Academic literature on the topic '3315k'

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Journal articles on the topic "3315k"

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Kriauciuniene, L., and A. Paunksnis. "3315." Ultrasound in Medicine & Biology 32, no. 5 (May 2006): P244. http://dx.doi.org/10.1016/j.ultrasmedbio.2006.02.1087.

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Uyeda, Masaru, Keitarou Suzuki, and Motoo Shibata. "3315-AF2, a Cell Aggregation Factor Produced byStreptomycessp. Strain No. A-3315." Agricultural and Biological Chemistry 54, no. 1 (January 1990): 251–52. http://dx.doi.org/10.1080/00021369.1990.10869902.

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UYEDA, Masaru, Keitarou SUZUKI, and Motoo SHIBATA. "3315-AF2, a cell aggregation factor produced by Streptomyces sp. strain No. A-3315." Agricultural and Biological Chemistry 54, no. 1 (1990): 251–52. http://dx.doi.org/10.1271/bbb1961.54.251.

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Cuomo, Serafina. "Time Surveyed - (R.) Hannah Time in Antiquity. Pp. xiv + 206, figs, ills. London and New York: Routledge, 2009. Paper, £21.99 (Cased, £65). ISBN: 978-0-415-33156-2 (978-0-415-33155-5 hbk)." Classical Review 60, no. 1 (March 8, 2010): 152–54. http://dx.doi.org/10.1017/s0009840x09990813.

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Marangou, Christina. "Douglass W. Bailey, Prehistoric Figurines: Representation and Corporeality in the Neolithic. (London and New York: Routledge, 2005, xx + 243 pp., 64 + 5 figs, ISBN hbk 0 415 33151 X, pbk 0 415 33152 8)." European Journal of Archaeology 11, no. 2-3 (2008): 283–85. http://dx.doi.org/10.1179/eja.2008.11.2-3.283.

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Skeates, Robin. "Book reviews - Douglass W. Bailey. Prehistoric Figurines: Representation and Corporeality in the Neolithic. xx+244 pages, 69 illustrations. 2005. Abingdon & New York: Routledge; 0-415-33151-X hardback; 0-415-33152-8 paperback £25.99." Antiquity 81, no. 313 (September 1, 2007): 801–2. http://dx.doi.org/10.1017/s0003598x00095806.

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Marangou, C. "Book Review: Douglass W. Bailey, Prehistoric Figurines: Representation and Corporeality in the Neolithic. (London and New York: Routledge, 2005, xx + 243 pp., 64 + 5 figs, ISBN hbk 0 415 33151 X, pbk 0 415 33152 8)." European Journal of Archaeology 11, no. 2-3 (August 1, 2008): 283–85. http://dx.doi.org/10.1177/14619571080110020808.

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AGARI, Shin'ichi, and Kenjiro T. MIURA. "3315 Applications of Log-aesthetic Curves for Styling Design." Proceedings of Design & Systems Conference 2008.18 (2008): 577–81. http://dx.doi.org/10.1299/jsmedsd.2008.18.577.

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Nishida, Shin-ichiro, Satomi Kawamoto, and Shoichi Yoshimura. "3315 Extension Rate Control of an Electro-dynamic Tether." Proceedings of the JSME annual meeting 2005.5 (2005): 357–58. http://dx.doi.org/10.1299/jsmemecjo.2005.5.0_357.

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KANDA, Kensuke, Satoshi ISHIKAWA, Junya OGAWA, Takaaki SUZUKI, Isaku KANNO, and Hidetoshi KOTERA. "3315 Evaluation of oscillating characteristics for external-driving micropump." Proceedings of the JSME annual meeting 2007.7 (2007): 317–18. http://dx.doi.org/10.1299/jsmemecjo.2007.7.0_317.

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Dissertations / Theses on the topic "3315k"

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La, Rocca Antonino. "Thermal analysis of a high speed electrical machine." Thesis, University of Nottingham, 2016. http://eprints.nottingham.ac.uk/33156/.

