for TBC assessment of different land-use types. Surface temperatures of seven land units in central Tigray (northern Ethiopia), each with a uniform land-use type (degraded and bushy grazing land, enriched and non-enriched rehabilitation area, and forest), were measured with a hand-held infrared thermometer in the rainy and the dry season. Surface-temperature models were derived by means of quadratic regression. Cross-correlation functions were calculated for all possible pairs of land-unit time-series data. Instantaneous heat-up rates, average TBC, and accumulated heat load were calculated. Repeated-measures analysis of variance was used to test the effect of aspect and protection status on TBC. Kruskal–Wallis one-way analysis of variance by ranks for small samples was used to test the significance of differences in heat-up rates and heat load among land-use groups. Time lags between land-unit surface temperatures are caused by differences in aspect rather than land-use type. Protection status and aspect have a significant effect on the average TBC. Results clearly demonstrate a differentiation between protected (low heat-up rate) and non-protected areas (high heat-up rate). Overall ranking suggests that the remnant forest has the highest TBC of all surveyed land-use types, followed by the enriched protected area. Results of this study show that TBC quickly responds to area closure and can therefore be used to monitor the development of protected areas. It is strongly recommended that a detailed monitoring strategy for protected areas on the basis of this technology be devised, validated, and finally transferred to the local communities.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: An ecological functional assessment (EFA) was used on 10 southwest Costa Rica sites representing a chronosequence of formerly pastured lands to undisturbed tropical wet forest. Ecological functional assessment is a tool designed to assess wetland functions in the United States that was adapted to upland forests. Models to indicate characteristic soil hydrologic features and soil structure and aboveground spatial structure of habitat were used to examine the degree to which selected sites within the chronosequence approach the undisturbed condition of the natural forest. An index of the functional model for the maintenance of characteristic soil hydrologic features (such as infiltration, bulk density, etc.) showed that the 20-year-old secondary forest was at approximately 60% of the condition of the undisturbed sites, whereas active pasture was evaluated at approximately 20% of the reference undisturbed forest; 4- and 10-year-old sites were intermediate. The spatial structure of habitat model showed that 20-year-old secondary forest was approximately 50% of reference forest, whereas active pasture was approximately 10% of the condition of undisturbed forest; 4-year-old sites were evaluated at approximately 20% and 10-year-old sites at approximately 60% of the reference state. Overall the functional assessment process indicated that degraded tropical wet forest sites have recovered almost 60% of their functional qualities 10 years following pasture abandonment. These results indicate that EFA can be a useful technique for monitoring restoration programs in the tropics.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: We evaluated changes in ecosystem function in semiarid Stipa tenacissima L. steppes along a degradation gradient in southeast Spain. We used soil surface indicators to obtain surrogates of ecosystem function (resistance to erosion, infiltration, and nutrient cycling) and related these values to the main abiotic and biotic characteristics of the experimental sites. When ranked in an ordered sequence, the trajectory of these indicators showed abrupt changes, providing empirical evidence of discontinuities in ecosystem function along the degradation gradient evaluated. Surrogates of resistance to erosion showed nonlinear relationships with variables defining the spatial structure of patches, the area covered by sprouting shrubs, and species richness. The latter two variables were significantly related to surrogates of nutrient cycling and infiltration. Our results suggest that sprouting shrubs are playing a key role in improving ecosystem function and composition in degraded S. tenacissima steppes. The implications of our results for the optimization of restoration procedures in semiarid degraded steppes are discussed.
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    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Restoration of salt marsh ecosystems is an important concern in the eastern United States to mitigate damage caused by industrial development. Little attention has been directed to the mycorrhizal influence on plantings of salt marsh species to stabilize estuarine sediments and establish cover. In our study, seedlings of two salt marsh grasses, Spartina alterniflora and Spartina cynosuroides, were grown in soil with a commercial, mixed species inoculum of arbuscular mycorrhizal fungi. Plants were grown in experimental “ebb and flow” boxes, simulating three levels of tidal inundation, to which two levels of applied phosphorus (P) and two levels of salinity were imposed. After 2.5 months, S. alterniflora was poorly colonized by arbuscular mycorrhizae, developing only fungal hyphae and no arbuscules, but S. cynosuroides became moderately colonized. Mycorrhizal inoculation marginally improved growth and P and nitrogen (N) content of both plant species at low levels of P supply but significantly increased tillering in both plant species. This factor could be beneficial in enhancing ground cover during restoration procedures. Greater P availability increased the mycorrhizal status of S. cynosuroides and improved P nutrition of both plant species, despite a reduction in the root-to-shoot ratio. Increasing salinity reduced mycorrhizal colonization of S. alterniflora but not of S. cynosuroides. Growth and nutrient content of S. alterniflora was improved at higher levels of salinity, but only increased nutrient content in S. cynosuroides. Increased duration of tidal inundation decreased plant growth in both species, but tissue P and N concentrations were highest with the longest time of inundation in both species.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: As monitoring plans for the restoration of Pinus ponderosa forests in the southwestern United States evolve toward examining multifactor ecosystem responses to ecological restoration, designing efficient sampling procedures for understory vegetation will become increasingly important. The objective of this study was to compare understory composition and diversity among thin/burn and control treatments in a P. ponderosa restoration, while simultaneously examining the effects of sampling design and multivariate analyses on which conclusions were based. Using multi-response permutation procedures (MRPP), we tested the null hypothesis of no difference in understory species composition among treatments using different data matrices (e.g., frequency and cover) for two different sampling methods. Treatment differences were subtle and were detected by an intensive 50, 1-m2 subplot sampling method for all data matrices but were not detected by a less intensive point-intercept sampling method for any matrix. Sampling methods examined in this study controlled results of multivariate analyses more than the data matrices used to summarize data generated by a sampling method. We partitioned data into plant life form and native/exotic species categories for MRPP, and this partitioning isolated plant groups most responsible for treatment differences. We also examined the effects of number of 1-m2 subplots sampled on mean-species-richness/m2 estimates and found that estimates based on 10 subplots and based on 50 subplots were highly correlated (r = 0.99). Species–area curves indicated that the 50, 1-m2 subplot sampling method detected the common species of sites but failed to detect the majority of rare species. Additional sampling-design studies are needed to develop single sampling designs that produce multifactor data on plant composition, diversity, and spatial patterns amenable to multivariate analyses as part of monitoring plans of vegetation responses to ecological restoration.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: The relative abundances of Chenopodiaceae shrubs are different from the seed composition in the original seed mix when sown on mine waste material in semiarid regions of Western Australia. Experiments were therefore undertaken to determine what species interactions are responsible for shifts in relative abundance after seeding. The growth parameters of five members of the Chenopodiaceae were used to determine intra- and interspecific density-dependent interactions. Dominant and subordinant species were paired and grown in pots at differing densities. The growth parameters measured were height, root, and shoot biomass. Of the five species chosen for this study, Maireana georgei (golden bluebush) and Enchylaena tomentosa (ruby saltbush) do not establish well on mine site areas. These were sensitive to density in monoculture, as well as in the presence of both Atriplex bunburyana (silver saltbush) and Atriplex codonocarpa (flat-topped saltbush). Although Maireana brevifolia (small leaf bluebush) does establish successfully on mine sites when sown, it showed the same negative reaction when grown in monoculture and in a two-species mixture. Atriplex bunburyana and A. codonocarpa, in contrast, are dominant species and reacted differently when grown with increasing numbers of the target species (M. georgei, M. brevifolia, and E. tomentosa). Atriplex bunburyana did not exhibit any decreases in growth when grown in competition with up to four plants of the target species. However, A. codonocarpa did react adversely to the presence of the target species. It is thought that the resulting plant community organization reflects the original seed mixture, which is usually sown at a high density. Yet, this study has shown that the differing intra- and interspecific density responses of these chenopod species provide an indication of the resulting community organization. To maximize diversity and to prevent dominance by highly competitive species, such as A. bunburyana, it is important to take density-dependent effects into account during the restoration planning stage.