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  • Springer  (73,795)
  • American Meteorological Society
  • 1995-1999  (75,155)
  • 1996  (75,155)
  • 1
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    Insectes sociaux 43 (1996), S. 47-51 
    ISSN: 1420-9098
    Keywords: Colony foundation ; haplometrosis ; pleometrosis ; Acromyrmex striatus ; Attini
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Summary Laboratory tests with mated females of the leaf-cutting antsAcromyrmex striatus (Myrmicinae, Attini) were conducted to determine if the colony foundation is a solitary or a mutualistic process. We have also tested the effect of foundresses density and number of available areas in this process. Three bioassays were performed: with single foundresses; with paired foundresses; and with groups of 8 to 18 foundresses. The results suggest that the foundation can be by haplometrosis or pleometrosis, possibly depending on physical distances between or densities of foundresses. Foraging activity was common in haplometrotic queens and in foundress pairs, but no foraging occurred in groups of foundresses.
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  • 2
    ISSN: 1420-9098
    Keywords: Interspecific trail following ; workerless inquiline ant ; Pogonomyrmex colei ; reproductive biology ; seed-harvester ants
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Summary Pogonomyrmex colei is a workerless inquiline ant known only from nests ofP. rugosus, its closest relative. Ten of 776 (1.3%) host nests were parasitized at a site in central Arizona, while none of 1499 potential host colonies were parasitized at two other locales. Colonies ofP. colei are perennial, and host alate females in 9 of 10 colonies demonstrates that host queens survive parasitism. Three of 10 colonies died over 19 colony years of observation, while only 1 of 601 colonies became newly parasitized. Mating occurs in morning for up to 2–3 days following summer and fall rains and in afternoon during cool fall days. Mating is intranidal just outside the nest entrance, with males returning to the natal nest. MaleP. colei may be flightless because their wing area is reduced compared to host males. Females fly from the nest and locate potential host colonies by following trunk trails. Workers are the largest barrier to nest establishment, as they removed over 90% ofP. colei females placed in trunk trails or that entered host nests. Males and females ofP. colei andP. anergismus, the only other congeneric inquiline species, are diminutive compared to their hosts, with females 30% lighter than host workers. Fat content is lower and water content is higher inP. colei andP. anergismus females than in their hosts.
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  • 3
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    Insectes sociaux 43 (1996), S. 101-104 
    ISSN: 1420-9098
    Keywords: Cataglyphis floricola ; diet ; food resources ; petal consumption
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Summary C. floricola is an endemic species from the southern Iberian Peninsula which collects large amounts ofHalimium halimifolium petals. Laboratory and field observations confirm that both workers and larvae feed on these petals, which represent an important food resource forC. floricola colonies. This petal consumption is a very unusual ant diet.
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  • 4
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    Insectes sociaux 43 (1996), S. 111-118 
    ISSN: 1420-9098
    Keywords: Predation ; polyethism ; food exchange ; behavioral flexibility ; Ectatomma ruidum
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Summary During laboratory experiments, two categories of prey-foraging workers were found inEctatomma ruidum: stingers and transporters. When numerous live drosophila were offered to the ants, one group of hunters specialized in killing the prey and another in transporting simultaneously the dead drosophila to the nest. Sometimes, there was a transfer of prey by a stinger towards a transporter, after an active soliciting of the transporter by antennation or by using the forelegs. We found high positive correlations between the colony size and the number of ants in each subcaste. A negative correlation existed between the colony size and the proportion of hunters. However, the proportion of workers in the two behavioral subcastes of hunters was stable in spite of differences in colony size. The phylogenetic interest of this type of cooperative predation is discussed.
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  • 5
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    Insectes sociaux 43 (1996), S. 1-15 
    ISSN: 1420-9098
    Keywords: Colony defense ; sterile soldiers ; aphids ; galls ; simulation
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Summary Colony defense has been reported in a limited number of species of aphids. This paper examines which life-historical traits have promoted the evolution of colony defense using two kinds of deterministic simulation models. These models postulate that first-instar larvae can counterattack predators and that the duration of this instar stage is a variable, subject to selection. Prolonging the first-instar span increases the proportion of defenders in the colony, while it results in a delay in reproduction. By calculating the optimal first-instar span, the optimal defensive effort of a colony under various ecological conditions could be estimated. Simulations based on the general model, which regards the number of adults maturing in a period as performance, predicted that a lower birthrate leads to a longer first-instar span (larger investment in defense). This condition also allowed the evolution of dimorphism in the first-instar span, which may ultimately result in the appearance of soldiers. Where birthrate declines with time, the first-instar span was predicted to be prolonged in later stages. Colony duration had little influence on the optimal first-instar span if the season is long enough to repeat generations. The galling-aphid model that assumes a fixed number of generations predicted that a longer duration of colonies leads to a longer first-instar span, but that birthrate has little influence on the optimal first-instar span. A tendency in defense reported in pemphigid aphids was consistent with the prediction from the galling-aphid model.
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  • 6
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    Pure and applied geophysics 146 (1996), S. 103-111 
    ISSN: 1420-9136
    Keywords: Prephotographic earthquake depictions ; pictorial macroseismic data ; historical seismicity
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Prephotographic depictions of earthquakes can contain important information on the types and amount of damage due to a large earthquake in historic times. Care must be used in evaluating such depictions because some are more accurate than others, and many depictions contain little that is of value in making estimates of seismic intensity. Depictions of two earthquakes, in 1692 at Jamaica and in 1843 at Guadeloupe, illustrate the utility of depictions in intensity estimation. A depiction of the scene at Port Royal in Jamaica of the 1692 shock suggests that the major damage was caused by soil slumping and a tsunami, with the ground shaking itself probably only having been about MMI VII. Two depictions of Pointe-à-Pitre at Guadeloupe after the 1843 event contain evidence that the town was damaged by strong ground shaking as well as by major soil failures. The ground shaking here was probably MMI VII–IX. These and other pictures are being assembled for a monograph of prephotographic earthquake depictions in the Americas.
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  • 7
    ISSN: 1420-9136
    Keywords: Earthquke cycle ; source parameters ; seismic moment ; fault heterogeneity ; P waveforms ; historical earthquakes ; source time function ; seismic gap
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Two large shallow earthquakes occurred in 1942 along the South American subduction zone inclose proximity to subducting oceanic ridges: The 14 May event occurred near the subducting Carnegie ridge off the coast of Ecuador, and the 24 August event occurred off the coast of southwestern Peru near the southern flank of the subducting Nazca ridge. Source parameters for these for these two historic events have been determined using long-periodP waveforms,P-wave first motions, intensities and local tsunami data. We have analyzed theP waves for these two earthquakes to constrain the focal mechanism, depth, source complexity and seismic moment. Modeling of theP waveform for both events yields a range of acceptable focal mechanisms and depths, all of which are consistent with underthrusting of the Nazca plate beneath the South American plate. The source time function for the 1942 Ecuador event has one simple pulse of moment release with a duration of 22 suconds, suggesting that most of the moment release occurred near the epicenter. The seismic moment determined from theP waves is 6–8×1020N·m, corresponding ot a moment magnitude of 7.8–7.9. The reported location of the maximum intensities (IX) for this event is south of the main shock epicenter. The relocated aftershcks are in an area that is approximately 200 km by 90 km (elongated parallel to the trench) with the majority of aftershocks north of the epicenter. In contrast, the 1942 Peru event has a much longer duration and higher degree of complexity than the Ecuador earthquake, suggesting a heterogeneous rupture. Seismic moment is released in three distinct pulses over approximately 74 seconds; the largest moment release occurs 32 seconds after rupture initiation. the seismic moment as determined from theP waves for the 1942 Peru event is 10–25×1020N·m, corresponding to a moment magnitude of 7.9–8.2. Aftershock locations reported by the ISS occur over a broad area surrounding the main shock. The reported locations of the maximum intensities (IX) are concentrated south of the epicenter, suggesting that at least part of the rupture was to the south. We have also examined great historic earthquakes along the Colombia-Ecuador and Peru segments of the South American subduction zone. We find that the size and rupture length of the underthrusting earthquakes vary between successive earthquake cycles. This suggests that the segmentation of the plate boundary as defined by earthquakes this century is not constant.
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  • 8
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    Pure and applied geophysics 146 (1996), S. 115-129 
    ISSN: 1420-9136
    Keywords: Fragmentation ; fractal distributions ; self-similarity ; self-organized criticality ; cellular automatons ; computer models
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Three cellular automaton “toy”-models of fragmentation in two-dimensional lattices are explored. Of the three models, two can be considered in the class of simple bond percolation, and one as correlated bond percolation. Fractal fragment-size distribution in all models is found away from criticality, providing a certain fraction of the bonds is designated with considerably larger strengths than the rest in the system. As the fraction of these bonds is raised from zero, the fragment-size distribution transforms smoothly from exponential forms into a power law. Though each model takes a different path to the fractal distribution, they all show the same fractal exponent of 1.85(5). As might be expected in one dimension, the same models of their variants, failed to produce fractal distributions.
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  • 9
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    Pure and applied geophysics 146 (1996), S. 131-145 
    ISSN: 1420-9136
    Keywords: Multifractal ; general fractal dimension ; epicentral distribution
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract The generalized fractal dimension for epicentral distribution of earthquakes in west Taiwan is measured. The entire area is first divided into two zones, i.e., north and south zones, after which the two zones are further separated into three subzones for the former and two for the latter. The logC q (r) versus logr function, whereC q (r) is the generalized correlation integral andr is the distance between two epicenters, shows that a linear relation between logC q and logr exists in the range ofr smaller thanr c . The value ofr c is 25 km for the north zone, 40 km for the south and 12 km for the three north subzones. The valuesr c =25 and 40 km are almost the smallest ones of the width of epicentral distributions of the north and south zones, respectively. The value ofr c =12 km for the three north subzones is approximately the smallest size of the cluster of epicenters. For the plots of two south subzones, the pattern of data points does not bend in the range ofr in consideration, and, thus, there is not such a critical radius. TheD q −q relations forq=0, 1, 2,..., 15 are constructed for the two zones and five subzones. Results show significant multifractality and a spatial variation in multifractality for epicentral distributions of earthquakes in west Taiwan.
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  • 10
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    Pure and applied geophysics 146 (1996), S. 195-205 
    ISSN: 1420-9136
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
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  • 11
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    Pure and applied geophysics 146 (1996), S. 147-161 
    ISSN: 1420-9136
    Keywords: Greece ; strong motion ; synthetic isoseismals
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract In this work, several seismological observations are presented in order to explain characteristic features of the earthquake sequence which occurred in March 1993 in southwestern Greece, very close to the city of Pyrgos. Fault plane solutions of the largest fore- and aftershocks and the main shock, as well as the directions at which the maximum ground accelerations were recorded suggest that this earthquake sequence has been developed by rupturing three distinct focal planes with different focal mechanisms. The first focal plane, located in the off-shore area, strikes NW-SE, dips SE and includes most of the foreshock activity. The foreshock activity migrated to the northeastern part of the city of Pyrgos and took place on planes with a predominant direction NE-SW. The main shock ofM x =5.5 occurred in a focal plane located between the two above-mentioned areas. Strong motion records of significant shocks of the sequence show peak acceleration values on components consistent with the relevant fault plane solutions. Furthermore, the observed macroseismic field has been compared with synthetic isoseismals computed by using a certain velocity model and the focal mechanism parameters of the main shock.