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This work has analysed, designed, commissioned and validated the performance of a novel cooling system for an innovative high speed, three-phase synchronous permanent magnet machine designed for an aero-engine starter/generator with a power rating of 45 kW and maximum speed of 32,000 rpm. The cooling system designed consisted into inserting a 1 mm non-electrically conductive stator sleeve in the machine airgap, this separates the rotor region from the stationary components letting the rotor running dry at all times; the stator region can then be flooded with oil. Oil enters from one side of the machine through some radial openings impinging directly over the end-winding, it then flows through two rows of equally sized axial ducts located along the inner and outer diameter of the stator to give an even distribution of the coolant, and finally it flows over the surface of the rear end-winding and leaves the machine. The thermal modelling was carried out by the joint use of Computational Fluid Dynamics (CFD) and Lumped Parameter Thermal Network (LPTN); this allowed the investigation of heat transfer phenomena and the optimisation of the cooling design. CFD was primarily employed to investigate the fluid flow and to perform conjugate heat transfer analyses; these allowed the determination of heat transfer coefficients and the prediction of temperature distribution inside the machine. Thermal networks were developed to investigate the heat flow through machine components, to perform the design optimisation and to maximise overall machine performance. A thermal network was also developed by the author to investigate the heat transfer phenomena inside the bearing chambers. An experimental apparatus was designed and commissioned in order experimentally validate the thermal models developed. Temperatures, pressures and torque up to 20,000 rpm were recorded throughout the tests and data collected were compared to quantities predicted analytically and numerically. Maximum winding temperatures measured performing a short circuit test agree well with analytical and numerical prediction with a maximum difference of 10%; mechanical losses measured carrying out a no-load test agree well at speeds over 10,000 rpm with differences between 2 and 12%. Throughout tests, pressure drops were monitored across the machine and an agreement of 13% with prediction were achieved. Design improvements are also proposed to further enhance the cooling of stator slots and of rotor components.
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Donoho, Emily S. "Appeasing the saint in the loch and the physician in the asylum : the historical geography of insanity in the Scottish Highlands and Islands, from the early modern to Victorian eras." Thesis, University of Glasgow, 2012. http://theses.gla.ac.uk/3315/.

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This thesis examines the historical geography of lunacy in the Scottish Highlands and Islands. Using a wide variety of sources, the objective is to construct an expansive picture of the manner in which those labelled as “mad” were treated and managed in this peripheral region of mainland Britain, from the Medieval Period to the late-Victorian period. The scope includes Medieval Celtic manuscripts, nineteenth-century folklore collections, Lunacy Commissioners’ reports, Sheriff Court records, asylum case notes and various other documents besides. These sources open windows on a variety of vocabularies, writings, stories and proclamations through which madness was socially constructed, and then substantively treated, in this remotest of regions. In effect, the thesis sets regional folklore, as a way of accessing the “traditional” worlds of Highland madness from the “bottom-up”, in counterpoint to the likes of Lunacy Commissioners reports, as an instance of the “modernising” of these worlds through medical-institutional means from the “top-down”. The interlocking binaries here are to an extent then scrambled by exploring different dimensions of this interaction between “bottom-up” and “top-down”, charting continuities as well as breaks in attitudes and practices, and thereby constructing a tangled picture of how the Highlands have come to tackle this most challenging of human conditions. The account that follows is thoroughly informed by the historical, social and spatial context of the Highlands, always recognising that madness and its responses must be seen as indelibly placed, contextually shaped and ‘read’ through the region. While the historiography of madness and psychiatry has already considered the Scottish Lowlands experience from various angles, the Highlands have remained all but untouched and their archives unopened. This thesis begins the task of addressing this serious lacuna.
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Bolton, Jacqueline Louise. "Demarcating dramaturgy : mapping theory onto practice." Thesis, University of Leeds, 2011. http://etheses.whiterose.ac.uk/3315/.