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Plant species richness in rural landscapes of northern Europe has been positively influenced by traditional management for millennia. Owing to abandonment of these practices, the number of species-rich semi-natural grasslands has decreased, and remaining habitats suffer from deterioration, fragmentation, and plant species decline. To prevent further extinctions, restoration efforts have increased during the last decades, by reintroducing grazing in former semi-natural grasslands. To assess the ecological factors that might influence the outcome of such restorations, we made a survey of semi-natural grasslands in Sweden that have been restored during the last decade. We investigated how plant species richness, species density, species composition, and abundance of 10 species that are indicators of grazing are affected by (1) the size of the restored site, (2) the time between abandonment of grazing and restoration, (3) the time elapsed since restoration, and (4) the abundance of trees and shrubs at the restored site. Only two factors, abundance of trees and shrubs and time since restoration, were positively associated with total species richness and species density per meter square at restored sites. Variation in species composition among restored sites was not related to any of the investigated factors. Species composition was relatively similar among sites, except in mesic/wet grasslands. The investigated factors had small effects on the abundance of the grazing-indicator species. Only Campanula rotundifolia responded to restoration with increasing abundance and may thus be a suitable indicator of improved habitat quality. In conclusion, positive effects on species richness may appear relatively soon after restoration, but rare, short-lived species are still absent. Therefore, remnant populations in surrounding areas may be important in fully recreating former species richness and composition.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Ground and pelletized Wollastonite (Wo; CaSiO3) was added to a 50-m reach of an anthropogenically acidified stream within the Hubbard Brook Experimental Forest, New Hampshire, to evaluate its buffering and restoration potential. The Wo was highly effective in raising the pH, acid-neutralizing capacity (ANC), dissolved inorganic carbon (DIC), and Ca2+ concentrations of the stream water, but during the short duration of the experiment had no discernable effect on the stream biota. After initial, spike-like fluctuations in pH and concentrations of ANC, DIC, and Ca2+, the relatively slow dissolution rates of the Wo dampened extreme concentrations and contributed to relatively long-lasting (4 months) amelioration of streamwater acidity. Changes in concentrations of Ca2+, dissolved Si, ANC, and DIC were inversely related to streamflow. After several high, stream-discharge events, concentrations quickly and consistently returned to pre-event conditions.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: The potential of Cephalophyllum inaequale was investigated for use in initiating ecosystem restoration in degraded landscapes of Namaqualand, South Africa. Cephalophyllum inaequale, a perennial shrub, is a member of the succulent Mesembryanthemaceae family, typical of the Succulent Karoo Biome and in particular of the Namaqualand area. A bioclimatic envelope was modeled to establish the area in which this species might feasibly be used. The regional bioclimatic potential for C. inaequale proved to be extensive, covering approximately 17,500 km2. An examination of the functional role of C. inaequale showed it to facilitate early seedling survival in this community. A nearest-neighbor study found no evidence of interspecific competition between C. inaequale and its dominant co-occurring species, possibly due to vertical stratification of rooting structures. Cephalophyllum inaequale significantly reduced wind speed and soil erosion. Experiments to test the feasibility of propagating, reintroducing, and establishing this species showed that it easily germinates from seed, and transplanted cuttings have a high survival rate. This study demonstrates that C. inaequale has potential for use in initiating the restoration of degraded lands in South Africa.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: The cloud forests of Mexico have been degraded and severely fragmented, and urgently require restoration. However, progress with restoration has been constrained by a lack of information concerning the seedling ecology of native tree species. An experiment was therefore conducted to assess the influence of different environmental factors on the seedling survival and growth of four native tree species (Fagus grandifolia var. mexicana, Carpinus caroliniana, Symplocos coccinea, and Quercus acutifolia). The seedlings were established on three sites, in two contrasting environments: inside forest fragments and on adjacent agricultural land. Highly significant differences were recorded in seedling survival and growth among sites, environments, species, and interactions between these factors. Highest survival was recorded for Quercus, which uniquely among the four species displayed the same survival percentage inside and outside the forest. Survival of the other species was higher inside the forest. In contrast, growth rates of all four species were higher outside the forest. The most important cause of mortality outside the forest was desiccation, although significant seedling predation was also observed on two sites. Results indicate that all four species can be established successfully both within forest fragments and in neighboring agricultural areas, emphasizing the scope for forest restoration. However, the interactions observed between species, sites, and environments highlight the importance of accurate species–site matching if optimum rates of growth and survival are to be obtained. Quercus spp. have great potential for establishment on agricultural sites.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: The mature oak (Quercus liaotungensis Koidz) forests in the Dongling mountains of northern China have become degraded in recent years because regeneration has been limited. To determine whether or not seedling establishment of the oak is seed limited, microsite limited, or predator limited and to determine whether seedling establishment is affected by ground cover, we conducted field experiments during a mast year and investigated the fate of seeds and the soil seed bank dynamics of the oak. A large acorn crop (128.8 acorns/m2) was observed in the study period, and the peak density of acorns on the forest floor reached 46.5 acorns/m2, suggesting that tree recruitment was not seed limited. Acorns in the soil seed bank were mainly lost through decay (principally after fungal attack), consumption in situ, and removal by animals. Predation (including consumption in situ and removal) accounted for 86.4% of acorn loss and was therefore likely to have been the most important factor influencing seed dynamics. More than 70% of acorns were found to have germinated, but no established seedling was observed on the forest floor. Using cages to exclude predators, it was estimated that 87% of acorns germinated and 49% became established as seedlings, indicating that the acorns on the forest floor could emerge and grow in the absence of predators. We conclude that the regeneration of the tree population is limited by predators rather than by the availability of microsites. The presence of ground cover increased the germination rate and increased the chance of seed survival in the early stage of the experiment, but at the end of the investigation, no established seedling was found in the quadrats both with and without ground cover, possibly because of high density of animal predators. On the basis of these results, we suggest that selective tree felling will increase the coverage of the herbaceous layer, which can further decrease the population density of the rodents, and thereby improve the regeneration of oak trees.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Reach-scale stream restorations are becoming a common approach to repair degraded streams, but the effectiveness of these projects is rarely evaluated or reported. We surveyed governmental, private, and nonprofit organizations in the state of Indiana to determine the frequency and nature of reach-scale stream restorations in this midwestern U.S. state. For 10 attempted restorations in Indiana, questionnaires and on-site assessments were used to better evaluate current designs for restoring stream ecosystems. At each restoration site, habitat and water quality were evaluated in restored and unrestored reaches. Our surveys identified commonalities across all restorations, including the type of restoration, project goals, structures installed, and level of monitoring conducted. In general, most restorations were described as stream-relocation projects that combined riparian and in-stream enhancements. Fewer than half of the restorations conducted pre- or post-restoration monitoring, and most monitoring involved evaluations of riparian vegetation rather than aquatic variables. On-site assessments revealed that restored reaches had significantly lower stream widths and greater depths than did upstream unrestored reaches, but riparian canopy cover often was lower in restored than in unrestored reaches. This study provides basic information on midwestern restoration strategies, which is needed to identify strengths and weaknesses in current practices and to better inform future stream restorations.