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  • 12
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    Pure and applied geophysics 146 (1996), S. 163-193 
    ISSN: 1420-9136
    Keywords: Ap geomagnetic index ; magnetic activity forecasting ; non-linear prediction ; back-propagation neural network ; probabilistic neural network
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Two neural network algorithms are applied to the short-term,1 to 3 days, prediction of theAp geomagnetic index. A multi-layer, back-propagation (MBP) network is used to implement a self-prediction filter forAp and this provides a forecast of the numerical value of the index. A probabilistic neural network (PNN) is used to estimate the probability distribution of theAp index, in six activity classes, and to provide a forecast of the single most likely activity class for each day. BothAp and an index of solar activity, based on the daily reports issued by the Space Environment Services Centre (Boulder), are input to the probabilistic net. It is found that the numerical forecasts of the MBP filter are most accurate at low, non-storm, levels of activity. This non-linear method provides quantitatively better estimates of activity than are produced by an existing linear prediction filter, particularly with increasing forward forecasting lag. At high levels of the solar activity index the PNN is found to anticipate storm classAp with around 60% accuracy in 1992 and 1993. Some details of the algorithms and implementation issues are described. It is concluded that interplanetary field and solar wind data will be significant components of any of the possible future developments which are discussed.
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  • 13
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    Pure and applied geophysics 146 (1996), S. 207-227 
    ISSN: 1420-9136
    Keywords: Transport properties ; pore microstructure ; porosity
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract An experimental study was carried out on a granitic mylonite (La Bresse, France) to analyze the influence of pore microstructure on transport properties. Different crack networks were obtained by a controlled thermal treatment. Microstructures were analyzed by means of gas adsorption and mercury porosimetry. Transport properties have been investigated by measuring gas permeability and electrical conductivity. The dependence of permeability on confining pressure shows an exponential decrease, characteristic of a porosity made of cracks. Correlations between measured parameters have been analyzed by comparing them with relations deduced from theoretical models. Linking the formation factor to the porosity leads to a rather low tortuosity value (about 2.4), characterizing a medium with a well connected porosity. Correlation between permeabilityk and formation factorF leads to a power-law relationk ∝ F −n wheren≈2.9, which is consistent with a crack model describing the behavior of the thermally treated rock.
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  • 14
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    Pure and applied geophysics 146 (1996), S. 229-252 
    ISSN: 1420-9136
    Keywords: Localized folding ; softening visco-elastic medium ; instability of layer
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Long compressed elastic struts on softening elastic foundations have a tendency to buckle locally. The same tendency is demonstrated here for the instantaneous response of elastic struts supported by visco-elastic media. A governing nonlinear partial differential equation is derived to describe the evolution of the localized form in time. Under the assumed constant end-shortening this is found to be approximated by a coupled set of seven ordinary differential (diffusion) equations. As the load drops to zero, the localized buckle pattern evolves towards the form of the single long wave, but remains aperiodic for all time. Three-dimensional plots show how this localized pattern changes over time.
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  • 15
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    Pure and applied geophysics 146 (1996), S. 265-280 
    ISSN: 1420-9136
    Keywords: Induced seismicity ; b-value statistics ; Ostrava-Karviná Coal Mine District
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract The values of parameters of the relation logN=a−b logE characterize in general the level of seismicity of individual regions. In the present paper, a detailed analysis ofb values of the frequency-energy distributions was carried out with the aid of a database of seismic events recorded by the seismological networks in the Ostrava-Karviná Coal Mine District (Czech Republic), using the least squares regression and maximum likelihood method, as well. The determination ofb value was performed for a relatively large number of regions investigated and for different time series of observations. Special attention has been paid to induced seismic events statistics for the vicinity of one of the coalfaces in the Lazy Mine. It could be generally stated that lowerb values correspond to a higher level of induced seismic activity, while the higher ones correspond to a low and a moderate seismic activity.
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  • 16
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    Pure and applied geophysics 146 (1996), S. 253-263 
    ISSN: 1420-9136
    Keywords: Fracture ; fault nucleation ; critical crack density ; hierarchic failure ; earthquakes ; thermal activation
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract In this paper we propose a two-stage model of rock fracture. In the first stage, cracks or local regions of failure are uncorrelated and occur randomly throughout the rock in response to loading of pre-existing flaws. As damage accumulates in the rock, there is a gradual increase in the probability that large clusters of closely spaced cracks or local failure sites will develop. Based on statistical arguments, a critical density of damage will occur where clusters of flaws become large enough to lead to larger-scale failure of the rock (stage two). While crack interaction and cooperative failure is expected to occur within clusters of closely spaced cracks, the initial development of clusters is predicted based on the random variation in pre-existing flaw populations. Thus the onset of the unstable second stage in the model can be computed from the generation of random, uncorrelated damage. The proposed model incorporates notions of the kinetic (and therefore time-dependent) nature of the strength of solids as well as the discrete hierarchic structure of rocks and the flaw populations that lead to damage accumulation. The advantage offered by this model is that its salient features are valid for fracture processes occurring over a wide range of scales including earthquake processes. A notion of the rank of fracture (fracture size) is introduced, and criteria are presented for both fracture nucleation and the transition of the failure process from one scale to another.
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  • 17
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    Pure and applied geophysics 146 (1996), S. 281-304 
    ISSN: 1420-9136
    Keywords: Energy discriminant ; magnitude ; amplitude ; earthquake ; explosion
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Teleseismic observations of explosions tend to be richer in short-period energy than are earthquakes, thus the effectiveness of them b ∶M s discriminant. At regional distances the same basic separation occurs for smaller events in terms ofM L ∶M 0 (Woods et al., 1993) andm b ∶M 0 (Patton andWalter, 1993). While these studies demonstrate the basic differences in excitation, they suffer in practical application because of the detailed information required in the retrieval ofM 0 . In this paper, we introduce a new method of discrimination, based on the energy strength (M E ) from broadband regional records that appears to be effective and efficient. In this method all events are processed as earthquakes, and explosions are distinguished by their stronger energy levels relative to their long-period amplitudes. Results from 29 events recorded by TERRAscope, sampling 15 explosions from NTS and 14 earthquakes from the southwestern United States, are represented, indicating complete separation (45 data points).M L =3.6 is the smallest event examined to date but the method can probably be extended to even smaller levels in calibrated regions.
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  • 18
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    Pure and applied geophysics 146 (1996), S. 305-318 
    ISSN: 1420-9136
    Keywords: Volcanic seismicity ; polarization analysis ; Q ; volcanic processes
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Characterization of the microseismic activity (M L 〈2.0) has been performed at Mt. Melbourne since 1990. We recorded a group of low frequency events with common morphological characteristics, i.e., an emerging onset, an unclear second phase and a sharply dropping coda. Spectral analysis of events recorded at more than one station indicates that the seismogram characteristics and spectral content are largely due to source effects. A polarization filter applied to a set of three component data revealed a first phase made up ofP waves followed (after about 0.9–1.4 sec.) by a second phase probably composed ofSH-type waves. Particle motion analysis detected a seismic ray angle direction mainly between N70°E and N110°E and apparent angle of incidence between 35° and 48° for the first phase. The studied seismicity was localized in an area on the eastern slope of Mt. Melbourne Volcano which presents a surface temperature anomaly (Mazzarini andSalvini, 1994). We formulate two hypotheses for the type of earthquakes recorded: 1) long-period events involving active presence of magmatic fluids in the source processes; 2) or the result of fracturing processes (shear?) in a medium characterized by transition between brittle and plastic behaviors. In the latter hypothesis the superficial thermal anomaly may be a symptom of this behavior at depth and is confirmed by the lown values observed for the exponential fit in the codaQ analysis.
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  • 19
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    Pure and applied geophysics 146 (1996), S. 343-363 
    ISSN: 1420-9136
    Keywords: Wide-angle reflection times ; interval velocities and thicknesses ; stripping method
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Wide-angle reflections are now routinely recorded in high resolution explosion seismics to study the crustal structure. Use of Dix's hyperbolic approximation to the nonhyperbolic wide-angle reflection travel times causes major errors in the determination of interval velocities and layer thicknesses of a stack of horizontal velocity layers. Here we propose a layer stripping method to directly calculate the interval velocities and layer thicknesses in a vertically heterogeneous earth from the strong and reliable wide-angle reflected events. Synthetic reflection travel times, at wide-angle range, for a given velocity model, contaminated by some random errors, have been used to demonstrate the reliability of the algorithms to determine the interval velocities and thicknesses of various layers. The method has also been tested on two field examples along two deep seismic sounding (DSS) profiles with well identified wide-angle reflection travel times, which illustrates the practical feasibility of the proposed method.
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  • 20
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    Pure and applied geophysics 146 (1996), S. 393-404 
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  • 21
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    Pure and applied geophysics 146 (1996), S. 405-406 
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  • 22
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    Pure and applied geophysics 146 (1996), S. 365-392 
    ISSN: 1420-9136
    Keywords: Rhodope ; Xanthi ; N. Greece ; Nestos ; M.S.W.D.
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Intrusive features of varying size can be interpreted from the aeromagnetic map of the Xanthi area in N. Greece. The Xanthi pluton, which outcrops north of the city of Xanthi, seems to have the shape of a truncated pyramid. This feature has relatively large areal extent and reaches an approximate depth of 7 km. Another, relatively large magnetic body is buried under the sediments at the estuary of the Nestos River. 3-D models of several smaller intrusions were constructed and the produced effect was compared to the observed. Some of these intrusions seem to be detached branches of the large Xanthi pluton. The basement in the outer part of the basin of the Nestos River seems to be buried at about 4 km depth. This figure is obtained by the “Multiple Source Werner Deconvolution” estimates and it is in agreement with the results of former geophysical studies and deep industrial boreholes. A 3-D model of the Xanthi-Komotini basin suggests that this basin is about 0.4 km deep at its southern part. The depth at its northern boundary is about 1.8 km while the boundary itself is formed by the large Kavala-Xanthi-Komotini fault. The Tertiary basin of the Nestos River and the observed magmatism are consistent with the idea of an older extensional tectonic regime in the area.
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  • 23
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    Pure and applied geophysics 146 (1996), S. 407-419 
    ISSN: 1420-9136
    Keywords: Earthquake ; polar motion ; earth rotation
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract The mass redistribution in the earth as a result of an earthquake faulting changes the earth's inertia tensor, and hence its rotation. Using the complete formulae developed byChao andGross (1987) based on the normal mode theory, we calculated the earthquake-induced polar motion excitation for the largest 11,015 earthquakes that occurred during 1977.0–1993.6. The seismic excitations in this period are found to be two orders of magnitude below the detection threshold even with today's high precision earth rotation measurements. However, it was calculated that an earthquake of only one tenth the size of the great 1960 Chile event, if happened today, could be comfortably detected in polar motion observations. Furthermore, collectively these seismic excitations have a strong statistical tendency to nudge the pole towards ∼140°E, away from the actually observed polar drift direction. This non-random behavior, similarly found in other earthquake-induced changes in earth rotation and low-degree gravitational field byChao andGross (1987), manifests some geodynamic behavior yet to be explored.
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  • 24
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    Pure and applied geophysics 146 (1996), S. 469-501 
    ISSN: 1420-9136
    Keywords: Thermal modeling ; Southern Alps ; fission track age
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Finite-element modeling of the thermal regime across the Southern Alps of New Zealand has been carried out along two profiles situated near the Franz Josef and Haast valleys. The modeling involves viscous deformation beneath the Southern Alps, including both uplift and erosion, and crustal/lithospheric thickening, as a result of crustal shortening extending to 20 mm/y of a 25-km thick crust. Published uplift rates and crustal thickness variations along the two profiles are used to constrain the modeled advection of crustal material, and results are compared with the recent heat flow determinations, 190±50 mW/m2 in the Franz Josef valley and 90±25 mW/m2 in the Haast valley. Comparisons of the model with published K−Ar and fission track ages, show that the observed heat flow in the Franz Josef valley is consistent with observed zircon fission track ages of around 1 Ma, if the present-day uplift rate is close to 10 mm/y. Major thermal differences between the Franz Josef and Haast profiles appear to be due to different uplift and erosion rates. There is weak evidence that frictional heating close to the Alpine fault zone is not significant. The modeling provides explanations for the distribution of seismicity beneath the Southern Alps, and predicts a low surface heat flow over the eastern foothills due to the dominant thermal effect of crustal thickening beneath this region. Predicted temperatures at mid-crustal depth beneath the zone of maximum uplift rate are 50–100°C cooler than those indicated in previously published models, which implies that thermal weakening of the crust may not be the main factor causing the aseismicity of the central Southern Alps. The results of the modeling demonstrate that the different types of reset age data in the region within 25 km of the Alpine fault are critical for constraining models of the deformation and the thermal regime beneath the Southern Alps.
