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In this work, two-phase flows of Newtonian and/or viscoelastic fluids in a ‘cross-slot’ geometry are investigated both experimentally and numerically in the creeping-flow limit. A series of microfluidic experiments – using Newtonian fluids – have been carried out in different cross-section aspect ratios to support our numerical simulations. The numerical simulations rely on a volume of fluid method and make use of a log-conformation formulation in conjunction with the simplified viscoelastic Phan-Thien and Tanner model. Downstream from the central cross, once the flow has become fully developed, we also estimate analytically the thickness of each fluid layer for both two- and three-dimensional cases. In addition to providing a benchmark test for our numerical solver, these analytical results also provide insight into the role of the viscosity ratio. Injecting two fluids with different elastic properties from each inlet arm is shown to be an effective approach to stabilize the purely elastic instability observed in the cross-slot geometry based on the properties of the fluid with the larger relaxation time. Our results show that interfacial tension can also play an important role in the shape of the interface of the two fluids near the free-stagnation point (i.e. in the central cross). By reducing the interfacial tension force, the interface of the two fluids becomes curved and this can consequently change the curvature of streamlines in this region which, in turn, can modify the purely elastic flow transitions. Thus, increasing interfacial tension is shown to have a stabilizing effect on the associated steady symmetry-breaking purely elastic instability. However, at high values of the viscosity ratio, a new time-dependent purely elastic instability arises most likely due to the change in streamline curvature observed under these conditions. Even when both fluids are Newtonian, outside of the two-dimensional limit, a weak instability arises such that the fluid interface in the depth (neutral) direction no longer remains flat.
In recent years there has been a rapprochement between history and archaeology in Britain and Ireland. Two formerly quite distinct disciplines have learned to appreciate how documents and artefacts together can enrich our understanding of everyday life. Always important to understandings of classical, Dark Age, and medieval society, archaeology has also opened up new horizons for appreciating domestic and industrial buildings, burial patterns, urban morphology, land use and environment, and the consumption of both food and objects in the early modern period. I look at some recent research that has enhanced our knowledge of local, regional, national and transnational identities in a sometimes poorly understood ‘fringe’ area of Europe.
As small- and medium-sized farms struggle to remain viable in a competitive global economy, the expanding specialty food industry provides a potential marketing opportunity. These farms raise many of the farm products that can become the key ingredients in value-added foods. Little research exists about processed specialty foods made from locally/regionally sourced ingredients produced by small- and medium-sized farms. This study investigates the benefits, barriers and challenges for small- and medium-sized farmers who want to sell products to specialty food manufacturers (SFMs). This paper analyzes 240 survey responses from dairy, meat, fruit/vegetable/nuts and grain specialty manufacturers and 60 in-depth interviews of these manufacturers and farmers in California, Minnesota, Wisconsin, Washington and Oregon. We found that almost half of the manufacturers surveyed source primary ingredients directly from farms or from their own farm. More than half of the farms that supply these key ingredients are small or medium-sized, indicating that many farms in this category are already successfully supplying SFMs with key ingredients. The key benefits manufacturers receive from working with these farms included quality assurance, trust, and traceability. Key obstacles to such farmer/manufacturer transactions are: cost, inability to meet volume requirements, unreliable supply and lack of year-round supply. The nature of relationships between manufacturers and farmers emerged as a theme that influences the success of small- and medium-sized farms as ingredient suppliers. Whether they were large or small, most manufacturers purchased their key ingredients from multiple suppliers in order to reduce their risk. Overall, we find evidence that the specialty food industry is an emerging market channel for small- and medium-sized farms. We also find that to be successful suppliers of SFMs, farmers need to have processes in place to ensure the quality of their products; provide the specific attributes the manufacturer requires for its ingredients and be willing to communicate frequently with the manufacturer.