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  • 42
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Abstract We examined the 7-year effects of three restoration treatments on leaf physiology and insect-resistance characteristics of pre-settlement age ponderosa pines (Pinus ponderosa Dougl. ex Laws.) at the Gus Pearson Natural Area (GPNA) in northern Arizona. Restoration treatments were: (1) thinned in 1993 to approximate pre-Euro-American settlement stand structure, (2) thinned plus prescribed burned in 1994 and 1998, and (3) untreated control. Tree physiological and insect-resistance characteristics were measured in year 2000, 7 years after thinning, using the same procedures as an earlier study performed in 1996. Consistent with the 1996 results, pre-dawn water potential in 2000 was consistently lower in the control than both thinned treatments. Both thinned treatments continued to have increased foliar nitrogen concentration in leaves 7 years after treatment. However lower leaf nitrogen concentration in the thinned and burned compared with the thinned treatment suggests lower nitrogen availability to trees in repeatedly burned plots. Analysis of leaf gas exchange characteristics and carbon isotope content (δ13C) suggests continued stimulation of photosynthesis by both thinning treatments. Differences among treatments in resin volume, a measure of bark beetle resistance, depended on season of measurement. Trees in both thinning treatments continued to have increased leaf toughness, a measure of resistance to insect folivores. Our results show that many beneficial effects of restoration treatments on carbon, water, and nitrogen relations and insect-resistance characteristics of pre-settlement ponderosa pines continue to be expressed 7 years after treatment at the GPNA.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Establishment of native plant populations on disturbed roadsides was investigated at Bryce Canyon National Park (BCNP) in relation to several revegetation and seedbed preparation techniques. In 1994, the BCNP Rim Road (2,683–2,770 m elevation) was reconstructed resulting in a 23.8-ha roadside disturbance. Revegetation comparisons included the influence of fertilizer on plant establishment and development, the success of indigenous versus commercial seed, seedling response to microsites, methods of erosion control, and shrub transplant growth and survival. Plant density, cover, and biomass were measured 1, 2, and 4 years after revegetation implementation (1995–1998). Seeded native grass cover and density were the highest on plots fertilized with nitrogen and phosphorus, but by the fourth growing season, differences between fertilized and unfertilized plots were minimal. Fertilizers may facilitate more rapid establishment of seeded grasses following disturbance, increasing soil cover and soil stability on steep and unstable slopes. However the benefit of increased soil nutrients favored few of the desired species resulting in lower species richness over time compared to unfertilized sites. Elymus trachycaulus (slender wheatgrass) plants raised from indigenous seed had higher density and cover than those from a commercial seed source 2 and 4 years after sowing. Indigenous materials may exhibit slow establishment immediately following seeding, but they will likely persist during extreme climatic conditions such as cold temperatures and relatively short growing seasons. Seeded grasses established better near stones and logs than on adjacent open microsites, suggesting that a roughened seedbed created before seeding can significantly enhance plant establishment. After two growing seasons, total grass cover between various erosion-control treatments was similar indicating that a variety of erosion reduction techniques can be utilized to reduce erosion. Finally shrub transplants showed minimal differential response to fertilizers, water-absorbing gels, and soil type. Simply planting and watering transplants was sufficient for the greatest plant survival and growth.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: We compared four types of 30-year-old forest stands growing on spoil of opencast oil shale mines in Estonia. The stand types were: (1) natural stands formed by spontaneous succession, and plantations of (2) Pinus sylvestris (Scots pine), (3) Betula pendula (silver birch), and (4) Alnus glutinosa (European black alder). In all stands we measured properties of the tree layer (species richness, stand density, and volume of growing stock), understory (density and species richness of shrubs and tree saplings), and ground vegetation (aboveground biomass, species richness, and species diversity). The tree layer was most diverse though sparse in the natural stands. Understory species richness per 100-m2 plot was highest in the natural stand, but total stand richness was equal in the natural and alder stands, which were higher than the birch and pine stands. The understory sapling density was lower than 50 saplings/100 m2 in the plantations, while it varied between 50 and 180 saplings/100 m2 in the natural stands. Growing stock volume was the least in natural stands and greatest in birch stands. The aboveground biomass of ground vegetation was highest in alder stands and lowest in the pine stands. We can conclude that spontaneous succession promotes establishment of diverse vegetation. In plantations the establishment of diverse ground vegetation depends on planted tree species.
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    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: This study examined factors affecting germination, survival, and growth of the grass trees Xanthorrhoea gracilis and X. preissii on newly rehabilitated bauxite mine pits in the jarrah forest of southwestern Australia. Grazing by kangaroos (Macropus fuliginosus) was the major factor in reducing survival and growth of both species during the first 2 years. Provision of artificial grazing protection increased survival and growth (plant mass) of both species by 3-fold. Grazing by native vertebrates has not previously been identified as affecting mine restoration in Western Australia. Initial germination rates from sown seeds of X. preissii at eight replicate sites ranged from 25 to 64% with a mean of 42%. Corresponding figures for X. gracilis were 5–42% with a mean of 17%. Germination of X. gracilis was greater on heavier, moister soils, but X. preissii germinated better on sandier soils. High levels of initial germination did not ensure high survival. Plants of both species grew bigger and survived better on the lighter, sandy soils. Xanthorrhoea seedlings located in the depressions created by the ripping process grew larger than seedlings on the slopes of the riplines. The presence of plants of other species did not have a significant effect on survival. However, these plants facilitated the growth of both species when artificial grazing protection was unavailable. Plants of other species reduced the growth rates of Xanthorrhoea seedlings where artificial grazing protection was provided. Artificial shade by itself had no significant effect on growth of either species. In rehabilitated bauxite mines in the jarrah forest, the provision of grazing protection is recommended to ensure successful establishment and early survival of Xanthorrhoea spp.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: To assess the potential for enhancing an existing stand of native perennial grasses on a California Coast Range Grassland site, we experimentally manipulated the seasonal timing and presence of grazing for 3 years (1994 through 1996) and of autumn burning for 2 years (1994 and 1995) and measured species cover for 6 years (1993 through 1998). We subjected the species matrix to classification (TWINSPAN) and ordination (CCA) and tested the ordination site scores as well as diversity indices with linear mixed effects models. Four distinct plant community groups emerged from the classification. Two of these were dominated by annual grasses and two by perennial grasses. No treatment effects were observed on diversity. For composition, temporal and spatial random effects were important mixed effects model parameters, as was the fixed effect covariate, pre-treatment CCA site score, indicating the importance of random environmental variation and initial starting conditions. Incorporation of these random effects and initial condition terms made for more powerful tests of the fixed effects, grazing season, and burning. We found no significant burning effects. Grazing removal imparted a shift in plant community from more annual-dominated toward more perennial-dominated vegetation. Individual perennial grass species responded differently according to genus and species. Nassella spp. increased gradually over time regardless of grazing treatment. Nassella pulchra (purple needlegrass) increase was greatest under spring grazing and N. lepida (foothill needlegrass) was greatest with grazing removal. Danthonia californica (California oatgrass) had little response over time under seasonal grazing treatments, but increased with grazing removal. Under relatively mesic weather conditions it appears that grazing removal from Coast Range Grasslands with existing native perennial grass populations can increase their cover. However if N. pulchra is the sole existing population, spring season-restricted grazing should be equally effective at enhancing cover of the native grass species.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: A combination of air-photo interpretation, field data, and Geographic Information System (GIS) analysis was used to map riparian areas that are likely to provide wood and shade to small- and medium-sized streams and where, conversely, restoration might be most beneficial. The analysis encompassed all salmonid-bearing waters of the Nooksack River basin, in northwest Washington State, plus small tributaries that were thought to contribute wood or effective shading. The size and composition of each riparian stand was examined to determine whether trees were large enough to contribute logs that would form pools in the adjacent channel, with pool-forming size of wood a function of channel width. Riparian stands were classified according to whether they passed this pool-forming test. Model results were an exact match to actual conditions in 69% of field-verified stands. A large proportion (74%) of the stands failing the test in reaches of anadromous fish use were in agricultural areas. Passing stands typically had high shade levels, because both stream shade and effective large woody debris size are a function of the size of the trees relative to the size of the stream. The GIS layer of passing and failing riparian stands can be combined with layers depicting property ownership, threatened fish distribution, and other information to objectively prioritize riparian restoration locations and strategies.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: The benefits of wetlands are now widely appreciated. Less widely known is that historically many wetlands were drained to help control malaria and other deadly diseases. This essay's general theme is that there are pros and cons to restoration or creation of wetlands. The specific theme is that mosquitoes pose practical and theoretical problems. In particular, abundant mosquitoes should not be regarded as an after-the-fact surprising side effect but rather, abundant mosquitoes should be viewed as a primary and foreseeable effect of providing habitat suitable for them. Yet our funding mechanisms and educational institutions often fail properly to address the reality that restoring or creating wetlands has a downside.