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  • 25
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    Pure and applied geophysics 146 (1996), S. 503-531 
    ISSN: 1420-9136
    Keywords: Intraplate stresses ; intraplate seismicity ; linear belts ; stable region ; pre-existing faults ; pore pressure ; stress amplification ; reactivation mechanisms
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Intraplate stresses and intraplate seismicity in the Indian subcontinent are strongly affected by the continued convergence between India and Eurasia. The mean orientation of the maximum horizontal compression in the Indian subcontinent is subparallel to the direction of the ridge push at the plate boundary as well as to the direction of compression expected to arise from the net resistive forces at the Himalayan collision zone, indicating that the intraplate stresses in the subcontinent, including the shield area, are caused by plate tectonic processes. Spatial distribution of historic and instrumentally recorded earthquakes indicate that the seismic activity is mostly confined to linear belts while the remaining large area of the shield is stable. The available conventional heat flow data and other indicators of heat flow suggest hotter geotherms in the linear belts, leading to amplification of stresses in the upper brittle crust. Many of the faults in these linear belts, which happen to be 200–80 m.y. old, are being reactivated either in a strike-slip or thrust-faulting mode. The reactivation mechanisms have been analyzed by taking into consideration the amplification of stresses, pore pressures, geological history of the faults and their orientation with respect to the contemporaneous stress field. The seismicity of the Indian shield is explained in terms of these reactivation mechanisms.
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    Pure and applied geophysics 146 (1996), S. 551-572 
    ISSN: 1420-9136
    Keywords: Cylindrical annulus ; thermal convection ; radiogenic isotopes ; fluid hoop ; surface deformation
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract This study presents the results of numerical simulations of a model for lithospheremantle coupling in a terrestrial type planet. To first order, a geologically active terrestrial type planet may consist of a metallic core, silicate mantle and lithosphere, with the lithosphere being rheologically different from the mantle. Therefore we have developed a numerical model consisting of a thin non-Newtonian fluid hoop that is dynamically coupled to a thick Newtonian fluid cylindrical annulus. Thus the rheological dichotomy between mantle and lithosphere is built into the model. Time-dependent calculations show the existence of at least two regimes of behaviors. In one regime, the behavior of the hoop switches between periods characterized by low or high speeds, in response to changes in convective vigor and planform. This regime may apply to the planet Venus where the available evidence indicates that prior to 500 myr ago, the planet was resurfaced on a time scale of 〈100 myr. Since that time, large-scale tectonic activity on Venus has been sharply curtailed. In the other regime, which is more like plate tectonics on Earth, the hoop speeds rise and fall on short time scales.
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    Pure and applied geophysics 146 (1996), S. 573-587 
    ISSN: 1420-9136
    Keywords: Free convection ; forced convection ; plate velocity field ; mixed convection model
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    Topics: Geosciences , Physics
    Notes: Abstract The observed plate velocities contain two types of motions. The poloidal component is related to the formation of ridges and subduction zones and the toroidal field expresses the shearing of surface plates. One very important consideration in modeling flow in the earth's mantle is the existence and motion of the lithospheric plates. The motion of plates represents a large-scale circulation with strong viscous coupling to the mantle underneath. The mantle flow probably is neither a purely free convection driven by buoyancy forces due to nonadiabatic temperature gradients in the mantle nor a forced convection generated by boundary forces, but a mixed convection that combines the effects of boundary and buoyancy forces. We present, in this paper, the mixed convection model resulting in a surface velocity field that contains both the observed poloidal and toroidal components.
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    Pure and applied geophysics 146 (1996), S. 589-620 
    ISSN: 1420-9136
    Keywords: Melt production rate ; fractional melting ; melt depletion ; crustal thickness
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    Topics: Geosciences , Physics
    Notes: Abstract We present a model for computing the total melt production rate from the decompression partial melting region beneath a mid-ocean ridge, and the maximum oceanic crustal thickness created at the ridge axis assuming an ideal melt migration mechanism. The calculations are based on a self-consistent numerical model for the thermal structure and steady-state mantle flow field at a mid-ocean ridge. The model includes the effect of decreasing the melt production rate within the partial melting region by melt extraction as the residual mantle matrix becomes increasingly difficult to melt. Thus the melt fraction depends not only on temperature and pressure determined by the location beneath the ridge axis (the Eulerian description) but also on the accumulated melt extraction since the upwelling mantle matrix enters the partial melting region determined by the location along the flow-line path (the Langrangian description). This effect has been neglected by previous models. The model can predict the size of the melting region and the locations of the boundaries between mantle, residual mantle, and the partial melting region for a given spreading rate, also the distribution of the melt depletion and the mean melting depth. Given the observed average thickness of oceanic crust (∼6 km), which is relatively independent of spreading rate, the model results also provide a constraint on the overall efficiency of melt migration to the ridge axis; the efficiency must decrease from 100% at 10 mm/yr to about 60% at fast spreading rates (〉50 mm/yr). Although this reduction may be partially due to the increasing size of the melting region with increasing spreading rate, it still requires less efficient melt migration near the ridge axis at fast spreading rate. We found that the calculated crustal thickness is very sensitive to the mantle temperature. For a normal mantle temperature of 1350°C, the model can generate the observed 6 km oceanic crust over the global range of spreading rates, while the anomalous thicker crusts of the Iceland hotspot and the Reykjanes Ridge are related to higher mantle temperatures associated with the hotspot. Finally, by comparing our model results with previous ones we found that neglecting variations of the melting relations of the residual mantle matrix with melt removal will overestimate the crustal thickness by at least a factor of 1.7.
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    Pure and applied geophysics 146 (1996), S. 661-675 
    ISSN: 1420-9136
    Keywords: Earthquake scaling ; seismic moment ; mean slip ; rupture dimension
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    Topics: Geosciences , Physics
    Notes: Abstract In seismological literature, there exist two competing theories (the so-calledW model andL model) treating earthquake scaling relations between mean slip and rupture dimension and between seismic moment and rupture dimension. The core of arguments differentiating the two theories is whether the mean slip should scale with the rupture width or with the rupture length for large earthquakes. In this paper, we apply the elastic theory of dislocation to clarify the controversy. Several static dislocation models are used to simulate strike-slip earthquakes. Our results show that the mean slip scales linearly with the rupture width for small earthquakes with a rupture length smaller than the thickness of the seismogenic layer. However, for large earthquakes with a rupture length larger than the thickness of the seismogenic layer, our models show a more complicated scaling relation between mean slip and rupture dimension. When the rupture length is smaller than a cross-over length, the mean slip scales nearly linearly with the rupture length. When the rupture length is larger than a cross-over length, the mean slip approaches asymptotically a constant value and scales approximately with the rupture width. The cross-over length is a function of the rupture width and is about 75 km for earthquakes with a saturated rupture width of 15 km. We compare our theoretical predictions with observed source parameters of some large strike-slip earthquakes, and they match up well. Our results also suggest that when large earthquakes have a fixed aspect ratio of rupture length to rupture width (which seems to be the case for most subduction earthquakes) the mean slip scales with the rupture dimension in the same way as small earthquakes.
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  • 30
    ISSN: 1420-9136
    Keywords: Qinghai-Xizang (Tibetan) plateau ; source process ; moment tensor ; tectonic stress field
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    Topics: Geosciences , Physics
    Notes: Abstract TheM s =6.9 Gonghe, China, earthquake of April 26, 1990 is the largest earthquake to have been documented historically as well as recorded instrumentally in the northeastern Qinghai-Xizang (Tibetan) plateau. The source process of this earthquake and the tectonic stress field in the northeastern Qinghai-Xizang plateau are investigated using geodetic and seismic data. The leveling data are used to invert the focal mechanism, the shape of the slipped region and the slip distribution on the fault plane. It is obtained through inversion of the leveling data that this earthquake was caused by a mainly reverse dip-slipping buried fault with strike 102°, dip 46° to SSW, rake 86° and a seismic moment of 9,4×1018 Nm. The stress drop, strain and energy released for this earthquake are estimated to be 4.9 MPa, 7.4×10−5 and 7.0×1014 J, respectively. The slip distributes in a region slightly deep from NWW to SEE, with two nuclei, i.e., knots with highly concentrated slip, located in a shallower depth in the NWW and a deeper depth in the SEE, respectively. Broadband body waves data recorded by the China Digital Seismograph Network (CDSN) for the Gonghe earthquake are used to retrieve the source process of the earthquakes. It is found through moment-tensor inversion that theM s =6.9 main shock is a complex rupture process dominated by shear faulting with scalar seismic moment of the best double-couple of 9.4×1018 Nm, which is identical to the seismic moment determined from leveling data. The moment rate tensor functions reveal that this earthquake consists of three consecutive events. The first event, with a scalar seismic moment of 4.7×1018 Nm, occurred between 0–12 s, and has a focal mechanism similar to that inverted from leveling data. The second event, with a smaller seismic moment of 2.1×1018 Nm, occurred between 12–31 s, and has a variable focal mechanism. The third event, with a sealar seismic moment of 2.5×1018 Nm, occurred between 31–41 s, and has a focal mechanism similar to that inverted from leveling data. The strike of the 1990 Gonghe earthquake, and the significantly reverse dip-slip with minor left-lateral strike-slip motion suggest that the pressure axis of the tectonic stress field in the northeastern Qinghai-Xizang plateau is close to horizontal and oriented NNE to SSW, consistent with the relative collision motion between the Indian and Eurasian plates. The predominant thrust mechanism and the complexity in the tempo-spatial rupture process of the Gonghe earthquake, as revealed by the geodetic and seismic data, is generally consistent with the overall distribution of isoseismals, aftershock seismicity and the geometry of intersecting faults structure in the Gonghe basin of the northeastern Qinghai-Xizang plateau.
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    Pure and applied geophysics 147 (1996), S. 1-24 
    ISSN: 1420-9136
    Keywords: Climate change ; ground warming ; permafrost ; heat flow
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract The results of precision temperature logs made to depths of several hundred meters in some 80 wells in Western Canada, most of which are located in the Prairie Provinces, show evidence of warming at the ground surface in the 0.5 K to 3.5 K range (average=2.2±0.7 K, for 80 unevenly distributed sites). Modeling shows that this warming mostly pertains to this century and it has been most substantal in the last four decades if the “ramp” function of the linear increase of surface temperature is assumed. Using the “step function” model's increase of surface temperature (land clearing, forest fires, etc.) the calculated onset of warming would pertain mostly to the last two decades. Contour maps of ground temperatures currently and previously and a contour map of the ground warming magnitude dilineate a large regional character of the ground temperature change at the southern marigin of permafrost for the large area of the Prairie Provinces. In many cases however, the magnitude of ground warming is much larger than the magnitude of air warming. This is especially evident for the northern areas of Alberta in the boreal forest ecoprovince. The magnitude of ground warming is equal to the magnitude of surface air warming in southern Alberta in the grassland and aspen parkland ecoprovinces. The analysis of the temperature depth response to the surface warming from well data shows the integrated effect of surface air warming together with the increases in ground temperature due to natural terrain effects and other anthropogenical changes to the surface of the earth.