Palmer amaranth is one of the most problematic weeds in the midsouthern United States, and the evolution of resistance to protoporphyrinogen oxidase (PPO) inhibitors in biotypes already resistant to glyphosate and acetolactate synthase (ALS) inhibitors is a major cause of concern to soybean and cotton growers in these states. A late-season weed-escape survey was conducted in the major row crop–producing counties (29 counties) to determine the severity of PPO-inhibitor resistance in Arkansas. A total of 227 Palmer amaranth accessions were sprayed with fomesafen at 395 g ha−1 to identify putative resistant plants. A TaqMan qPCR assay was used to confirm the presence of the ΔG210 codon deletion or the R128G/M (homologous to R98 mutation in common ragweed) target-site resistance mechanisms in the PPX2 gene. Out of the 227 accessions screened, 44 were completely controlled with fomesafen, and 16 had only one or two severely injured plants (≥98% mortality) when compared with the 1986 susceptible check (100% mortality). The remaining 167 accessions were genotypically screened, and 82 (49%) accessions were found to harbor the ΔG210 deletion in the PPX2 gene. The R128G was observed in 47 (28%) out of the 167 accessions screened. The mutation R128M, on the other hand was rare, found in only three accessions. About 13% of the accessions were segregating for both the ΔG210 and R128G mutations. Sixteen percent of the tested accessions had mortality ratings <90% and did not test positive for the ΔG210 or the R128G/M resistance mechanisms, indicating that a novel target or non–target site resistance mechanism is likely. Overall, PPO inhibitor–resistant Palmer amaranth is widespread in Arkansas, and the ΔG210 resistance mechanism is especially dominant in the northeast corridor, while the R128G mutation is more prevalent in counties near Memphis, TN.
The Yellow Chat Epthianura crocea is comprised of three disjunct subspecies. Subspecies E. c. macgregori (Capricorn Yellow Chat) is listed as Critically Endangered under the EPBC Act and has a distribution that also appears to be disjunct, with a limited geographic area of less than 7,000 ha. Some populations are threatened by rapid industrial development, and it is important for conservation of the subspecies to determine the extent to which the putative populations are connected. We used 14 microsatellite markers to measure genetic diversity and to determine the extent of gene flow between two disjunct populations at the northern and southern extremes of the subspecies’ range. No significant differences in genetic diversity (number of alleles and heterozygosity) were observed, but clear population structuring was apparent, with obvious differentiation between the northern and southern populations. The most likely explanation for reduced gene flow between the two populations is either the development of a geographic barrier as a consequence of shrinkage of the marine plains associated with the rise in sea levels following the last glacial maxima, or reduced connectivity across the largely unsuitable pasture and forest habitat that now separates the two populations, exacerbated by declining population size and fewer potential emigrants. Regardless of the mechanism, restricted gene flow between these two populations has important consequences for their ongoing conservation. The relative isolation of the smaller southern groups (the Fitzroy River delta and Curtis Island) from the much larger northern group (both sides of the Broad Sound) makes the southern population more vulnerable to local extinction. Conservation efforts should focus on nature refuge agreements with land owners agreeing to maintain favourable grazing management practices in perpetuity, particularly in the northern area where most chats occur. Supplemental exchanges of individuals from northern and southern populations should be explored as a way of increasing genetic diversity and reducing inbreeding.
The average population size of Capricorn Yellow Chat Epthianura crocea macgregori was estimated at 251 +/-31 (SE) by repeated surveys over seven years (2004–2010) using consistent search effort at known occupied sites. Because the survey period coincided with a mixture of dry and wet years (drought from 2004 to 2007 followed by flood rainfall in early 2008 and 2010), it is particularly valuable as a preliminary benchmark upon which to base management decisions. Most of the population (74.5%) was in the Broad Sound area in the north, with lower numbers in the Fitzroy River delta area in the south (22%) and at Curtis Island (3.5%). Sites on Torilla Plain in Broad Sound accounted for two-thirds of the estimated population, making it a priority for conservation efforts. Depending on habitat configuration, some Capricorn Yellow Chats showed a seasonal pattern of habitat use, moving from flooded breeding habitats as they dried to refuge sites such as salt fields or upper marine plains in the dry season; distances moved being < 10 km. Standard surveys from Torilla Plain showed that the chat count during a sequence of above-average rainfall years was almost double that of the average for drought years: 162 +/-28 (2008–2015) compared with 85 +/-15 (2004–2007) respectively. Low population size, large annual fluctuations in population with prior rainfall, rapid declines in low rainfall years, a fragmented distribution and almost half the population concentrated at one site point to a subspecies vulnerable to chance events. Increased climatic extremes predicted by climate change such as higher temperatures, evaporation rates, extended droughts and more intense rainfall events add to its vulnerability.