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: The recruitment of native seedlings is often reduced in areas where the invasive Amur honeysuckle (Lonicera maackii) is abundant. To address this recruitment problem, we evaluated the effectiveness of L. maackii eradication methods and restoration efforts using seedlings of six native tree species planted within eradication and unmanipulated (control) plots. Two eradication methods using glyphosate herbicide were evaluated: cut and paint and stem injection with an EZ-Ject lance. Lonicera maackii density and biomass as well as microenvironmental characteristics were measured to study their effects on seedling growth and survivorship. Mean biomass of Amur honeysuckle was 361 ± 69 kg/ha, and density was 21,380 ± 3,171 plants/ha. Both eradication treatments were effective in killing L. maackii (≥ 94%). The injection treatment was most effective on large L. maackii individuals (〉1.5 cm diameter), was 43% faster to apply than cutting and painting and less fatiguing for the operator, decreased operator exposure to herbicide, and minimized impact to nontarget vegetation. Deer browse tree protectors were used on half of the seedlings, but did not affect survivorship or growth. After 3 years, survival of native seedlings was significantly less where L. maackii was left intact (32 ± 3%) compared with the eradication plots (p 〈 0.002). Seedling survival was significantly different between cut (51 ± 3%) and injected (45 ± 3%) plots. Species had different final percent survival and rates of mortality. Species survival differed greatly by species (in descending order): Fraxinus pennsylvanica 〉 Quercus muehlenbergii ≥ Prunus serotina≥ Juglans nigra 〉 Cercis canadensis 〉 Cornus florida. Survivorship and growth of native seedlings was affected by a severe first-year drought and by site location. One site exhibited greater spring soil moisture, pH, percent open canopy, and had greater survivorship relative to the other site (55 ± 2 vs. 30 ± 2%). Overall, both L. maackii eradication methods were successful, but restorationists should be aware of the potential for differential survivorship of native seedlings depending on species identity and microenvironmental conditions.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Several eastern states are considering the restoration of free-ranging elk populations via translocation from western populations. Optimal habitat immediately surrounding release sites has been found to enhance elk reintroduction success in western states. Little information exists, however, to aid eastern managers in identifying release sites with the highest chance of restoration success. We monitored the movements of 415 translocated elk released at three sites in southeastern Kentucky to identify landscape characteristics that enhance release-site fidelity. The distance elk moved after release differed among sites (F2,322 = 4.63, p = 0.01), age classes (F2,322 = 4.37, p = 0.01), and time intervals (F2,322 = 40.74, p 〈 0.001). At 6 and 12 months post-release, adults (15.81 ± 17.32 and 16.38 ± 20.29) and yearlings (13.91 ± 16.44 and 14.61 ± 21.11) moved farther than calves (8.06 ± 14.03 and 9.37 ± 14.40). The release site with the highest fidelity was privately owned, 15% open, and had the highest amount of edge compared with the other release sites. The two remaining sites contained large amounts of expansive openland or forest cover with lower amounts of edge. Additionally, both sites were publicly owned and experienced a higher degree of human-generated disturbance compared with the site to which elk were most faithful. When selecting release sites, managers should avoid areas dominated by a single cover type with little interspersion of other habitats. Rather, areas with high levels of open-forest edge (approximately 5.0 km/km2) and limited-human disturbance will likely enhance release-site fidelity and promote restoration success.
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    Topics: Biology
    Notes: Limestone quarries are spread over the Mediterranean Basin and have a strong environmental impact on the landscape, causing vegetation losses and soil losses. A reclamation project was conducted in a limestone quarry, situated in Arrábida Natural Park (southwest Portugal), that is dominated by mediterranean vegetation. Revegetation was conducted using three evergreen sclerophyllous shrub species (Ceratonia siliqua, Olea europaea, and Pistacia lentiscus), and new techniques were assayed to improve plant water status and nutrient status during the first phases after plantation. A water-holding polymer (gel), fertilizer, and mycorrhiza inoculum were applied in a factorial experiment in a randomized complete block design. The success of these techniques was evaluated during 1.5 years, through monitoring of growth and ecophysiology of plants. Plant survival was high, the lowest values (95%) being recorded in C. siliqua. There were species-specific responses to the treatments applied. Ceratonia siliqua showed the highest growth rates and was the only species with growth stimulated by fertilizer application. However, the application of fertilizer induced changes in leaf characteristics of the other two species, increasing chlorophyll and nitrogen contents. Mycorrhiza inoculum had no effect on plant response. The addition of the water-holding polymer induced higher midday plant water potentials in C. siliqua, O. europaea, and P. lentiscus, but in the latter two species the simultaneous addition of gel and fertilizer induced the lowest water potentials. The addition of fertilizer and gel is recommended in future revegetation programs but not the combination of both when revegetating with O. europaea and P. lentiscus. The results of this experiment indicate that the use of these mediterranean species, adapted to nutrient and water stress, can circumvent harsh conditions of the quarry.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Structural attributes of the C4, perennial bunchgrass Schizachyrium scoparium in restored prairies may be affected by the time since restoration. One hundred plants each in 8-, 17-, and 23-year-old restored prairies and a native Texas Blackland prairie were assessed for the presence/absence and diameter of a hollow crown (i.e., dead center portion), degree of fragmentation, plant height, and tiller density. Structural attributes of S. scoparium plants were generally (1) different between recent (8 years) and older (17 and 23 years) restored prairies (2) similar between the 17- and 23-year-old restored prairies, and (3) more similar between the 8- and 17-year restored prairies and the native, remnant prairie than between the 23-year restored prairie and the native prairie. Plants were shorter in restored prairies, regardless of time since restoration, than in the native prairie. Mean basal area of plants was 80–163% greater in the 17- and 23-year restored prairies compared with the native and 8-year restored prairies. Percentage of hollow crowns and fragmentation was smallest in the 8-year restored prairie, largest in the 17- and 23-year restored prairies, and intermediate in the native prairie. Tiller density exhibited inverse second-order polynomial decreases with increasing plant basal area for all prairies. In contrast to tiller density, diameter of hollow crowns increased logarithmically with increasing plant basal area. Structural attributes of S. scoparium in restored prairies changed predictably with age, despite growing in different communities.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: There is growing interest in the addition of carbon (C) as sucrose or sawdust to the soil as a tool to reduce plant-available nitrogen (N) and alter competitive interactions among species. The hypothesis that C addition changes N availability and thereby changes competitive dynamics between natives and exotics was tested in a California grassland that had experienced N enrichment. Sawdust (1.2 kg/m) was added to plots containing various combinations of three native perennial bunchgrasses, exotic perennial grasses, and exotic annual grasses. Sawdust addition resulted in higher microbial biomass N, lower rates of net N mineralization and net nitrification, and higher concentrations of extractable soil ammonium in the soil. In the first year sawdust addition decreased the degree to which exotic annuals competitively suppressed the seedlings of Nassella pulchra and, to a lesser extent, Festuca rubra, both native grasses. However there was no evidence of reduced growth of exotic grasses in sawdust-amended plots. Sawdust addition did not influence interactions between the natives and exotic perennial grasses. In the second year, however, sawdust addition did not affect the interactions between the natives and either group of exotic grasses. In fact, the native perennial grasses that survived the first year of competition with annual grasses significantly reduced the aboveground productivity of annual grasses even without sawdust addition. These results suggest that the addition of sawdust as a tool in the restoration of native species in our system provided no significant benefit to natives over a 2-year period.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Concepts and models from complex systems theory are introduced to help expand the approaches to quantify restoration success in ecology. Main points are illustrated using case studies. These include (1) recovery and restoration trajectories may be complex (nonlinear, unpredictable, and leading to multiple attractors), and thus knowledge of well-known model trajectories from complex systems theory may be useful; (2) modeling may be inevitable, as complete and long-term observation of recovery pathways are rarely possible; (3) holistic views (e.g., community level as opposed to population-level) may be necessary to understand governing processes in restoration and recovery.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Recent efforts to clear invasive plants from the fynbos of South Africa forces managers to think about how N2-fixing invasives have altered ecosystem processes and the implications of these changes for community development. This study investigated the changes in nitrogen (N) cycling regimes in fynbos with the invasion of Acacia saligna, the effects of clear-cutting acacia stands on soil microclimate and N cycling, and how altered N resources affected the growth of a weedy grass species. Litterfall, litter quality, soil nutrient pools, and ion exchange resin (IER)-available soil N were measured in uninvaded fynbos, intact acacia, and cleared acacia stands. In addition, a bioassay experiment was used to ascertain whether the changes in soil nutrient availability associated with acacia would enhance the success of a weedy grass species. Acacia plots had greater amounts of litterfall, which had higher concentrations of N. This led to larger quantities of organic matter, total N, and IER-available N in the soil. Clearing acacia stands caused changes in soil moisture and temperature, but did not result in differences in IER-available N. The alteration of N availability by acacias was shown to increase growth rates of the weedy grass Ehrharta calycina, suggesting that secondary invasions by nitrophilous weedy species may occur after clearing N2-fixing alien species in the fynbos. It is suggested that managers use controlled burns, the addition of mulch, and the addition of fynbos seed after clearing to lower the levels of available N in the soil and initiate the return of native vegetation.