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    Pure and applied geophysics 147 (1996), S. 83-98 
    ISSN: 1420-9136
    Keywords: Major earthquakes ; Gulf of Corinth ; seismotectonics
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    Topics: Geosciences , Physics
    Notes: Abstract On June 15, 1995 at 00:15 GMT a devastating earthquake (6.2M L ) occurred in the western end of the Gulf of Corinth. This was followed 15 min later by the largest aftershock (5.4M L ). The main event was located by the University of Patras Seismological Network (PATNET) at the northern side of the Gulf of Corinth graben. The second event (5.4M L ) was located also by PATNET near the city of Egion, on a fault parallel to the Eliki major fault that defines the south bound of the Gulf of Corinth graben. A seismogenic volume that spans the villages of Akrata (SE) and Rodini (NW) and extends to Eratini (NE) was defined by the aftershock sequence, which includes 858 aftershocks of magnitude greater than 2M L that occurred the first seventeen days. The distribution of hypocentres in cross section does not immediately suggest a planar distribution but rather defines a volume about 15 km (depth) by 35 km (NW-SE) and by 20 km (NE-SW).
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    Pure and applied geophysics 147 (1996), S. 119-130 
    ISSN: 1420-9136
    Keywords: Earthquakes prediction ; seismotectonics ; seismicity
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    Topics: Geosciences , Physics
    Notes: Abstract The CN algorithm is utilized here both for the intermediate term earthquake prediction and to validate the seismotectonic model of the Italian territory. Using the results of the analysis, made through the CN algorithm and taking into account the seismotectonic model, three main areas, one for Northern Italy, one for Central Italy and one for Southern Italy, are defined. Two transition areas between the three main areas are delineated. The earthquakes which occurred in these two areas contribute to the precursor phenomena identified by the CN algorithm in each main area.
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    Pure and applied geophysics 147 (1996), S. 161-180 
    ISSN: 1420-9136
    Keywords: Himalayan region ; earthquake ; strong ground motion ; attenuation relation ; seismicity
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    Topics: Geosciences , Physics
    Notes: Abstract Strong motion data from various regions of India have been used to study attenuation characteristics of horizontal peak acceleration and velocity. The strong ground motion data base considered in the present work consists of various earthquakes recorded in the northern part of India since 1986 with magnitudes 5.7 to 7.2. Using these data, relations for horizontal peak acceleration and velocity, which are $$\begin{gathered} log_{10} a = 1.14 + 0.31M + 0.65log_{10} R \hfill \\ log_{10} v = 0.571 + 0.41M + 0.768log_{10} R \hfill \\ \end{gathered} $$ have been proposed wherea is the peak horizontal acceleration in cm/sec2,v is the peak horizontal velocity in mm/sec,M is body wave magnitude, andR is the hypocentral distance in km. The proposed relations are in reasonable agreement with the small amount of strong ground motion data available for the northern part of India. The present results will be useful in estimating strong ground motion parameters and in the earthquake resistant design in the Himalayan region.
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    Pure and applied geophysics 147 (1996), S. 203-203 
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    Pure and applied geophysics 147 (1996), S. 205-206 
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    Pure and applied geophysics 147 (1996), S. 217-238 
    ISSN: 1420-9136
    Keywords: Mining induced seismicity ; seismic moment tensor ; focal mechanism ; Upper Silesia ; fault tectonics
    Source: Springer Online Journal Archives 1860-2000
    Topics: Geosciences , Physics
    Notes: Abstract Fault network of the Upper Silesian Coal Basin (USCB) is built of sets of strike-slip, oblique-slip and dip-slip faults. It is a typical product of force couple which acts evenly with the parallel of latitude, causing horizontal and anti-clockwise movement of rock-mass. Earlier research of focal mechanisms of mine tremors, using a standard fault plane solution, has shown that some events are related to tectonic directions in main structural units of the USCB. An attempt was undertaken to analyze the records of mine tremors from the period 1992–1994 in the selected coal fields. The digital records of about 200 mine tremors with energy larger than 1×104 J (M L 〉1.23) were analyzed with SMT software for seismic moment tensor inversion. The decomposition of seismic moment tensor of mine tremors was segmented into isotropic (I) part, compensated linear vector dipole (CLVD) part and double-couple (DC) part. The DC part is prevalent (up to 70%) in the majority of quakes from the central region of the USCB. A group of mine tremors with large I element (up to 50%) can also be observed. The spatial orientation of the fault and auxiliary planes were obtained from the computations for the seismic moment DC part. Study of the DC part of the seismic moment tensor made it possible for us to separate the group of events which might be acknowledged to have their origin in unstable energy release on surfaces of faults forming a regional structural pattern. The possible influence of the Cainozoic tectonic history of the USCB on the recent shape of stress field is discussed.
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    Pure and applied geophysics 147 (1996), S. 277-288 
    ISSN: 1420-9136
    Keywords: Induced seismicity ; clustering ; space-time interaction
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    Topics: Geosciences , Physics
    Notes: Abstract Elementary cluster analysis of induced seismicity in a South African gold mine has shown that there is a clear interaction amongst the clusters; and that the level of the interaction is a function of the distance. The clusering algorithm used is an adaptation of the single-link cluster analysis which considers both three-dimensional space and time. A high level of interaction between the clusters is demonstrated from the cross-correlation analysis of seismic activity rates and radiated energy. A distinct decrease in the value of correlation coefficients was detectable as distance increased. This was somewhat surprising, considering the simplicity of the technique used. Since no attempt is made to study the physical mechanisms of interaction, these results are very preliminary, but interesting from an observational point of view.
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    Pure and applied geophysics 147 (1996), S. 319-343 
    ISSN: 1420-9136
    Keywords: Microseismicity ; source parameter scaling ; seismic efficiency ; principal stresses
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    Topics: Geosciences , Physics
    Notes: Abstract Source parameter scaling relations are examined for microseismic events (−2.4≤M≤−0.3) occurring within higyly and moderately stressed and fractured rock masses at Strathcona mine, Sudbury, Canada. Insight into scaling is provided by waveform complexities, calculated rupture velocities, and maximum shear stresses based onin situ and numerical modelling data. The importance of normal stress on the failure process is also considered. Our results show that a strong dependence exists between stress release and seismic moment. An observed positive scaling in excess stress release (Δσ/2−σ a ) is consistent with the concept of overshoot. Rupture velocities ranging from 0.2 to 0.5β and waveform complexities less than 1.5 suggested that overshoot was related to healing behind a slowly advancing rupture front. Scaling in seismic efficiency paralleled that in apparent stress, implying that seismic stress release estimates are quasi-independent of the maximum shear stress. High levels of normal stress further supported the importance of high resisting stress in the observed overshoot behaviour and its role in the failure process.
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    Pure and applied geophysics 147 (1996), S. 367-375 
    ISSN: 1420-9136
    Keywords: Induced seismicity ; kinetics ; rock fracture ; rockburst ; earthquake
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    Notes: Abstract Powerful seismic events, such as earthquakes and rockbursts, are caused by the accumulation of energy in rocks and loss of rock mass stability. Usually methods of their forecasting are based on the registration of anomalous behavior of geophysical fields. However an efficiency of this approach is low. The present paper proposes a kinetic approach to the description of rock fracture process, which can be used for the forecasting of seismic events and an investigation of structure and energy distributions in rock. 3-D and 1-D kinetic equations describing a process of cluster formation in rock were obtained. The equations are invariant to deformation conditions and to the scale level of events. They showed a good agreement with the results of field observations and laboratory experiments. It was also shown that these equations well describe the processes of earthquake, rockburst and rock sample failure preparation. Catalogues of rockbursts in mines were analyzed with the use of the kinetic equations to find out evidence of induced seismic events. The proposed approach makes it possible to reveal trends in rock behavior and thus predict the rock failure at different scale levels.
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  • 41
    ISSN: 1420-9136
    Keywords: Reservoir-induced seismicity ; karst ; Wujiangdu Reservoir of China
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    Topics: Geosciences , Physics
    Notes: Abstract To date 19 cases of reservoir-induced seismicity have been acknowledged in China and 15 of them are associated with karst. The Wujiangdu case is a typical one induced in the karst area. The dam with a height of 165 m is the highest built in a karst area in China. Seismic activity has been successively induced in five reservoir segments seven months after the impoundment in 1979. A temporary seismic network consisting of 8 stations was set up in one of the segments some 40 km upstream from the dam. The results indicate that epicenters were distributed along the immediate banks, composed of karstified carbonate, and focal depths were only several hundred meters. Most of the focal mechanisms were of thrust and normal faulting. It is suggested that karst may be an important factor in inducing seismicity. It can provide an hydraulic connection to change the saturation and pressure and also weak planes for dislocation to induce seismicity.
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    Pure and applied geophysics 147 (1996), S. 433-453 
    ISSN: 1420-9136
    Keywords: Rock friction ; characteristic displacement ; micromechanics ; asperity contact
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    Topics: Geosciences , Physics
    Notes: Abstract The physical meaning of the characteristic displacement that has been observed in velocity-stepping friction experiments was investigated based on the micromechanics of asperity contact. It has been empirically found for bare rock surfaces that the magnitude of the characteristic displacement is dependent only on surface roughness and insensitive to both slip velocity and normal stress. Thus the characteristic displacement has been interpreted as the displacement required to change the population of contact points completely. Here arises a question about the physical mechanism by which the contact population changes. Because individual asperity contacts form, grow and are eliminated with displacement, there are at least two possible interpretations for the characteristic displacement: (1) it is the distance over which the contacts existing at the moment of the velocity change all fade away, being replaced by new asperity contacts, or (2) it is the distance required for a complete replacement in the real contact area that existed at the moment of the velocity change. In order to test these possibilities, theoretical models were developed based on the statistics of distributed asperity summits. A computer simulation was also performed to check the validity of the theoretical models using three-dimensional surface topography data with various surface roughnesses. The deformation was assumed to be elastic at each asperity contact. The results of both the simulation and the theoretical models show that the characteristic displacement in (1) is about three times longer than that in (2). Comparison of the results with the experimental observations obtained by others indicates that the possibility (2) is the correct interpretation. This means that the “state” in the rate and state variable friction law is memorized in a very confined area of real contact. Further, our results explain why the characteristic displacement is insensitive to normal stress: this comes from the fact that the microscopic properties such as the mean contact diameter are insensitive to normal stress. The approach based on the micromechanics of asperity contact is useful to investigate the underlying mechanism of various phenomena in rock friction.
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    Pure and applied geophysics 147 (1996), S. 497-514 
    ISSN: 1420-9136
    Keywords: Seismic moment ; source duration ; Love waveforms
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    Topics: Geosciences , Physics
    Notes: Abstract Love waves recorded by a long-period seismograph at New Delhi (NDI) from seven earthquakes of magnitude 4.3 to 5.2 in Koyna and Bhatsa on the western coast and one earthquake in Ongole on the eastern coast of the Indian Peninsula have been used to determine the seismic moment for each of the earthquakes by waveform modeling. Transverse component of the synthetic seismogram shows that the maximum amplitude of waveform decreases with an increase of source duration. Thus for an evaluation of the seismic moment by equating the amplitude level of the observed and synthetic waveforms, we must know the source duration. The synthetic seismogram also indicates that a short source duration gives rise to a small but sharp pulse and this pulse is interpreted as anLg wave. Comparison of the observed and synthetic waveforms has been used for a simultaneous evaluation of the source duration and seismic moment. The source durations are found to vary between 2.2 and 4.4 s; for earthquakes with a magnitude range between 4.3 and 5.2 these durations are slightly higher than normal. We obtain moment (M 0) of Ongole earthquake (M L =5.1)as 1.7×1024 dyne-cm; moments of Koyna and Bhatsa earthquakes (4.3≤M L ≤5.2) on the western coast lie between 0.7×1023 and 3.6×1023 dyne-cm. Moment (M 0)-magnitude (M L ) relation logM 0=1.5M L +16.0 for the western United States region agrees as well, in general, with the results for the earthquakes in the Indian Peninsula.