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'Dramaturgy' and the 'dramaturg' have entered the discourse of English theatre practitioners over the past two decades. For individuals working within subsidized building-based producing theatres, understandings and applications of dramaturgical practice have been significantly shaped by the structures and objectives of literary management - a role, established within the industry since the 1990s, dedicated to the development of new plays and playwrights. In Germany, the dramaturgical profession dates back to the latter half of the eighteenth century and, since the twentieth century, has held a remit inclined more towards the programming and production of theatre works than the developing and commissioning of new theatre writing. In Germany and across mainland Europe, dramaturgs hold a recognized position at the heart of producing structures; in England, the role and status of the dramaturg are less defined. Despite a decade or so of concerted explanation and exploration, the concept of dramaturgy continues to be met with indifference, principally associated with practices of literary management which, this thesis shall argue, risk eliding the critical and creative scope of dramaturgy as it is practised on the continent. Through an assessment of the cultural, philosophical and economic contexts which inform processes of theatre-making, this thesis seeks to articulate and analyse these contrasting practices of dramaturgy. Chapters One and Two focus upon contemporary definitions of dramaturgy in England, addressing the role of the dramaturg within new play development and analysing the impact that distinctions between 'script-led' and 'non-script-led' approaches to theatre have had upon the reception of dramaturgical practice. Chapters Three and Four then compare those aspects of German and English theatre practice which I believe critically determine the agency of a dramaturg within production processes. These aspects may be summarized respectively as, on a microlevel, the relationship between text and performance and, on a macro-level, the relationship between theatre and society. This thesis regards dramaturgy as a creative practice defined in relation to a shared set of attitudes towards the production and reception of theatre, and argues that a specifically dramaturgical contribution to theatremaking rests in this analysis of the dynamic between performance and spectator.
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Wintcher, Amanda. "Post-palaeolithic rock art of northeast Murcia, Spain : an analysis of landscape and motif distribution." Thesis, Durham University, 2011. http://etheses.dur.ac.uk/3315/.

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Multiple studies demonstrate a connection between landscape and the distribution of rock art in Mediterranean Spain. Looking beyond styles as the primary analytical dimension, and instead focusing on similarities across style boundaries, can deepen our understanding of this connection. While previous studies of the relationship between post-Palaeolithic rock art and landscape have considered different classes of image, including humans, animals, and geometric shapes, they have maintained the primary split into the main styles defined in the Mediterranean region. This is problematic because each style has considerable variability, distinct distributions within the Iberian Peninsula, and different histories of development. Different styles frequently occur together, occasionally superimposed or showing multiple painting episodes. The styles were therefore at least partially contemporary, and did not correspond to distinct territories. Style may have been deliberately used to carry meaning, suggesting that the use of specific types of image was more closely related to landscape than the overall styles. A typology of motifs which transcends styles was created, and the frequency of the appearance of these motif types in specific landscape contexts and the combinations in which they appear together on panels was evaluated. The results suggest that there are indeed patterns beyond style, which may indicate different functions or meanings behind both image and place.
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Collins, Jacqueline A. "From lavender menace to lesbian heroic : representations of lesbian identities in contemporary Spanish fiction and film." Thesis, University of Sunderland, 2011. http://sure.sunderland.ac.uk/3315/.

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Shi, Xinxiang. "Diplomatic immunities ratione materiae under the Vienna Convention on Diplomatic Relations : towards a coherent interpretation." Thesis, University of Edinburgh, 2018. http://hdl.handle.net/1842/33152.

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Rules of diplomatic immunity, which nowadays are enshrined in the Vienna Convention on Diplomatic Relations, play an important role in interstate diplomacy because they ensure the efficient performance of diplomatic functions. This thesis investigates a particular form of diplomatic immunity - diplomatic immunity ratione materiae. Unlike diplomatic immunity ratione personae, which pertains to the personal status of a diplomatic agent, diplomatic immunity ratione materiae depends in essence on the official nature of a particular act In practice, however, the determination of diplomatic immunity ratione materiae may meet with many conceptual and practical difficulties. For one, it is not always easy to distinguish the official acts of a diplomatic agent, who represents the sending State in the receiving State, from his or her private acts. In case of disagreement between the two States, questions may also arise as to who has the authority to make a final determination. The Vienna Convention does not offer much guidance on these issues; on the contrary, the Convention complicates them by employing, without adequate explanation, distinct formulas for different kinds of diplomatic immunity ratione materiae. This thesis examines these formulas in detail. On a general level, it is submitted that diplomatic immunity ratione materiae for certain types of activity constitutes not only a procedural bar to court proceedings but also a substantive exemption of individual responsibility. More specifically, it is argued that each formula must be understood in the light of the rationale behind immunity, the type of immunity concerned, and the specific functions or duties performed. In case of controversy, weight should be given to the opinion of the sending State, although the authority to make a decision lies ultimately with the court of the receiving State.
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Barber, Jacob. "Disciplinarity, epistemic friction, and the 'Anthropocene'." Thesis, University of Edinburgh, 2018. http://hdl.handle.net/1842/33153.