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    Restoration ecology 12 (2004), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Ponderosa pine forest restoration consists of thinning trees and reintroducing prescribed fire to reduce unnaturally high tree densities and fuel loads to restore ecosystem structure and function. A current issue in ponderosa pine restoration is what to do with the large quantity of slash that is created from thinning dense forest stands. Slash piling burning is currently the preferred method of slash removal because it allows land managers to burn large quantities of slash in a more controlled environment in comparison with broadcast burning slash. However burning slash piles is known to have adverse effects such as soil sterilization and exotic species establishment. This study investigated the effects of slash pile burning on soil biotic and chemical variables and early herbaceous succession on burned slash pile areas. Slash piles were created following tree thinning in two adjacent approximately 20-ha ponderosa pine (Pinus ponderosa) restoration treatments in the Coconino National Forest near Flagstaff, Arizona. We selected 30 burned slash pile areas and sampled across a gradient of the burned piles for arbuscular mycorrhizal (AM) propagule densities, the soil seed bank, and soil chemical properties. In addition, we established five 1-m2 plots in each burned pile to quantify the effect of living soil (AM inoculum) and seeding amendments on early herbaceous succession in burned slash pile areas. The five treatments consisted of a control (no treatment), living soil (AM inoculum) amendment, sterilized soil (no AM inoculum) amendment, seed amendment, and a seed/soil (AM inoculum) amendment. Slash pile burning nearly eliminated populations of viable seeds and AM propagules and altered soil chemical properties. Amending scars with native seeds increased the cover of native forbs and grasses. Furthermore adding both seed and living soil more than doubled total native plant cover and decreased ruderal and exotic plant cover. These results indicate that seed/soil amendments that increase native forbs and grasses may enhance the rate of succession in burned slash pile areas by allowing these species to outcompete exotic and ruderal species also establishing at the site through natural regeneration.
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    Journal of economics & management strategy 13 (2004), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: We show that the presence of sufficiently significant switching costs, which are increasing in the degree of product differentiation, generates an equilibrium configuration with maximal differentiation within the framework of a Hotelling model with linear transportation costs. The equilibrium with maximal differentiation offers a formalization of the idea that competing firms have noncooperative incentives to establish maximal switching cost barriers. The equilibrium incentives for commitments to high switching costs can be explained with poaching profits, which are increasing in the switching costs. Ex ante competition for market shares in period 1 is unable to eliminate these poaching profits.
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    Journal of economics & management strategy 13 (2004), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: We analyze competition between two private television channels that derive their profits from advertising receipts. These profits are shown to be proportional to total population advertising attendance. The channels play a sequential game in which they first select their profiles (program mixes) and then their advertising ratios. We show that these ratios play the same role as prices in usual horizontal differentiation models. We prove that whenever ads' interruptions are costly for viewers the program mixes of the channels never converge but that the niche strategies are less effective and that the channel “profiles” are closer as advertising aversion becomes stronger.
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    Journal of economics & management strategy 13 (2004), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: All-units discounts in retail contracts refer to discounts that lower a retailer's wholesale price on every unit purchased when the retailer's purchases equal or exceed some quantity threshold. These discounts pose a challenge to economic theory because it is difficult to understand why a manufacturer ever would charge less for a larger order if its intentions were benign. In this paper, we show that all-units discounts may profitably arise absent any exclusionary motive. All-units discounts eliminate double marginalization in a complete information setting, and they extract more profit than would a menu of two-part tariffs in the standard incomplete information setting with two types of buyers. All-units discounts may improve or may reduce welfare (relative to menus of two-part tariffs) depending on demand parameters.
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    Journal of economics & management strategy 13 (2004), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: This paper is concerned with communication within a team of players trying to coordinate in response to information dispersed among them. The problem is nontrivial because they cannot communicate all information instantaneously but have to send longer or shorter sequences of messages, using coarse codes. We focus on the design of these codes and show that members may gain compatibility advantages by using identical codes and that this can support the existence of several, more or less efficient, symmetric equilibria. Asymmetric equilibria may exist only if coordination across different sets of members is of sufficiently different importance. The results are consistent with the stylized fact that firms differ even within industries and that coordination between divisions is harder than coordination inside divisions.
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    Journal of economics & management strategy 13 (2004), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: We analyze optimal patent design when innovators can rely on secrecy to protect their innovations. Secrecy has no fixed term but does not preclude accidental disclosure nor independent creation by other inventors. We derive the optimal scope of the rights conferred to such second inventors, showing that if the patent life is set optimally, second inventors should be allowed to patent and to exclude first inventors who have relied on secrecy. We then identify conditions under which it is socially desirable to increase patent life as much as is necessary to induce first inventors to patent. The circumstances in which it is preferable that they rely on secrecy seem rather limited.
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    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
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    Risk analysis 24 (2004), S. 0 
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    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: For continuous data, risk is defined here as the proportion of animals with values above a large percentile, e.g., the 99th percentile or below the 1st percentile, for the distribution of values among control animals. It is known that reducing the standard deviation of measurements through improved experimental techniques will result in less stringent (higher) doses for the lower confidence limit on the benchmark dose that is estimated to produce a specified risk of animals with abnormal levels for a biological effect. Thus, a somewhat larger (less stringent) lower confidence limit is obtained that may be used as a point of departure for low-dose risk assessment. It is shown in this article that it is important for the benchmark dose to be based primarily on the standard deviation among animals, sa, apart from the standard deviation of measurement errors, sm, within animals. If the benchmark dose is incorrectly based on the overall standard deviation among average values for animals, which includes measurement error variation, the benchmark dose will be overestimated and the risk will be underestimated. The bias increases as sm increases relative to sa. The bias is relatively small if sm is less than one-third of sa, a condition achieved in most experimental designs.
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    Risk analysis 24 (2004), S. 0 
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    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: For diseases with more than one risk factor, the sum of probabilistic estimates of the number of cases caused by each individual factor may exceed the total number of cases observed, especially when uncertainties about exposure and dose response for some risk factors are high. In this study, we outline a method of bounding the fraction of lung cancer fatalities not due to specific well-studied causes. Such information serves as a “reality check” for estimates of the impacts of the minor risk factors, and, as such, complements the traditional risk analysis. With lung cancer as our example, we allocate portions of the observed lung cancer mortality to known causes (such as smoking, residential radon, and asbestos fibers) and describe the uncertainty surrounding those estimates. The interactions among the risk factors are also quantified, to the extent possible. We then infer an upper bound on the residual mortality due to “other” causes, using a consistency constraint on the total number of deaths, the maximum uncertainty principle, and the mathematics originally developed of imprecise probabilities.
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    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: A strong inverse correlation was observed between the polycyclic aromatic hydrocarbon (PAH) mass fraction desorbed, a surrogate measure of bioavailability, and relative carcinogenicity, as quantified by potency equivalency factors (PEFs), for two study sediments from the New York/New Jersey Harbor estuary. Because compounds with the highest toxicity, such as dibenz(a,h)anthracene and benzo(a)pyrene (BAP), also tended to be the least rapidly and least extensively desorbed, the U.S. Environmental Protection Agency (EPA) default guidance may dramatically overestimate risk from exposure to PAH-contaminated soils or sediments. A “relative risk index” (RRI) was developed to account for the combined effects of compound-specific bioavailability and toxic potency in estimating excess cancer risk. Using this approach, estimated excess cancer risk may be diminished by as much as a factor of 159 times versus default EPA guidance. Also, the hierarchy of estimated risk between study sediments and among treatment fractions of study sediments differed using the two approaches, implying that the default approach may inaccurately determine site clean-up priorities. The percentage contribution of each potentially carcinogenic priority PAH to total excess cancer risk was computed under various scenarios. In each case, the contribution of BAP to total excess cancer risk was remarkably invariable, for example, ranging from 48% to 52% in one sediment, and 44% to 54% in the other, over four different exposure durations. These results suggest that BAP may be an excellent indexing compound for gauging relative exposure risk across sediments. Other important contributors to total excess cancer risk were benz(a)anthracene and dibenz(a,h)anthracene. Together, these three compounds comprised nearly 90% of total excess cancer risk from all PAHs in every scenario. This integrated RRI approach may enable regulators to more accurately gauge relative risks and make more informed sediment management decisions.