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    Pure and applied geophysics 147 (1996), S. 567-583 
    ISSN: 1420-9136
    Keywords: Quasi-biennial oscillation
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    Topics: Geosciences , Physics
    Notes: Abstract A spectral analysis of the 12-month running averages of several atmospheric parameters for 40 years (1951–1990) indicated prominent QBO (Quasi-Biennial Oscillations) and QTO (Quasi-Triennial Oscillations). The 50 mb tropical wind has a very prominent QBO peak atT=2.33 years, which was well reflected in N. Pole 30 mb temperature but not in average surface air temperatures of Northern and Southern Hemispheres. The 50 mb wind had no prominent QTO; but sea-surface temperatures showed prominent QTO at ∼3.6 years as well as peaks at ∼4.8 years (also shown by N. Pole 30 mb temperature) which matched very well with similar peaks in the Pacific SST and SO (Southern Oscillation) index. Specific humidity in the lower troposphere (1000 and 700 mb) and temperature at 300 mb obtained by radiosondes in the western Pacific for 15 years (1974–1988) showed mainly a biennial oscillation.
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  • 46
    ISSN: 1420-9136
    Keywords: Aftershocks ; seismic moment ; stress drop and source radius
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    Topics: Geosciences , Physics
    Notes: Abstract Spectral parameters have been estimated for 214 Petatlan aftershocks recorded at stations between Petatlan and Mexico City and between Petatlan and Acapulco. The spectral parameters were used to obtain empirical relations for the estimation of seismic moment from coda length and fromM L . Stress drops, using Brune's model, were calculated for these aftershocks. Six events with large stress drop are located within a previously suggested asperity, and seven more suggest a boundary zone at the intersection of the Petatlan and Zihuatanejo aftershock rupture volumes. Stress drops increase with increasing seismic moment up to 1020 dyne-cm but appear to be constant at greater moment values. The peak horizontal velocity times distance of aftershocks recorded near the coast and between the coast and Mexico City (30 to 270 km away), scales linearly with seismic moment, and predicts well the peak horizontal values of large (M s ≥7.0) coastal thrust events recorded on rock sites at Mexico City. Peak horizontal velocity is a straightforward measurement, thus this relation allows us to evaluate expected ground motion between the Pacific coast and Mexico City from the seismic moment of subduction related earthquakes along the coast.
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    Pure and applied geophysics 147 (1996), S. 675-718 
    ISSN: 1420-9136
    Keywords: Elastic waves ; sphere ; scattering ; diffraction
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    Notes: Abstract Scattering of an arbitrary elastic wave incident upon a spherically symmetric inclusion is considered and solutions are developed in terms of the spherical vector system of Petrashen, which produces results in terms of displacements rather than displacement potentials and in a form suitable for accurate numerical computations. Analytical expressions for canonical scattering coefficients are obtained for both the cases of incidentP waves and incidentS waves. Calculations of energy flux in the scattered waves lead to elastic optical theorems for bothP andS waves, which relate the scattering cross sections to the amplitude of the scattered fields in the forward direction. The properties of the solutions for a homogeneous elastic sphere, a sphere filled by fluid, and a spherical cavity are illustrated with scattering cross sections that demonstrate important differences between these types of obstacles. A general result is that the frequency dependence of the scattering is defined by the wavelength of the scattered wave rather than the wavelength of the incident wave. This is consistent with the finding that the intensity of theP→S scattering is generally much stronger than theS→P scattering. When averaged over all scattering angles, the mean intensity of theP→S converted waves is2V p 2 /V s 4 times the mean intensity of theS→P converted waves, and this ratio is independent of frequency. The exact solutions reduce to simple and easily used expressions in the case of the low frequency (Rayleigh) approximation and the low contrast (Rayleigh-Born) approximation. The case of energy absorbing inclusions can also be obtained by assigning complex values to the elastic parameters, which leads to the result that an increase in attenuation within the inclusion causes an increased scattering cross section with a marked preference for scatteredS waves. The complete generality of the results is demonstrated by showing waves scattered by the earth's core in the time domain, an example of high-frequency scattering that reveals a very complex relationship between geometrical arrivals and diffracted waves.
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    Pure and applied geophysics 147 (1996), S. 745-762 
    ISSN: 1420-9136
    Keywords: Frictional sliding ; crustal fault ; stick-slip ; stability analysis ; models of earthquakes
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    Topics: Geosciences , Physics
    Notes: Abstract A model of frictional sliding with anN-shaped curve for the sliding velocity dependence of the coefficient of friction is considered. This type of friction law is shown to be related to dynamic i.e., velocity dependent ‘ageing’ of asperity junctions. Mechanisms of ‘ageing’ for ductile (Bowden-Tabor) and brittle (Byerlee) materials, though different in nature, lead to qualitatively similarN-shaped velocity dependencies of the coefficient of friction. Estimates for the velocities limiting the range of negative velocity sensitivity of the coefficient of friction are obtained for the ductile case and—albeit with a lesser degree of reliability—for the brittle one. It is shown by linear stability analysis that discontinuous sliding (stick-slip) is associated with thedescending portion of theN-shaped curve. An instability criterion is obtained. An expression for the period of the attendant relaxation oscillations of the sliding velocity is given in terms of the calculated velocity dependence of the coefficient of friction. It is suggested that the micromechanically motivated friction law proposed should be used in models of earthquakes due to discontinuous frictional sliding on a crustal fault.
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    Pure and applied geophysics 147 (1996), S. 789-819 
    ISSN: 1420-9136
    Keywords: Gulf Stream ; mesoscale ; East Coast cyclogenesis
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    Topics: Geosciences , Physics
    Notes: Abstract A three-dimensional mesoscale numerical model is used to investigate mesoscale circulation over a Gulf Stream filament. Two numerical experiments are performed with different initial uniform ambient wind speeds (U=0.1 m s−1, 3.5 m s−1 and 7 m s−1) for a typical winter day. It is found that for both low and moderate winds, a closed mesoscale circulation forms over the Gulf Stream filament. When the Gulf Stream filament was removed, the model did not predict a mesoscale circulation. The modeled circulation over the filament is in agreement with the observations, suggesting that the atmospheric circulations over the filaments may be an important mechanism in the U.S. East Coast cyclogenesis.
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    Pure and applied geophysics 148 (1996), S. 255-268 
    ISSN: 1420-9136
    Keywords: CodaQ ; scattering ; intrinsic attenuation ; boundary method
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    Topics: Geosciences , Physics
    Notes: Abstract Numerical modelling ofSH wave seismograms in media whose material properties are prescribed by a random distribution of many perfectly elastic cavities and by intrinsic absorption of seismic energy (anelasticity) demonstrates that the main characteristics of the coda waves, namely amplitude decay and duration, are well described by singly scattered waves in anelastic media rather than by multiply scattered waves in either elastic or anelastic media. We use the Boundary Integral scheme developed byBenites et al. (1992) to compute the complete wave field and measure the values of the direct waveQ and coda wavesQ in a wide range of frequencies, determining the spatial decay of the direct wave log-amplitude relation and the temporal decay of the coda envelope, respectively. The effects of both intrinsic absorption and pure scattering on the overall attenuation can be quantified separately by computing theQ values for corresponding models with (anelastic) and without (elastic) absorption. For the models considered in this study, the values of codaQ −1 in anelastic media are in good agreement with the sum of the corresponding scatteringQ −1 and intrinsicQ −1 values, as established by the single-scattering model ofAki andChouet (1975). Also, for the same random model with intrinsic absorption it appears that the singly scattered waves propagate without significant loss of energy as compared with the multiply scattered waves, which are strongly affected by absorption, suggesting its dominant role in the attenuation of coda waves.
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    Pure and applied geophysics 148 (1996), S. 269-285 
    ISSN: 1420-9136
    Keywords: Wave scattering ; attenuation ; random media ; reflectivity method
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    Topics: Geosciences , Physics
    Notes: Abstract The concept of attenuation operators and complex velocities is applied to scattering attenuation in two and three dimensions, using the minimum-phase assumption for the attenuation operator. Acoustic 2D finite-difference computations of synthetic seismograms show, that the attenuation operator describes well the decay and lowpass filtering of the averaged wave form, which follows from averaging travel-time-corrected wave forms along the wave front. In the case of exponential random media, analytical forms of the attenuation operators and complex velocities are available. The complex velocities are incorporated into the reflectivity method. As an application, synthetic seismograms are presented for theS n wave, attenuated by lithospheric velocity and density fluctuations. The limitations of attenuation operators and complex velocities for scattering are also discussed. With these quantities it is not possible to model phenomena related to the scattered waves themselves, such as amplitude and travel-time fluctuations along the wave front, codas and precursors.
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    Pure and applied geophysics 148 (1996), S. 155-173 
    ISSN: 1420-9136
    Keywords: Wave propagation ; synthetic seismograms ; heterogeneous media ; one-return approximation
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    Topics: Geosciences , Physics
    Notes: Abstract When reverberations between heterogeneities or resonance scattering can be neglected but accumulated effects of forward scattering are strong, the Born approximation is not valid but the De Wolf approximation can be applied in such cases. In this paper, renormalized MFSB (multiple-forescattering single-backscattering) equations and the dual-domain expression for scalar, acoustic and elastic waves are derived by a unified approach. Two versions of the one-return method (using MFSB approximation) are given: One is the wide-angle dual-domain formulation (thin-slab approximation); the other is the screen approximation. In the screen approximation, which involves a small-angle approximation for the wave-medium interaction, it can be seen clearly that the forward scattered, or transmitted waves are mainly controlled by velocity perturbations; while the backscattered or reflected waves, by impedance perturbations. The validity of the method and the wide-angle capability of the dual-domain implementation are demonstrated by numerical examples. Reflection coefficients of a plane interface derived from numerical simulations by the wide-angle method match the theoretical curves well up to critical angles. For the reflections of a low-velocity slab, the agreement between theory and synthetics only starts to deteriorate for angles greater than 70°. The accuracy of the wide-angle version of the method could be further improved by optimizing the wave-number filtering for the forward propagation and shrinking the step length along the propagation direction.
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    Pure and applied geophysics 148 (1996), S. 175-225 
    ISSN: 1420-9136
    Keywords: Ray-theoretical radiation pattern of point sources ; sources close to structural interfaces ; sources close to the earth's surface ; explosive sources ; single force point sources ; S * waves
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    Topics: Geosciences , Physics
    Notes: Abstract The seismic wave field is considerably influenced by local structures close to the source and to the receiver. This applies to sources and receivers situated close to localized inhomogeneities, to structural interfaces, to the earth's surface, etc. In this paper we concentrate our attention mainly to the ray-theoretical radiation patterns of point sources situated close to the structural interfaces and to the earth's surface. In numerical modeling of high-frequency seismic wave fields by the ray method, the interaction of the source with the earth's surface has not usually been taken into account. The proposed procedure of the computation of the radiation patterns of point sources situated directly on structural interfaces and on the earth's surface is based on the zero-order approximation of the ray method, assuming that the length of the ray between the source and the receiver is long. The derived equations are extended to point sources located close to structural interface, to the earth's surface and to thin transition layers using the hybrid ray-reflectivity method, seeČervený (1989). The thin layer need not be homogeneous; it may include an arbitrary inner layering (transition layers, laminas, etc.) The only requirement is for the layer to be thin. Roughly speaking, we require its thickness to be less than one quarter of the prevailing wavelength. The hybrid ray-reflectivity method describes well even certain non-ray effects (tunneling.S * waves, etc.). Explicit analytical expressions for radiation patterns for all above listed point sources are found. These expression have a local character and may be easily implemented into computer codes designed for the routine computation of ray amplitudes and synthetic ray seismograms in 2-D and 3-D, laterally varying isotropic layered and block structures by the ray method. Numerical examples of radiation patterns ofP andS waves of point sources situated close to the earth's surface and to a thin low-velocity surface layer are presented and discussed. The explosive point source (center of dilatation) and the vertical and horizontal single force point sources are considered. It has been ascertained that the radiation patterns of point sources depend drastically on the depth of the source below the surface even if the depths vary within one quarter of the prevailing wavelength.