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This thesis explores the scientific controversy over the 'Anthropocene', a putative new epoch of geological time conceived in 2000 by atmospheric chemist and earth system scientist Paul Crutzen. I trace the conception of the Anthropocene and explore its spread through a range of disciplines from the earth sciences to the humanities. Particular attention is paid to the Anthropocene Working Group (AWG) of the International Commission on Stratigraphy. This group was tasked with considering whether or not the Anthropocene should be subject to stratigraphic formalisation and be made 'real' insofar as the discipline of stratigraphy was concerned. The group's efforts, and the wide-ranging response to them, reveal the challenge of making sense of knowledge as it moves across different disciplines, settings, and contexts. While the AWG was tasked with producing a specifically stratigraphic response to the rising prominence of the Anthropocene, in performing their investigation the group took on board wide-ranging multidisciplinary expertise. As well as raising questions about the appropriate criteria for the group's investigation, the response to the group's efforts from a diverse range of disciplines illustrates the disunity of interdisciplinary work. The movement of the controversy from scholarly journals into an increasingly public sphere reveals further questions about the relationship between scientific authority and society as a whole. While different communities disagreed about the scientific value of the Anthropocene, many shared in their recognition of the role this scientific framing could play in fomenting a political response to anthropogenic global change. This thesis argues that scholarly debates about the Anthropocene illustrate questions about authority, epistemic privilege, and the relationship between disciplines that have ramifications beyond the controversy itself.
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Józsa, Tamás István. "Drag reduction by passive in-plane wall motions in turbulent wall-bounded flows." Thesis, University of Edinburgh, 2018. http://hdl.handle.net/1842/33155.

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Losses associated with turbulent flows dissipate a significant amount of generated energy. Such losses originate from the drag force, which is often described as the sum of the pressure drag and the friction drag. This thesis sets out to explore the hypothesis that passive wall motions driven by fluid mechanical forces are able to reduce the friction drag in fully developed turbulent boundary layers. Firstly, the streamwise and spanwise opposition controls proposed by Choi et al. (1994, Journal of Fluid Mechanics) are revisited to identify beneficial wall motions. Near-wall streamwise or spanwise velocity fluctuations are measured along a detection plane parallel to the wall (sensing). For streamwise control, the wall velocities are set to be equivalent to the measured streamwise velocity fluctuations, whereas for spanwise control, the wall velocities are set to have the same magnitude but opposite direction as the measured spanwise velocity fluctuations (actuation). Direct numerical simulations of canonical turbulent channel flows are carried out at low (Reτ ≈ 180) and intermediate (Reτ ≈ 1000) Reynolds numbers to quantify the effect of the distance between the wall and the detection plane. The investigation reveals the primary differences between the mechanisms underlying the two active in-plane controls. The modified flow features and turbulence statistics show that the streamwise control amplifies the most energetic streamwise velocity fluctuations and damps the near-wall vorticity fluctuations. In comparison, the spanwise control induces near-wall vorticity in order to counteract the quasi-streamwise vortices of the near-wall cycle and suppress turbulence production. Although, the working principles of the active controls are fundamentally different, both achieve drag reduction by mitigating momentum transfer between the velocity components. Secondly, two theoretical passive compliant wall models are proposed, the aim being to sustain beneficial wall motions identified by active flow control simulations. In the proposed models, streamwise or spanwise in-plane wall motions are governed by an array of independent one-degree-of-freedom damped harmonic oscillators. Unidirectional wall motions are driven by local streamwise or spanwise wall shear stresses. A weak coupling scheme is implemented to investigate the interaction between the compliant surface models and the turbulent flow in the channel by means of direct numerical simulations. A linear analytical solution of the coupled differential equation system is derived for laminar pulsatile channel flows allowing verification and validation of the numerical model. The obtained analytical solution is utilised to map the parameter space of the passive controls and estimate the effect of the wall motions. It is shown that depending on the control parameters, the proposed compliant walls decrease or increase the vorticity fluctuations at the wall similarly to the active controls. This is confirmed by direct numerical simulations. On the one hand, when the control parameters are chosen appropriately, the passive streamwise control damps the near-wall vorticity fluctuations and sustains the same drag reduction mechanism as the active streamwise control. This leads to modest, 3.7% and 2.3% drag reductions at low and intermediate Reynolds numbers. On the other hand, the spanwise passive control is not capable of increasing the near-wall vorticity fluctuations as dictated by the active spanwise control. For this reason, passive spanwise wall motions can increase the friction drag by more than 50%. The results emphasise the necessity of anisotropy for a practical compliant wall design. The present work demonstrates for the first time that passive wall motions can decrease friction drag in fully turbulent wall-bounded flows. The thesis sheds light on the working principle of an active streamwise control, and proposes a passive streamwise control exploiting the same drag reduction mechanism. An analytical model is developed to give a ready prediction of the statistical behaviour of passive in-plane wall motions. Whereas streamwise passive wall motions are found beneficial when the control parameters are chosen appropriately, solely spanwise passive wall motions lead to a drag penalty.
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Araya, Jose Manuel. "Emotion and predictive processing : emotions as perceptions?" Thesis, University of Edinburgh, 2018. http://hdl.handle.net/1842/33156.