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    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: The effectiveness of a probabilistic risk assessment (PRA) depends on the quality and relevance of the output from exposure and risk models, which, in turn, depends on the critical inputs to the assessment. These critical inputs are often in the form of probabilistic exposure factor distributions that are derived for the given risk scenario. Deriving probabilistic distributions for model inputs can be time consuming and subjective. The absence of a standard approach for developing these distributions can result in PRAs that are inconsistent and difficult to review by regulatory agencies. We present an approach that reduces subjectivity in the distribution development process without limiting the flexibility needed to prepare relevant PRAs. The approach requires two steps. First, we analyze data pooled at a population scale to (i) identify the most robust demographic descriptors within the population for a given exposure factor, (ii) partition the data into subsets based on these variables, and (iii) construct archetypal distributions for each subpopulation. Second, we sample from these archetypal distributions according to site- or scenario-specific conditions to simulate exposure factor values and use these values to construct the scenario-specific input distribution. The archetypal distributions developed through Step 1 provide a consistent basis for developing scenario-specific distributions so risk assessors will not have to repeatedly collect and analyze raw data for each new assessment. We demonstrate the approach for two commonly used exposure factors—body weight (BW) and exposure duration (ED)—using data that are representative of the U.S. population. For these factors we provide a first set of subpopulation-based archetypal distributions and demonstrate methods for using these distributions to construct relevant scenario-specific probabilistic exposure factor distributions.
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    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: When stricken by a terrorist attack, a war, or a natural disaster, an economic unit or a critical infrastructure may suffer significant loss of productivity. More importantly, due to interdependency or interconnectedness, this initial loss may propagate into other systems and eventually lead to much greater derivative loss. This belongs to what is known as a cascading effect. It is demonstrated in this article that the cascading effect and the derivative loss can be significantly reduced by effective risk management. This is accomplished by deliberately distributing the initial inoperability to other systems so that the total loss (or inoperability) is minimized. The optimal distribution strategy is found by a linear programming technique. The same risk management can also be applied to situations where objectives need to be prioritized. A case study featuring 12 economic sectors illustrates the theory. The result suggests that using the same amount of resources, minimizing risk (inoperability) of infrastructures will generally give rise to highest payoff, whereas overlooking it may result in greatest total loss. The framework developed in this work uses a steady-state approach that applies primarily to managing situations where the attack is catastrophic resulting in very long recovery time.
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    Risk analysis 24 (2004), S. 0 
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Species invasions are extremely common and are vastly outpacing the ability of resource agencies to address each invasion, one species at a time. Management actions that target the whole landscape or ecosystem may provide more cost-effective protection against the establishment of invasive species than a species-by-species approach. To explore what ecosystem-level actions might effectively reduce invasions, we developed a multispecies, multihabitat metapopulation model. We assume that species that successfully establish themselves outside their native range tend to be habitat generalists and that a tradeoff exists between competitive ability and habitat breadth, such that habitat specialists are competitively superior to habitat generalists. In this model, habitat destruction, fragmentation, and short-term disturbances all favor invasion by habitat generalists, despite the inferior competitive abilities of generalist species. Our model results illustrate that providing relatively undisturbed habitat and preventing further habitat degradation and fragmentation can provide a highly cost-effective defense against invasive species.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: In November 2001, the Monterey Institute of International Studies convened a workshop on bioterrorism threat assessment and risk management. Risk assessment practitioners from various disciplines, but without specialized knowledge of terrorism, were brought together with security and intelligence threat analysts to stimulate an exchange that could be useful to both communities. This article, prepared by a subset of the participants, comments on the workshop's findings and their implications and makes three recommendations, two short term (use of threat assessment methodologies and vulnerability analysis) and one long term (application of quantitative risk assessment and modeling), regarding the practical application of risk assessment methods to bioterrorism issues.
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    Notes: This article presents an approach to the problem of terrorism risk assessment and management by adapting the framework of the risk filtering, ranking, and management method. The assessment is conducted at two levels: (1) the system level, and (2) the asset-specific level. The system-level risk assessment attempts to identify and prioritize critical infrastructures from an inventory of system assets. The definition of critical infrastructures offered by Presidential Decision Directive 63 was used to determine the set of attributes to identify critical assets—categorized according to national, regional, and local impact. An example application is demonstrated using information from the Federal Highway Administration National Bridge Inventory for the State of Virginia. Conversely, the asset-specific risk assessment performs an in-depth analysis of the threats and vulnerabilities of a specific critical infrastructure. An illustration is presented to offer some insights in risk scenario identification and prioritization, multiobjective evaluation of management options, and extreme-event analysis for critical infrastructure protection.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: The article considers point processes most commonly used in reliability and risk analysis. Short-term and long-term behavior for the point processes used as models for repairable systems1 are introduced. As opposed to the long term, the term short term implies that a process is observed during an interval limited by a time close to the mean (or the median) of the respective underlying distribution. A new simple upper bound is proposed on the cumulative intensity function of the renewal process and G-renewal process with an increasing failure rate underlying distribution. The new bound is compared with some known bounds for the renewal process. Finally, a formal definition of “a boundary point” between the short-term repairable system behavior and long-term behavior is introduced. This point can also be used as a lower time limit beyond which the “long-term” Barlow and Proschan bound for the renewal process with NBUE underlying distribution could be effectively applied.