The volume of publications on social history in the last decade has been enormous. The Royal Historical Society's Annual Bibliography of British History contains hundreds of new items each year, so many that keeping up with the latest research is almost impossible except within limited fields. The very quantity of material is a testament to the success of what has been termed the “new social history.” Taking as its focus the lives of the masses, this approach employs concepts and techniques drawn from cognate disciplines such as sociology, anthropology, and statistics to uncover the rich complexity of everyday life in the past. New interests, new methods, and a fresh look at underused primary sources: these are the hallmarks. This is not to say that it is a homogeneous “movement” since there are vigorous debates about central issues such as the use of theory and about the correct balance between quantification and traditional qualitative, intuitive approaches.
The new social history has had a profound effect on the way in which all historians deal with their subject and even on its critics. That social history has arrived as a leader in historical analysis is amply attested by G. R. Elton's recent call to political historians not to accept reduction to the status of its poor cousins. The subject's position is assured, and its achievements have been substantial. This article deals with the main areas of research in social history: population, social structure, education and literacy, women, religion, and the family.
In recent years scholars have begun to ask new and exciting questions about the lives of the ordinary people of Scotland in the centuries before the Industrial Revolution. The essays in this volume, written by some of the foremost figures in Scottish social history, cover many significant themes in pre-industrial Scottish society: poverty, diet, social organisation and change, urban development, population mobility and the status of women. The editors have provided an introductory overview of Scottish society analysing such topics as population, social structure, law and order, religion and popular culture. The approach throughout is a comparative one aimed at highlighting both the similarities and the distinctive features of Scottish society when compared with those of the rest of the British Isles and continental Europe. Two concluding chapters provide insights from specialists on Irish and English society into how Scotland fits into the context of 'British' social development.
We describe an unusual heart in which double outlet from the left atrium resulted in atrioventricular connections to a dominant left ventricle and to a left-sided rudimentary right ventricle, while the right atrium also connected to the left ventricle. This produced, in effect, double inlet left ventricle in association with discordant atrioventricular connections. The diagnosis was made by echocardiography and confirmed at post mortem examination.
The profiles of neuropsychological deficits associated with Alzheimer's disease (AD) in Young-Old (M age < 70) and Very-Old (M age > 80) patients were compared, along with possible modifying effects of apolipoprotein E (APOE) genotype on these profiles. A comprehensive battery of neuropsychological tests was administered to the two AD patient groups (Young-Old: n = 33; Very-Old: n = 48) and their respective age-matched normal control (NC) groups who remained free of dementia on follow-up examinations over a 1 to 10 year period (Young-Old: n = 43; Very-Old: n = 36). AD and NC groups did not differ in education levels or gender distributions. Young-Old AD and Very-Old AD groups were comparable in education, gender, dementia severity, and disease duration. Results showed that both AD groups achieved comparable raw scores on all the neuropsychological measures. However, when scores were standardized on the basis of performance of their respective NC groups (i.e., age-corrected z scores), Very-Old AD patients significantly outperformed Young-Old AD patients on tests of executive functions, visuospatial skills, and delayed memory. Furthermore, the relationship between age and memory and executive function deficits in AD was modified by APOE genotype. These data suggest that the profile of neuropsychological deficits associated with AD in the Very-Old lacks the disproportionate saliency of episodic memory and executive function deficits typical of the Young-Old. (JINS, 2003, 9, 783–795.)
The inscribed miniature jar shown in the photograph (Plate VI (c)) and drawing Fig. 1) is part of a collection of artifacts purchased many years ago in Palestine that was recently donated to Ashland University in Ohio (United States) by Professor and Mrs. Delbert H. Flora. Only 5.2 cm. in height and 5.5 cm. in diameter, the vessel has a biconical, wheelmade body and a string-cut base. The ware, which appears to be Syro-Palestinian, is moderately well levigated and fired light brown. Inclusions, so far as they can be discerned, consist predominantly of quartz and chert particles in various sizes, both angular and round, as well as of some small limestone and unidentified rock fragments. The upper portion of the exterior and the interior of the rim display remnants of a dark brownish-black slip imitating black gloss (‘glaze’); in places where it was thinly applied, the slip has become pale brown or has disappeared entirely.