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    Pure and applied geophysics 148 (1996), S. 343-343 
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    Pure and applied geophysics 148 (1996), S. 319-336 
    ISSN: 1420-9136
    Keywords: Surface waves ; phase velocities ; azimuthal anomalies ; seismic tomography
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    Topics: Geosciences , Physics
    Notes: Abstract A method of estimating the lateral velocity variations in the 2D case using the data on deviations of wave paths from straight lines (or great circle paths in the spherical case) is proposed. The method is designed for interpretation of azimuthal anomalies of surface waves which contain information on lateral variations of phase velocities supplementary to that obtained from travel-time data in traditional surface wave tomography. In the particular 2D case, when the starting velocity is constant (c 0) and velocity perturbations δc(x,y) are sufficiently smooth, a relationship between azimuthal anomaly δα and velocity perturbations δc(x,y) can be obtained by approximate integration of the ray tracing system, which leads to the following functional: $$\delta \alpha = \int_0^L {\frac{{s(\nabla m,n_0 )}}{L}} ds,$$ wherem(x,y)=δc(x,y)/c 0,L is the length of the ray,n 0 is a unit vector perpendicular to the ray in the starting model, integration being performed from the source to the receiver. This formula is valid for both plane and spherical cases. Numerical testing proves that for a velocity perturbation which does not exceed 10%, this approximation is fairly good. Lateral variations of surface wave velocities satisfy these assumptions. Therefore this functional may be used in surface wave tomography. For the determination ofm(x,y) from a set ofδα k corresponding to different wave paths, the solution is represented as a series in basis functions, which are constructed using the criterion of smoothness of the solution proposed byTarantola andNersessian (1984) for time-delay tomography problems. Numerical testing demonstrates the efficiency of the tomography method. The method is applied to the reconstruction of lateral variations of Rayleigh wave phase velocities in the Carpathian-Balkan region. The variations of phase velocities obtained from data on azimuthal anomalies are found to be correlated with group-velocity variations obtained from travel-time data.
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    The chemical educator 1 (1996), S. 1-4 
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    Topics: Chemistry and Pharmacology
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    The chemical educator 1 (1996), S. 1-2 
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    Topics: Chemistry and Pharmacology
    Notes: Abstract This article examines a long-dormant teaching methodology known as the Personalized System of Instruction (PSI). The literature documenting the effectiveness of PSI is reviewed, showing that it is superior to traditional instruction. Even given this evidence, few educators employ this instructional strategy today. Arguments against PSI are examined, and suggestions are made on how to avoid the pitfalls associated with PSI. The article also discusses how to implement PSI in a college chemistry course.
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    The chemical educator 1 (1996), S. 1-9 
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    Topics: Chemistry and Pharmacology
    Notes: Abstract We all participate in a variety of groups as part of our daily lives, from families to social and work communities. As chemists, we are part of our college departments, our professional societies, our research groups, and so on. In graduate and undergraduate school, some of us formed peer study groups in response to the demands of those other groups that we were a part of: our formal courses. We know we are not unique in this. The popular culture, at least, is filled with portrayals of medical, law, and business students who must divide responsibility for learning a daunting amount of course material and who then teach one another as a part of their learning. Graduate research groups in chemistry are generally highly structured by their research directors where community issues are involved (group meetings and assignments, shared equipment, and representatives who obtain specialized skills such as crystallography or mass spectrometry), and move towards a less authoritative structure when developing individual initiative is the goal. Individuals depend on (and learn with) one another in all kinds of educational situations. In order to emphasize this idea, Bruffee [1] advocates the use of a phrase attributed to John Dewey: “living an associated life.” As Bruffee describes it, formal education in America has been based on a philosophy of associated learning since at least the time of Benjamin Franklin. We all live and learn in an associated way. Differences in interactions vary according to the nature of a group’s structure (and sometimes, although not as often, to an individual’s degree of dissociation from the group).
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    The chemical educator 1 (1996), S. 1-12 
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    Topics: Chemistry and Pharmacology
    Notes: Abstract Most chemistry courses involving group theory do not treat the infinite point groups C∞v or D∞h. Even the character tables themselves are not transparent looking, with the profusion of ellipses. Because of this, it is not possible to deduce the vibrational symmetry modes of CO2, even though the symmetric, asymmetric stretch, and doubly-degenerate bending modes are discussed in almost all physical chemistry courses. In this paper we show how linear molecules such as CO2, C2H2, and HCN can be treated using the point groups Cnv or Dnh for general values of n. When determining which irreducible representations comprise the normal vibrational modes of a linear molecule such as CO2, we show that the n-dependence vanishes. The calculations presented here do not require advanced mathematical knowledge and could be incorporated into an undergraduate chemistry curriculum in which group theory is presented.
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    The chemical educator 1 (1996), S. 1-5 
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    Topics: Chemistry and Pharmacology
    Notes: Abstract Often neglected as a foundation for scientific inquiry are contemporary sports journals and the articles contained within them. It is common to encounter authoritative assertions by various authors that are in truth ordinary suppositions infrequently based on tenable scientific data. This article outlines a model for transforming an ordinary “factual” statement, taken from a recent sporting journal, into an educational experience that includes experimental design, supporting documentation, methods of experimental verification, and the scientific method as a whole.
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    The chemical educator 1 (1996), S. 1-11 
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    Notes: Abstract What is the value that comes from consciously and explicitly linking what we know about chemistry with what we do in the classroom? It is tempting to dismiss this question because we are uncomfortable with the implication that there are times when what we do in the classroom is not informed by our personal understanding of chemistry. Yet instructors of introductory chemistry courses often lack the personal understanding, especially the kind that comes from laboratory experience, for significant parts of the course. An experienced general chemistry instructor, for example, probably understands the practical expectations of teaching this subject better than anyone who has recently graduated with a Ph.D. in physical or inorganic chemistry. Although the merits of this situation are worth reflecting on at another time, a reasonable operational assumption is that a substantial portion of the introductory program is defined by its own existence rather than as an identifiable area of specialization. The general chemistry curriculum is flexible to the degree that it can accommodate a variety of backgrounds in its instructors, yet it is constrained by the historical inertia that has defined it. To a lesser yet still significant extent, beginning instructors of organic chemistry face the same problem when their understanding of more specialized topics (such as the synthesis of heterocyclic compounds, transition metal organometallics, carbohydrate and peptide chemistry) is limited by their inexperience in those areas. Organic chemists might have only studied these topics as a part of their own introductory or intermediate instruction, and the textbook in use could be their primary source of information. Consequently, introductory chemistry instruction is filled with its own “urban myths”, or perhaps they are parables [1] passed down from author to author, about chemical phenomena that may or may not stand up to the scrutiny of contemporary understanding. Sometimes this is by design; for instance, demonstrating some general features about macroscopic properties can be done by using simplifications like the ideal gas assumptions or with the use of concentration instead of activity. Intentional simplifications that use less sophisticated models to explain phenomena at an adequate level of complexity are commonplace (in fact, this is not a bad interpretation of Occam’s Razor as it applies to science in general). This may be analogous to the way our colleagues in physics begin college instruction with Newtonian mechanics, or the way chemists can successfully use valence bond models for molecular structure to do a prodigious amount of chemistry without ever invoking a Hamiltonian operator. Problems can arise, however, whenever an instructor’s depth of understanding of a subject is only marginally different than the simplified version of it. Agassi [2] offers a sobering view on the way some writers of introductory textbooks “mislead the innocent reader” (implying that unwary instructors will sometimes mislead learners). He laments that individuals who ultimately choose science do so in spite of their formal education and he refers to them as “those who survive the injury of the science textbook.”
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    The chemical educator 1 (1996), S. 1-9 
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    The chemical educator 1 (1996), S. 1-8 
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    Notes: Abstract A chemical demonstration illustrating pressure volume work is presented. Details are given for the construction of a small but powerful mechanical engine that is fueled with liquid nitrogen. Students are able to disassemble the engine to inspect the engine components and study the operating mechanism.
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    The chemical educator 1 (1996), S. 1-13 
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    The chemical educator 1 (1996), S. 1-2 
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    Topics: Chemistry and Pharmacology
    Notes: Abstract High School Chemistry Day will be held on April 14, 1996, at the Moscone Convention Center in San Francisco, California. This event is held biannually as part of the Division of Chemical Education’s activities at national American Chemical Society Meetings. The organizer of the San Francisco program, Robert Zafran, briefly describes its purpose and organization and invites all interested parties to attend.
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    The chemical educator 1 (1996), S. 1-16 
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    The chemical educator 1 (1996), S. 1-13 
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    The chemical educator 1 (1996), S. 1-12 
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    Requirements engineering 1 (1996), S. 88-105 
    ISSN: 1432-010X
    Keywords: Viewpoint development ; Requirements acquisition ; Requirements modelling
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    Topics: Computer Science
    Notes: Abstract Requirements definition is a critical activity within information systems development. It involves many stakeholder groups: managers, various end-users and different systems development professionals. Each group is likely to have its own ‘viewpoint’ representing a particular perspective or set of perceptions of the problem domain. To ensure as far as possible that the system to be implemented meets the needs and expectations of all involved stakeholders, it is necessary to understand their various viewpoints and manage any inconsistencies and conflicts. Viewpoint development during requirements definition is the process of identifying, understanding and representing different viewpoints. This paper proposes a conceptual framework for understanding and investigating viewpoint development approaches. Results of the use of the framework for a comparison of viewpoint development approaches are discussed and some important issues and directions for future research are identified.
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    Requirements engineering 1 (1996), S. 190-194 
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    Requirements engineering 1 (1996), S. 170-189 
    ISSN: 1432-010X
    Keywords: Requirements Engineering ; Process models ; Products ; Review ; Framework
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    Topics: Computer Science
    Notes: Abstract A framework for assessing research and practice in requirements engineering is proposed. The framework is used to survey state of the art research contributions and practice. The framework considers a task activity view of requirements, and elaborates different views of requirements engineering (RE) depending on the starting point of a system development. Another perspective is to analyse RE from different conceptions of products and their properties. RE research is examined within this framework and then placed in the context of how it extends current system development methods and systems analysis techniques.
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    Requirements engineering 1 (1996), S. 261-263 
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    Requirements engineering 1 (1996), S. 132-134 
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    Requirements engineering 1 (1996), S. 106-131 
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    Keywords: Requirements specification ; Object-oriented analysis ; Formal specification ; Dynamic logic
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    Topics: Computer Science
    Notes: Abstract In this paper, we define a number of tools that we think belong to the core of any toolkit for requirements engineers. The tools are conceptual and hence, they need precise definitions that lay down as exactly as possible what their meaning and possible use is. We argue that this definition can best be achieved by a formal specification of the tool. This means that for each semi-formal requirements engineering tool we should provide a formal specification that precisely specifies its meaning. We argue that this mutually enhances the formal and semi-formal technique: it makes formal techniques more usable and, as we will argue, at the same time simplifies the diagram-based notations. At the same time, we believe that the tools of the requirements engineer should, where possible, resemble the familiar semi-formal specification techniques used in practice today. In order to achieve this, we should search existing requirements specification techniques to look for a common kernel of familiar semi-formal techniques and try to provide a formalisation for these. In this paper we illustrate this approach by a formal analysis of the Shlaer-Mellor method for object-oriented requirements specification. The formal specification language used in this analysis is LCM, a language based on dynamic logic, but similar results would have been achieved by means of another language. We analyse the techniques used in the information model, state model, process model and communication model of the Shlaer-Mellor method, identify ambiguities and redundancies, indicate how these can be eliminated and propose a formalisation of the result. We conclude with a listing of the tools extracted from the Shlaer-Mellor method that we can add to a toolkit that in addition contains LCM as formal specification technique.