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    Notes: The U.S. Environmental Protection Agency has begun discussions to consider its assessment of asbestos toxicity related to mineral form and fiber size. Brake workers are typically exposed to short chrysotile fibers. To explore the mesothelioma risk among brake workers, considering other occupational exposures to asbestos, data from a study that was published previously were obtained and the analysis was extended. The National Cancer Institute provided data from a case-control study of mesothelioma. Because many participants with a history of brake work also had employment in other asbestos-related occupations, mesothelioma cases and controls were compared for a history of brake work, controlling for employment in eight occupations with potential asbestos exposure. A stratified analysis was also performed excluding those with any of the eight occupations. Possible interactions between brake work and other occupational exposures related to risk of mesothelioma were also examined. The odds ratio (OR) for employment in brake installation or repair was 0.71 (95% CI: 0.30–1.60) when controlled for insulation or shipbuilding. When a history of employment in any of the eight occupations with potential asbestos exposure was controlled, the OR was 0.82 (95% CI: 0.36–1.80). ORs did not increase with increasing duration of brake work. Exclusion of those with any of the eight exposures resulted in an OR of 0.62 (95% CI: 0.01–4.71) for occupational brake work. There was no evidence of an interaction between brake work and other occupational exposures. These latter analyses were based on small numbers of exposed cases. The results are consistent with the existing literature indicating that brake work does not increase the risk of mesothelioma and adds to the evidence that fiber type and size are important determinants of mesothelioma risk.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Sensitivity analysis (SA) methods are a valuable tool for identifying critical control points (CCPs), which is one of the important steps in the hazard analysis and CCP approach that is used to ensure safe food. There are many SA methods used across various disciplines. Furthermore, food safety process risk models pose challenges because they often are highly nonlinear, contain thresholds, and have discrete inputs. Therefore, it is useful to compare and evaluate SA methods based upon applications to an example food safety risk model. Ten SA methods were applied to a draft Vibrio parahaemolyticus (Vp) risk assessment model developed by the Food and Drug Administration. The model was modified so that all inputs were independent. Rankings of key inputs from different methods were compared. Inputs such as water temperature, number of oysters per meal, and the distributional assumption for the unrefrigerated time were the most important inputs, whereas time on water, fraction of pathogenic Vp, and the distributional assumption for the weight of oysters were the least important inputs. Most of the methods gave a similar ranking of key inputs even though the methods differed in terms of being graphical, mathematical, or statistical, accounting for individual effects or joint effect of inputs, and being model dependent or model independent. A key recommendation is that methods be further compared by application on different and more complex food safety models. Model independent methods, such as ANOVA, mutual information index, and scatter plots, are expected to be more robust than others evaluated.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Previous studies have shown that the fatality rate among hazardous waste remediation workers is likely to exceed the fatality rate averted among the public by remediation. The implication is that much hazardous waste remediation is inappropriate on a strictly risk-based basis. Such analyses ignore the fact that the same hazardous waste workers would be engaged in other work with similar or perhaps greater safety risks, and that in any case the single greatest cause of occupational fatalities is traffic accidents, hence distance traveled may be a more important predictor than type of work performed.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Chemical risk protection in the workplace relies partly on informing workers about possible risks using material safety data sheets (MSDS). This article reports on phase 2 of a project (phase 1 reported in Cox et al.), which employed a mental models approach to improve on data sheets as communicative interventions for perchloroethylene in dry cleaning and rosin-based solder flux in the electronics industry within small businesses in the United Kingdom (small enterprises (SEs) 〈 25 employees in the workplace). It focuses on the efficacy of a multimethod evaluation strategy to assess (1) the capacity of a mental models approach to yield contextually relevant data for intervention design and (2) the effectiveness of the strategy itself in validating the mental models data. The evaluation was conducted using postal questionnaires and semi-structured verbal protocols to provide responses to the alternative intervention content and to prioritize risk messages. User discussion groups were then employed, particularly as a means of establishing whether contextual information could be obtained that would differ qualitatively from the kind elicited through individual (semi) structured methods. We conclude that the mental models approach as part of an iterative process including systematic multimethod evaluation is successful in supporting the design of relevant communications to the users of chemicals. The overall viability of communicative interventions in the context of health and safety in small businesses remains in question. Future research might aim to develop a more holistic approach to interventions in complex occupational contexts.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: This article develops a decision-theoretic methodology for the risk-adjusted mission value (RAMV) for selecting between alternative missions in the presence of uncertainty in the outcomes of the missions. This methodology permits trading off mission risk for mission value, something that probabilistic risk analysis cannot do unless it explicitly incorporates both mission value and risk aversion of the project management. The methodology, in its complete implementation, is consistent with the decision theory known as expected utility theory, although it differs from conventional decision theory in that the probabilities and all but one of the utilities are not those of the decision maker. The article also introduces a new interpretation of risk aversion. The methodology is consistent with the elementary management concept concerning division of labor. An example is presented for selecting between discrete alternatives—four landing sites on Mars. A second example is presented for selecting among a set of continuous alternatives—a comet flyby distance. The methodology is developed within the context of scientific missions, but the methodology is equally applicable to any situation requiring outcome value judgments, probability judgments, and risk aversion judgments by different constituencies.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Multimodal distribution functions that result from Monte Carlo simulations can be interpreted by superimposing joint probability density functions onto the contour space of the simulated calculations. The method is demonstrated by analysis of the pathway of a radioactive groundwater contaminant using an analytical solution to the transport equation. Simulated concentrations at a fixed time and distance produce multimodal histograms, which are understood with reference to the parameter space for the two random variables—velocity and dispersivity. Numerical integration under the joint density function up to the contour of the analytical solution gives the probability of contaminant exceeding a target concentration. This technique is potentially more efficient than Monte Carlo simulation for low probability events. Visualization of parameter space is restricted to two random variables. Nevertheless, analyzing the two most pertinent random variables in a simulation might still offer insights into the multimodal nature of output histograms.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: In Australia-Salmon, the WTO Appellate Body found Australia to be in violation of the WTO SPS Agreement based on the inconsistency of the “appropriate level of protection” underlying various SPS measures. Article 5.5 of the SPS Agreement prohibits arbitrary or unjustifiable distinctions in “appropriate levels of protection” if such distinctions result in discrimination or a disguised restriction on international trade. In Australia-Salmon, Canada challenged Australia's import ban on salmon. Australia permitted the entry of other fish products that were known to host some of the same diseases cited by Australia in justifying its salmon import ban. The distinction in the “appropriate levels of protection” between Australia's regulation of salmon and its treatment of these other fish products was found to be “arbitrary or unjustified” and to have “resulted in a restriction on international trade.”Australia-Salmon was the first WTO decision to find an Article 5.5 violation. Canada successfully made a “weakest link” argument to undercut Australia's regulatory justification. The decision rests on the relationship between the risk purportedly justifying the salmon import ban and the risk seemingly ignored in Australia's treatment of other fish products—the regulatory “situations” compared concerned the identical pathogens with the identical potential consequences. As such, Australia-Salmon may be an example of a category of regulatory “chains” that are peculiarly exposed to Article 5.5 challenge. In responding to the Appellate Body's ruling, Australia reduced its limits on salmon and imposed new restrictions on the other fish products. The outcome suggests that a challenge of one SPS measure under Article 5.5 may lead to the imposition of new restrictions on other imported products—an unexpected result for the free trade regime.
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    Notes: Various methods exist to calculate confidence intervals for the benchmark dose in risk analysis. This study compares the performance of three such methods in fitting nonlinear dose-response models: the delta method, the likelihood-ratio method, and the bootstrap method. A data set from a developmental toxicity test with continuous, ordinal, and quantal dose-response data is used for the comparison of these methods. Nonlinear dose-response models, with various shapes, were fitted to these data. The results indicate that a few thousand runs are generally needed to get stable confidence limits when using the bootstrap method. Further, the bootstrap and the likelihood-ratio method were found to give fairly similar results. The delta method, however, resulted in some cases in different (usually narrower) intervals, and appears unreliable for nonlinear dose-response models. Since the bootstrap method is more time consuming than the likelihood-ratio method, the latter is more attractive for routine dose-response analysis. In the context of a probabilistic risk assessment the bootstrap method has the advantage that it directly links to Monte Carlo analysis.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: This study investigated the prevalence of both accurate and erroneous earthquake-related beliefs among a sample of Southern California college students and the relationship between their endorsement of earthquake beliefs and adoption of seismic hazard adjustments. In addition, the study examined the effects of an experimental earthquake education program and the impact of need for cognition on this program. The data revealed a significant degree of agreement with earthquake myths, a generally low level of correlation between earthquake beliefs and the level of hazard adjustments, and a significant effect of hazard information on the endorsement of accurate earthquake beliefs and increases in hazard adjustment. Compared with the “Earthquake Facts (Only)” format, an “Earthquake Myths versus Facts” format was slightly more useful for dispelling erroneous beliefs. Further, there was a tendency for those who were high in need for cognition to have higher levels of hazard adjustment. Finally, there was weak support for the hypothesis that those who were low in need for cognition would develop more accurate earthquake beliefs and higher levels of hazard adjustment in the “Earthquake Myths versus Facts” information condition.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Recent research finds that perceived risk is closely associated with race and gender. In surveys of the American public a subset of white males stand out for their uniformly low perceptions of environmental health risks, while most nonwhite and nonmale respondents reveal higher perceived risk. Such findings have been attributed to the advantageous position of white males in American social life. This article explores the linked possibility that this demographic pattern is driven not simply by the social advantages or disadvantages embodied in race or gender, but by the subjective experience of vulnerability and by sociopolitical evaluations pertaining to environmental injustice. Indices of environmental (in)justice and social vulnerability were developed as part of a U.S. National Risk Survey (n= 1,192) in order to examine their effect on perceived risk. It was found that those who regarded themselves as vulnerable and supported belief statements consistent with the environmental justice thesis offered higher risk ratings across a range of hazards. Multivariate analysis indicates that our measures of vulnerability and environmental (in)justice predict perceived risk but do not account for all of the effects of race and gender. The article closes with a discussion of the implications of these findings for further work on vulnerability and risk, risk communication, and risk management practices generally.