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In this Thesis, I systematize, clarify, and expand the current theory of emotion based on the principles of predictive processing-the interoceptive inference view of emotion-so as to show the following: (1) as it stands, this view is problematic. (2) Once expanded, the view in question can deal with its more pressing problems, and it compares favourably to competing accounts. Thus, the interoceptive inference view of emotion stands out as a plausible theory of emotion. According to the predictive processing (PP) framework, all what the brain does, in all its functions, is to minimize its precision-weighted prediction error (PE) (Clark, 2013, 2016; Hohwy, 2013). Roughly, PE consist in the difference between the sensory signals expected (and generated) from the top-down and the actual, incoming sensory signals. Now, in the PP framework, visual percepts are formed by minimizing visual PE in a specific manner: via visual perceptual inference. That is, the brain forms visual percepts in a top-down fashion by predicting its incoming lower-level sensory signals from higher-level models of the likely (hidden) causes of those visual signals. Such models can be seen as putting forward content-specifying hypotheses about the object or event responsible for triggering incoming sensory activity. A contentful percept is formed once a certain hypothesis achieves to successfully match, and thus supress, current lower-level sensory signals. In the interoceptive inference approach to interoception (Seth, 2013, 2015), the principles of PP have been extended to account for interoception, i.e., the perception of our homeostatic, physiological condition. Just as perception in the visual domain arises via visual perceptual inference, the interoceptive inference approach holds that perception of the inner, physiological milieu arises via interoceptive perceptual inference. Now, what might be called the interoceptive inference theory of valence (ITV) holds that the interoceptive inference approach can be used so as to account for subjective feeling states in general, i.e., mental states that feel good or bad-i.e., valenced mental states. According to ITV, affective valence arises by way of interoceptive perceptual inference. On the other hand, what might be called the interoceptive inference view of emotion (IIE) holds that the interoceptive inference approach can be used so as to account for emotions per se (e.g., fear, anger, joy). More precisely, IIE holds that, in direct analogy to the way in which visual percepts are formed, emotions arise from interoceptive predictions of the causes of current interoceptive afferents. In other words, emotions per se amount to interceptive percepts formed via higher-level, content-specifying emotion hypotheses. In this Thesis, I aim to systematize, clarify, and expand the interoceptive inference approach to interoception, in order to show that: (1) contrary to non-sensory theories of affective valence, valence is indeed constituted by interoceptive perceptions, and that interoceptive percepts do arise via interoceptive perceptual inference. Therefore, ITV holds. (2) Considering that IIE exhibits problematic assumptions, it should be amended. In this respect, I will argue that emotions do not arise via interoceptive perceptual inference (as IIE claims), since this assumes that there must be regularities pertaining to emotion in the physiological domain. I will suggest that emotions arise instead by minimizing interoceptive PE in another fashion. That is, emotions arise via external interoceptive active inference: by sampling and modifying the external environment in order to change an already formed interoceptive percept (which has been formed via interoceptive perceptual inference). That is, emotions are specific strategies for regulating affective valence. More precisely, I will defend the view that a certain emotion E amounts to a specific strategy for minimizing interoceptive PE by way of a specific set of stored knowledge of the counterfactual relations that obtain between (possible) actions and its prospective interoceptive, sensory consequences ("if I act in this manner, interoceptive signals should evolve in such-and-such way"). An emotion arises when such knowledge is applied in order to regulate valence.
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Ruppert, Jan Gustav. "Functional analysis of heterochromatin protein 1-driven localisation and activity of the chromosomal passenger complex." Thesis, University of Edinburgh, 2018. http://hdl.handle.net/1842/33158.