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    ISSN: 1432-041X
    Keywords: Drosophila ; Ovary morphogenesis ; Mitotic wave ; Pattern formation
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    Topics: Biology
    Notes: Abstract The adult ovary of Drosophila is composed of approximately twenty parallel repetitive structures called ovarioles. The ovarioles appear at the prepupal stage and their formation requires the presence of stacks of discshaped cells called the terminal filaments. Terminal filaments form in a progressive manner during the third larval instar. We have looked at the beginning of formation of both the terminal filaments and ovarioles at an ultrastructural level. Moreover, we studied the pattern of division of the terminal filament cell precursors using the base analog, BrdU. Two main waves of division are observed. The first wave consists of divisions of almost all the terminal filament cell precursors during a short period of time at the transition between the second and third larval instar. The second wave, in which the precursors carry out their final divisions before differentiating, occurs gradually, going from the medial to the lateral side of the ovary during the first half of the third larval instar.
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    Development genes and evolution 205 (1996), S. 494-497 
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    Keywords: Caenorhabditis elegans ; Nematode ; Gut ; Transferrin ; Trypan blue
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    Topics: Biology
    Notes: Abstract During embryogenesis of Caenorhabditis elegans cytoplasmic components are transferred from nongut cells into the developing gut primordium and an exo/endocytosis mechanism has been hypothesized (Bossinger and Schierenberg 1992). To test endocytotic activity of the gut primordium, we compared the uptake of different fluorochrome-conjugated marker molecules in two nematode species, C. elegans and Cephalobus spec., which differ in the pattern of early cleavage and cell-cell communication. We found no uptake of dextran (as a marker for pinocytosis) but rapid internalization of 30-fold larger transferrin molecules (as a marker for receptor-coupled endocytosis) into the differentiating gut primordium in both nematodes. The two studied species differ with respect to when this process starts. While the uptake of macromolecules in the fast developing C. elegans is first observed at a stage when essentially all cells of the hatching juvenile have been generated, in the slow developing Cephalobus endocytosis begins during the early proliferation phase when only two gut precursor cells are present. We found that the polysulfated hydrocarbon dye trypan blue and the cationic amphiphilic drug chlorpromazine both inhibit endocytosis into the gut primodium.
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  • 80
    ISSN: 1432-041X
    Keywords: Key words Wnt ; Zebrafish ; Viscera ; Brain ; Neural tube ; Tailbud ; Presomitic mesoderm
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  Proteins encoded by the Wnt family of genes act as signals and have been shown to play important roles in a wide variety of developmental processes. Here we describe the cloning of three Wnt family members from the zebrafish, Danio rerio, which encode proteins with homology to murine Wnt-2, -4 and -5A/B. The expression patterns of the latter two zebrafish genes, designated ZfWnt4 and ZfWnt5 show considerable similarity with their homologues in other vertebrates; ZfWnt2, however, is expressed in the developing viscera in a pattern distinct from its closest murine homologue. In the light of the similarities and differences in the patterns of expression of these genes relative to their homologues in other vertebrates, we speculate on their possible functions.
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  • 81
    ISSN: 1432-041X
    Keywords: Key words Ricin ;  GAL4 ; FLP recombination ; Mushroom bodies ; Giant neuron
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  In Drosophila, P-GAL4 enhancer trap lines can target expression of a cloned gene, under control of a UASGAL element, to any cells of interest. However, additional expression of GAL4 in other cells can produce unwanted lethality or side-effects, particularly when it drives expression of a toxic gene product. To target the toxic gene product ricin A chain specifically to adult neurons, we have superimposed a second layer of regulation on the GAL4 control. We have constructed flies in which an effector gene is separated from UASGAL by a polyadenylation site flanked by two FRT sites in the same orientation. A recombination event between the two FRT sites, catalysed by yeast FLP recombinase, brings the effector gene under control of UASGAL. Consequently, expression of the effector gene is turned on in that cell and its descendants, if they also express GAL4. Recombinase is supplied by heat shock induction of a FLP transgene, allowing both timing and frequency of recombination events to be regulated. Using a lacZ effector (reporter) to test the system, we have generated labelled clones in the embryonic mesoderm and shown that most recombination events occur soon after FLP recombinase is supplied. By substituting the ricin A chain gene for lacZ, we have performed mosaic cell ablations in one GAL4 line that marks the adult giant descending neurons, and in a second which marks mushroom body neurons. In a number of cases we observed loss of one or both the adult giant descending neurons, or of subsets of mushroom body neurons. In association with the mushroom body ablations, we also observed misrouting of surviving axons.
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  • 82
    ISSN: 1432-041X
    Keywords: Key words hairy-E(spl) homologues ; Zebrafish ; Midbrain primordium
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  her5 encodes a basic helix-loop-helix (bHLH) protein with all features characteristic of the Drosophila hairy-E(spl) family. her5 is expressed in a band of cells within the neural anlage from about 90% epiboly on to at least 36 h postfertilization (hpf). After completion of brain morphogenesis, her5-expressing cells are located in the caudal region of the midbrain, at the boundary with the rhombencephalon. Labelling of cells within the her5 expression domain in the neural plate by injection of fluorescein-dextran allows their labelled progeny to be localized in the 36-hpf-old embryo using an anti-fluorescein antibody. This shows that the her5 expression domain corresponds to the midbrain primordium, including both the tectum and the tegmentum, in the neural plate. A possible function for her5 in regionalization of the brain and/or control of the midbrain-hindbrain boundary is discussed.
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  • 83
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    Development genes and evolution 206 (1996), S. 161-168 
    ISSN: 1432-041X
    Keywords: Key words Limb morphogenesis ; Crustaceans ; Triops
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  Recent advances in developmental genetics of Drosophila have uncovered some of the key molecules involved in the positioning and outgrowth of the leg primordia. Although expression patterns of these molecules have been analyzed in several arthropod species, broad comparisons of mechanisms of limb development among arthropods remain somewhat speculative since no detailed studies of limb development exist for crustaceans, the postulated sister group of insects. As a basis for such comparisons, we analysed limb development in a primitive branchiopod crustacean, Triops longicaudatus. Adults have a series of similar limbs with eight branches or lobes that project from the main shaft. Phalloidin staining of developing limbs buds shows the distal epithelial ridge of the early limb bud exhibits eight folds that extend in a dorsal ventral (D/V) arc across the body. These initial folds subsequently form the eight lobes of the adult limb. This study demonstrates that, in a primitive crustacean, branched limbs do not arise via sequential splitting. Current models of limb development based on Drosophila do not provide a mechanism for establishing eight branches along the D/V axis of a segment. Although the events that position limbs on a body segment appear to be conserved between insects and crustaceans, mechanisms of limb branching may not.
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  • 84
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    Development genes and evolution 206 (1996), S. 180-194 
    ISSN: 1432-041X
    Keywords: Key words Positional information ; Pattern formation ; decapentaplegic ; wingless ; Leg
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  Genetically mosaic flies were constructed which lack a functional decapentaplegic (dpp) or wingless (wg) gene in portions of their leg epidermis, and the leg cuticle was examined for defects. Although dpp has previously been shown to be transcribed both ventrally and dorsally, virtually the only dpp-null clones that affect leg anatomy are those which reside dorsally. Conversely, wg-null clones only cause leg defects when they reside ventrally – a result that was expected, given that wg is only expressed ventrally. Both findings are consistent with models of leg development in which the future tip of the leg is specified by an interaction between dpp and wg at the center of the leg disc. Null clones can cause mirror-image cuticular duplications confined to individual leg segments. Double-ventral, mirror-image patterns are observed with dpp-null clones, and double-dorsal patterns with wg-null clones. Clones that are doubly mutant (null for both dpp and wg) manifest reduced frequencies for both types of duplications. Duplications can include cells from surrounding non-mutant territory. Such nonautonomy implies that both dpp and wg are involved in positional signaling, not merely in the maintenance of cellular identities. However, neither gene product appears to function as a morphogen for the entire leg disc, since the effects of each gene’s null clones are restricted to a discrete part of the circumference. Interestingly, the circumferential domains where dpp and wg are needed are complementary to one another.
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  • 85
    ISSN: 1432-041X
    Keywords: Key words Retroviral vector ; Heart morphogenesis ; Chick embryo ; Morphometric analysis
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  By means of a reporter gene we previously demonstrated that non-replicative Avian Leukemia Virus- and Spleen Necrosis Virus-based retroviral vectors were preferentially expressed in the heart of avian embryos from different species. Using a computer-assisted approach, we now compare clones tagged by the two types of vectors, for volume, anatomical and subanatomical localisation, number of Hoechst-stained cell nuclei and mean cell division time during the period of heart morphogenesis, i.e. from stages 17–19 to 34 of Hamburger and Hamilton (1951). This analysis demonstrates that clones labelled by the two types of viruses display similar features and bring about new insights on the relationships between mitotic and migratory properties of the myocardial cells and histogenesis of the heart. Since only exteriormost cells were tagged with our inoculation procedure, our analysis shows that: (1) at stages 17–19, the myocardium is composed of cells with diverse potentials; some cells still retain the capacity to divide extensively and participate to different heart muscle layers, whilst most are restricted in their multiplication potential and contribute to single muscle layers; (2) about half of the clones are located deep in the heart wall, revealing extensive cell migrations from the heart surface to the ventricular trabeculae, the first migrating cells tagged being detected 20 h after viral inoculation. The presence of these cells is consistent with the finding of a large number of compact trabecular clones 5 days later suggesting that these cells divide mainly after completing migration. Our approach provides new insights as well as quantitative data on the different processes involved in heart morphogenesis, namely multiplication, migration and localisation of heart muscle cells.
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    Development genes and evolution 206 (1996), S. 195-206 
    ISSN: 1432-041X
    Keywords: Key words Pigment cell ; Retina ; Melanocyte ; Neural crest ; Xenopus
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  Pigment cells in vertebrate embryos are formed in both the central and peripheral nervous system. The neural crest, a largely pluripotent population of precursor cells derived from the embryonic neural tube, gives rise to pigment cells which migrate widely in head and trunk.The retinal pigment epithelium is derived from the optic cup, which arises from ectoderm of the neural tube. We have generated an antibody, ips6, which stains an antigen common to pigment cells of retinal pigment epithelium and neural crest. Ips6 stains retinal pigment epithelium and choroid as well as a subset of crest cells that migrate in pathways typical of melanoblasts. Immunoreactivity is seen first in the eye and later in a subset of migrating crest cells. Crest cells in the amphibian embryo migrate along specific, stereotyped routes; ips6 immunoreactive cells are found in some but not all of these pathways. In older wild-type embryos, cells expressing ips6 appear coincident with pigment-containing cells in the flank, head, eye and embryonic gut. In older animals, staining in the eye extends to the intraretinal segment of optic nerve and interstices between photoreceptors and cells at the retinal periphery. We suggest that the ips6 antibody defines an antigen common to pigment cells of central and peripheral origin.