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    Notes: A common problem in ethics is that people often desire an end but fail to take the means necessary to achieve it. Employers and employees may desire the safety end mandated by performance standards for pollution control, but they may fail to employ the means, specification standards, necessary to achieve this end. This article argues that current (de jure) performance standards, for lowering employee exposures to ionizing radiation, fail to promote de facto worker welfare, in part because employers and employees do not follow the necessary means (practices known as specification standards) to achieve the end (performance standards) of workplace safety. To support this conclusion, the article argues that (1) safety requires attention to specification, as well as performance, standards; (2) coal-mine specification standards may fail to promote performance standards; (3) nuclear workplace standards may do the same; (4) choosing appropriate means to the end of safety requires attention to the ways uncertainties and variations in exposure may mask violations of standards; and (5) correcting regulatory inattention to differences between de jure and de facto is necessary for achievement of ethical goals for safety.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Expanding a limited empirical base on effects of risk comparisons, a pilot experiment explored how varying elements of such comparisons might influence public response. The scenario used was a hypothetical trial of an asbestos-installing firm for putting students and staff at a junior high school at “unreasonable risk,” first used by Slovic et al. (1990). Study participants played the role of jurors in the trial, asked to rate the risk, the firm's guilt, whether it should be made liable for future health effects, whether the school should be occupied in its current condition, and whether the asbestos should be removed at a cost of $3 million. Opportunity samples of New Jersey residents (n= 309) received information intended to vary four comparison attributes: number of dimensions of comparison; single versus multiple ways of expressing mortality; a narrative to explain and justify the risk comparison; and the hypothetical role of the participant (juror vs. parent). The dependent variable was a hazard scale constructed from four of the five postcomparison judgments. ANOVA found format variations swamped in their effect by concern about asbestos, with the absence of a narrative and the parental role being the only attributes that increased negative risk reactions. Multiple regression analyses found that multidimensionality, narrative, role, and the presence of any risk comparison at all had significant effects when these (plus death formats) were the only independent variables. However, only multidimensionality (which increased negative reactions) retained significance when asbestos concern, risk beliefs (no safe level of exposure to a carcinogen; any exposure leads to cancer), and demographic variables were added to the analysis. Concern and risk beliefs alone explained 33% of variance in hazard scores; adding demographics and risk comparison variables only raised explained variance to 36% (having children at home and being exposed to multidimensional risk comparisons raised scores; age and income lowered them). The results underline the potentially small effect of risk comparison information on risk views (at least between subjects), but offer some insight into aspects of message design left unexplored in empirical literature to date.
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    Notes: Recent articles by Busza et al. (BJSW) and Dar et al. (DDH) argue that astrophysical data can be used to establish small bounds on the risk of a “killer strangelet” catastrophe scenario in the RHIC and ALICE collider experiments. The case for the safety of the experiments set out by BJSW does not rely solely on these bounds, but on theoretical arguments, which BJSW find sufficiently compelling to firmly exclude any possibility of catastrophe.Nonetheless, DDH and other commentators (initially including BJSW) suggested that these empirical bounds alone do give sufficient reassurance. This seems unsupportable when the bounds are expressed in terms of expectation value—a good measure, according to standard risk analysis arguments. For example, DDH's main bound, pcatastrophe 〈 2 × 10−8, implies only that the expectation value of the number of deaths is bounded by 120; BJSW's most conservative bound implies the expectation value of the number of deaths is bounded by 60,000.This article reappraises the DDH and BJSW risk bounds by comparing risk policy in other areas. For example, it is noted that, even if highly risk-tolerant assumptions are made and no value is placed on the lives of future generations, a catastrophe risk no higher than ≈10−15 per year would be required for consistency with established policy for radiation hazard risk minimization. Allowing for risk aversion and for future lives, a respectable case can be made for requiring a bound many orders of magnitude smaller.In summary, the costs of small risks of catastrophe have been significantly underestimated by BJSW (initially), by DDH, and by other commentators. Future policy on catastrophe risks would be more rational, and more deserving of public trust, if acceptable risk bounds were generally agreed upon ahead of time and if serious research on whether those bounds could indeed be guaranteed was carried out well in advance of any hypothetically risky experiment, with the relevant debates involving experts with no stake in the experiments under consideration.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Despite many claims for and against the use of risk comparisons in risk communication, few empirical studies have explored their effect. Even fewer have examined the public's relative preferences among different kinds of risk comparisons. Two studies, published in this journal in 1990 and 2003, used seven measures of “acceptability” to examine public reaction to 14 examples of risk comparisons, as used by a hypothetical factory manager to explain risks of his ethylene oxide plant. This study examined the effect on preferences of scenarios involving low or high conflict between the factory manager and residents of the hypothetical town (as had the 2003 study), and inclusion of a claim that the comparison demonstrated the risks' acceptability. It also tested the Finucane et al. (2000) affect hypothesis that information emphasizing low risks—as in these risk comparisons—would raise benefits estimates without changing risk estimates. Using similar but revised scenarios, risk comparison examples (10 instead of 14), and evaluation measures, an opportunity sample of 303 New Jersey residents rated the comparisons, and the risks and benefits of the factory. On average, all comparisons received positive ratings on all evaluation measures in all conditions. Direct and indirect measures showed that the conflict manipulation worked; overall, No-Conflict and Conflict scenarios evoked scores that were not significantly different. The attachment to each risk comparison of a risk acceptability claim (“So our factory's risks should be acceptable to you.”) did not worsen ratings relative to conditions lacking this claim. Readers who did or did not see this claim were equally likely to infer an attempt to persuade them to accept the risk from the comparison. As in the 2003 article, there was great individual variability in inferred rankings of the risk comparisons. However, exposure to the risk comparisons did not reduce risk estimates significantly (while raising benefit estimates), and Conflict-Claim respondents found the risk of the hypothetical factory less acceptable than No-Conflict respondents. Results suggest that neither risk comparisons nor risk acceptability claims are automatically anathema to audiences, but they may have tiny or unintended effects on audience judgments about risky situations.
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    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: It is believed that food hygiene precautions in domestic kitchens are an important strategy in efforts to reduce the incidence of sporadic food poisoning, but recent research has shown that people who have suffered food poisoning handle the same types of foods and adopt similar food hygiene precautions in their kitchens to the rest of the population. This suggests the need to examine other factors. A case-control study of sporadic Salmonella food poisoning was conducted to investigate several domestic kitchen risk factors. Measures of perception of risk, knowledge, and control associated with food poisoning in case and control respondents are reported here. It was found that perceived personal risk from food poisoning in the home was less than perceived risk to other people. In contrast, ratings of personal knowledge about food poisoning and personal control over food poisoning in the home were seen to be greater than other people's knowledge and control. There were no differences between the cases and the controls in their ratings of knowledge about food poisoning or their control over food poisoning. However, cases perceived their personal risk from food poisoning to be higher than controls. Both case and control samples exhibited optimistic bias but this was reduced in the case sample, suggesting that experience with food poisoning may reduce optimistic bias.
    Type of Medium: Electronic Resource
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  • 99
    Electronic Resource
    Electronic Resource
    350 Main Street , Malden , MA 02148 , USA , and 9600 Garsington Road , Oxford OX4 2DQ , UK . : Blackwell Publishing, Inc.
    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Risk assessment is an established methodology for environmental and public health issues. However, economists' core approach to both risk assessment and risk management, benefit-cost analysis, often fails to transparently evaluate variability in a way that is a trademark of quantitative risk assessment. Concurrently, environmental advocates are proposing new management criteria based on a vaguely framed “Precautionary Principle.” This manuscript demonstrates how risk assessment techniques for characterizing variability, benefit-cost analysis, and decision-making criteria under uncertainty and irreversibility can be combined. The result is a quantifiable, case-specific, and risk-dependent “precautionary” threshold for action compared to standard benefit-cost approaches. The Clean Air Act and the regulation of genetically modified corn provide applications.
    Type of Medium: Electronic Resource
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  • 100
    Electronic Resource
    Electronic Resource
    350 Main Street , Malden , MA 02148 , USA , and 9600 Garsington Road , Oxford OX4 2DQ , UK . : Blackwell Publishing, Inc.
    Risk analysis 24 (2004), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Type of Medium: Electronic Resource
    Location Call Number Expected Availability
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