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  • 87
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    Development genes and evolution 206 (1996), S. 207-217 
    ISSN: 1432-041X
    Keywords: Key words Nasonia vitripennis ; Wolbachia ; Paternal sex ratio
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  The paternal sex ratio chromosome (PSR) is a paternally-inherited supernumerary chromosome found in some males of Nasonia vitripennis. PSR induces the loss of N. vitripennis’s paternal autosomes in early fertilized embryos. Previous examinations have not directly addressed the complication of PSR’s co-occurrence with Wolbachia. Wolbachia is the name assigned to a group of cytoplasmic bacteria which induce numerous reproductive alterations in their hosts. In Nasonia, Wolbachia cause cytoplasmic incompatibility (CI) which also results in paternal chromosome loss. Here we address the question of whether PSR’s function (i.e. PSR’s transmission and/or ability to induce chromosome loss) depends upon or interacts with Wolbachia. A strain of PSR males is artificially cleared of Wolbachia. Test crosses and cytological observations of this strain demonstrate that PSR’s transmission and ability to induce chromosome loss is not dependent upon Wolbachia. Comparisons suggest an absence of interactions between PSR and Wolbachia when they co-occur. Fluorescent and confocal microscopy are used to examine and compare early embryos. Observations demonstrate that microtubule interactions with chromatin do not appear to cause the initial loss of the paternal chromosomes. Cytological observations presented here also differ from previous reports of PSR- and Wolbachia-induced chromosome loss.
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  • 88
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    Development genes and evolution 206 (1996), S. 218-226 
    ISSN: 1432-041X
    Keywords: Key words Ascidians ; Pharyngeal gill ; Specific gene expression ; Origin of chordates
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  The most primitive chordates may have arisen with a shift to internal feeding through the use of the pharyngeal gill slits and endostyle for extracting suspended food from the water. Therefore, the pharyngeal gill and endostyle, in addition to notochord and nerve cord, are structures key to an understanding of the molecular developmental mechanisms underlying the origin and evolution of chordates. In this and a following study, isolation of cDNA clones for genes that are specifically expressed in the pharyngeal gill or endostyle in the ascidian Halocynthia roretzi was attempted. Differential screening of a pharyngeal gill cDNA library and an endostyle cDNA library with total pharyngeal-gill cDNA probes yielded cDNA clones for two pharyngeal gill-specific genes, HrPhG1 and HrPhG2. Northern blot analysis showed a 3.0-kb transcript of HrPhG1 and a 2.0-kb transcript of HrPhG2. Predicted amino acid sequences of the gene products suggested that both genes encode secretory proteins with no significant match to known proteins. In adults, both HrPhG1 and HrPhG2 genes were only expressed in the pharyngeal gill and not in other tissues including the endostyle, body-wall muscle, gonad, gut and digestive gland. HrPhG1 and HrPhG2 transcripts were undetectable in embryos and larvae, and were first detected in juveniles 3 days after initiation of metamorphosis. In situ hybridization revealed that the expression of HrPhG1 and HrPhG2 was restricted to differentiating pharyngeal-wall epithelium, with intense signals in the area surrounding the stigma or gill slit. These genes may serve as probes for further analyses of molecular mechanisms underlying the occurrence of pharyngeal gill and formation of gill slits during chordate evolution.
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    Development genes and evolution 206 (1996), S. 227-235 
    ISSN: 1432-041X
    Keywords: Key words Ascidians ; Endostyle ; Specific gene expression ; Origin of chordates
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  The endostyle is a special organ in the pharynx of Urochordata, Cephalochordata and Cyclostomata. This organ may have arisen in their common ancestor with a shift to internal feeding for extracting suspended food from the water. In addition, the endostyle has functional homology to the vertebrate thyroid gland. The endostyle is therefore another key structure in the understanding of the origin and evolution of chordates. Following a previous report of the pharyngeal gill-specific genes, we report here the isolation and characterization of cDNA clones for endostyle-specific genes HrEnds1 and HrEnds2 of the ascidian Halocynthia roretzi. These cDNA clones were obtained by differential screening of an endostyle cDNA library and a pharyngeal gill cDNA library with total endostyle cDNA probes. Both transcripts were abundant in the library; each represented about 10% of the cDNA clones of the library. The HrEnds1 transcript was small in size, about 600 bp in length. Although the predicted amino acid sequence of the gene product showed no similarity to known proteins, mean hydropathy profiles suggested that HrENDS1 is a type Ib protein or secreted protein. The HrEnds2 transcript was about 2.5 kb in length. Although the HrEnds2 gene product showed no sequence similarity to known proteins, mean hydropathy profiles suggested that HrENDS2 is a secreted protein. The transcripts of both genes were not detected in embryos, larvae and early juveniles but were evident in 1-month-old young adult after several compositional zones were organized in the endostyle. In situ hybridization revealed that distribution of transcripts of both genes was restricted to zone 6, the protein-secreting glandular element of the endostyle. These genes may be useful for further analysis of molecular mechanisms involved in endostyle development.
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  • 90
    ISSN: 1432-041X
    Keywords: Key words Tribolium castaneum ; TGF-β superfamily ; Decapentaplegic ; Dorsal/ventral axis ; Appendage development
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  We are characterizing members of the Transforming Growth Factor-β (TGF-β) superfamily in the red flour beetle, Tribolium castaneum, in order to examine the evolutionary conservation of the structure and function of TGF-β-like genes during insect development. A decapentaplegic-like gene of the TGF-β superfamily was isolated in Tribolium (Tc dpp) that is similar in sequence, organization, and expression to the Drosophila melanogaster dpp gene (Dm dpp). Conserved features include a high degree of sequence similarity in both the pro-domain and mature domains of the encoded polypeptide. In addition, the position of an intron within the protein-coding region is conserved in Tc dpp, Dm dpp, and two bone morphogenetic protein genes of the TGF-β superfamily in humans, BMP2 and BMP4. Consensus binding sites for the dorsal transcription factor are found within this intron in Tc dpp similar to the intronic location of several dorsal binding sites in Dm dpp. During embryogenesis, Tc dpp is expressed in an anterior cap of serosa cells at the blastoderm stage, in the dorsal ectoderm at the lateral edges of the developing and extended germ band, and in the distal tips of developing embryonic appendages. Several aspects of embryonic expression, similar in both flies and beetles, suggest conserved roles for dpp in cellular communication during the development of these distantly related insects.
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  • 91
    ISSN: 1432-041X
    Keywords: Key words Hydra ; Insulin ; Development ; Receptor ; Evolution
    Source: Springer Online Journal Archives 1860-2000
    Topics: Biology
    Notes: Abstract  A gene encoding a receptor protein-tyrosine kinase closely related to the vertebrate insulin receptor has been identified in the Cnidarian Hydra vulgaris. The gene is expressed in both epithelial layers of the adult polyp. A particularly high level of expression is seen in the ectoderm of the proximal portions of the tentacles and in a ring of ectodermal cells at the border between the foot basal disk and body column. The expression pattern of the gene in asexual buds is dynamic; expression is high throughout the newly emerging bud but the area of high expression becomes restricted to the apex as the bud lengthens. When the bud begins hypostome and tentacle formation, a high level of expression appears at the bases of the emerging tentacles. Finally, a ring of high expression appears just above the foot of the bud, completing the pattern seen in the adult polyp. The presence of this receptor and its pattern of expression suggested that an endogenous molecule related to insulin plays a role in regulating cell division in the body column and in differentiation of the tentacle and foot cells in Hydra, with the switch between the two being determined by the level of the receptor. Treatment of Hydra polyps with mammalian insulin caused an increase in the number of ectodermal and endodermal cells undergoing DNA synthesis.
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  • 92
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    The chemical educator 1 (1996), S. 1-5 
    ISSN: 1430-4171
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    Topics: Chemistry and Pharmacology
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    The chemical educator 1 (1996), S. 1-3 
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    The chemical educator 1 (1996), S. 1-10 
    ISSN: 1430-4171
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    Topics: Chemistry and Pharmacology
    Notes: Abstract A simple model of a crystalline solid that leads to an electronic band structure is presented. The development requires no quantum mechanics beyond that taught in most physical chemistry courses and can be taught in a single one-hour lecture.
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  • 95
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    The chemical educator 1 (1996), S. 1-12 
    ISSN: 1430-4171
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    Topics: Chemistry and Pharmacology
    Notes: Abstract Filed away in Gertrude Belle Elion’s cluttered office are letters like this: Dear Ms. Elion: I opened my newspaper this morning and through many tears read of your great honor, the Nobel Prize. My daughter Tiffany was stricken with herpes encephalitis in September, 1987. A neurologist said the only hope for her was possibly the drug acyclovir. I have thanked the Lord so many times that he blessed you with the determination, stamina, love, and patience to work all of the long hours, days, months, and years it takes to invent a new drug. Tiffany is a senior in high school this year and doing great. May the Lord bless you beyond your wildest dreams.
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    The chemical educator 1 (1996), S. 1-10 
    ISSN: 1430-4171
    Source: Springer Online Journal Archives 1860-2000
    Topics: Chemistry and Pharmacology
    Notes: Abstract Field-flow fractionation (FFF) is a family of techniques used to characterize macromolecules, colloids, and particulate materials, primarily by size, but in some cases by composition as well. FFF has many similarities to chromatography, but it also has several unique differences. Like liquid chromatography, small amounts of material are separated as they are carried through a channel by a stream of liquid. Certain materials move more slowly through the channel than others, and the amount of carrier liquid required to sweep a given material from inlet to outlet is used to characterize particular features of the material.
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    The chemical educator 1 (1996), S. 1-7 
    ISSN: 1430-4171
    Source: Springer Online Journal Archives 1860-2000
    Topics: Chemistry and Pharmacology
    Notes: Abstract A surprising number of early American chemistry books were written for children. While most were at an intermediate level, this paper reviews three that were written for the early grades. These books provide a quaint insight into the society as well as the science of the nineteenth century. Since they were small and cheaply made, only a few copies have survived. Figure 1 contains black and write reproductions of the title pages as well as a color photograph of the three books. To illustrate their style, several pages of each are available in the supporting files: la11.pdf (178 Kbytes), davy.pdf (974 Kbytes), and green.pdf (318 Kbytes). The early American spirit of inevitable progress was as wide as the new United States itself. The faith that society could “lift itself by its bootstraps” prompted an emphasis on applied science. Independence from Europe, conquering the west, and utilization of natural resources created a demand for technical education. Public lectures on science were eagerly attended by adults. Colleges replaced classical studies with practical subjects. Chemistry became a standard course in academies and high schools.
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    The chemical educator 1 (1996), S. 1-32 
    ISSN: 1430-4171
    Source: Springer Online Journal Archives 1860-2000
    Topics: Chemistry and Pharmacology
    Notes: Abstract Following the tenets of a re-integrative philosophical framework for curriculum design and educational objectives, we provide strategies that describe our effort to change the educational experience of beginning college students in introductory chemistry. We focus on the explicit connection between instructional goals and practices. For instructors and students, whom we view as collaborators in learning, we address how mental models for instruction and information can affect the classroom environment. We also describe a series of classroom, laboratory, and outside-of-class tasks that are intended to promote meaningful engagement by individual students within the context of these recommendations.
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    The chemical educator 1 (1996), S. 1-5 
    ISSN: 1430-4171
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    Topics: Chemistry and Pharmacology
    Notes: Abstract A lesson is described in which students interactively derive the dilution equation, CiVi = CfVf. Qualitative description and mathematical modeling are utilized to promote students’ conceptual understanding of this equation.
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    The chemical educator 1 (1996), S. 1-14 
    ISSN: 1430-4171
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    Topics: Chemistry and Pharmacology
    Notes: Abstract In recent years a number of exciting developments have emerged in the area of scientific computational tools for classroom use. Computer Algebra Systems (CASs), for example, Maple, are at the forefront of this arena. Such tools have been long sought by teachers of physical chemistry, inherently a mathematics intensive subject. With a CAS at hand, students can look forward to taking college science courses, like physical chemistry, without the usual mathematics anxiety. These tools can be used to do numerical and symbolic mathematics including calculus and linear algebra. In addition, they have wonderful graphics capabilities that include three-dimensional plots, contour plots, and animations. This paper describes the implementation of Maple in two junior-level physical chemistry courses. The materials used for beginning workshops are presented here and additional examples of Maple’s graphic and algebraic capabilities are described.
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