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The ultimate goal of mitosis is the equal distribution of chromosomes between the two daughter cells. One of the key players that ensures faithful chromosome segregation is the chromosomal passenger complex (CPC). CPC localisation to mitotic centromeres is complex, involving interactions with Shugoshin and binding to phosphorylated histone H3T3. It was recently reported that Heterochromatin Protein 1 (HP1) has a positive impact on CPC function during mitosis. The interaction between HP1 and the CPC appears to be perturbed in cancer-­‐derived cell lines, resulting in decreased HP1 levels at mitotic centromeres and may be a potential cause for increased chromosome mis-­‐segregation rates. In this study, I tethered HP1α to centromeres via the DNA-­‐binding domain CENP-­‐B. However, instead of improving the rate of chromosome mis-­‐segregation, HP1α tethering resulted in activity of the spindle assembly checkpoint and destabilisation of kinetochore-­‐microtubule attachments, most likely caused by the robust recruitment of the CPC. Tethered HP1α even traps the CPC at centromeres during mitotic exit, resulting in a catalytically active CPC throughout interphase. However, it was not clear whether endogenous HP1 contributes to CPC localisation and function prior to mitosis. Here I also describe a substantial interaction between endogenous HP1 and the CPC during the G2 stage of the cell cycle. The two isoforms HP1α and HP1γ contribute to the clustering of the CPC into active foci in G2 cells, a process that is independent of CDK1 kinase activity. Furthermore, the H3S10ph focus formation in the G2 phase appears to be independent of H3T3ph and H2AT120ph, the two histone marks that determine the CPC localisation in early mitosis. Together, my results indicate that HP1 contributes to CPC concentration and activation at pericentromeric heterochromatin in G2. This novel mode of CPC localisation occurs before the Aurora B-­‐driven methyl/phos switch releases HP1 from chromatin, which possibly enables the H3T3ph and H2AT120ph driven localisation of the CPC during mitosis.
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Books on the topic "3315k"

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33154: The story of Bal Harbour, Bay Harbor Islands, Indian Creek Village & Surfside. Charleston, SC: History Press, 2008.

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Bramson, Seth. 33154: The story of Bal Harbour, Bay Harbor Islands, Indian Creek Village & Surfside. Charleston, SC: History Press, 2008.

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Jochum, Markus, and Raghu Murtugudde, eds. Physical Oceanography. New York, NY: Springer New York, 2006. http://dx.doi.org/10.1007/0-387-33152-2.

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Dutta, Soumitra, Arnoud De Meyer, Amit Jain, and Gérard Richter, eds. The Information Society in an Enlarged Europe. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5.

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Joyce, Bruce A., Pantelis C. Kelires, Anton G. Naumovets, and Dimitri D. Vvedensky, eds. Quantum Dots: Fundamentals, Applications, and Frontiers. Berlin/Heidelberg: Springer-Verlag, 2005. http://dx.doi.org/10.1007/1-4020-3315-x.

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Еразм, Роттердамський. Похвала глупоті, або похвальне слово Дурості, виголошене Еразмом Роттердамським. Домашні бесіди. Київ: Основи, 1993.

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Labor, United States Congress House Committee on Education and. Authorization of appropriations for Taft Institute: Report (to accompany H.R. 3315) estimate estimate estimates of the Congressional Budget Office). [Washington, D.C.?: U.S. G.P.O., 1990.

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Saliklis, Edmond. Structures: A Studio Approach. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-33153-5.

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Cavender-Bares, Jeannine, John A. Gamon, and Philip A. Townsend, eds. Remote Sensing of Plant Biodiversity. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-33157-3.

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Luetge, Christoph, and Nikil Mukerji, eds. Order Ethics: An Ethical Framework for the Social Market Economy. Cham: Springer International Publishing, 2016. http://dx.doi.org/10.1007/978-3-319-33151-5.

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Book chapters on the topic "3315k"

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Kumar, M. "3315 Chemical Shifts and Coupling Constants for C15H15OPS." In Chemical Shifts and Coupling Constants for Phosphorus-31, 3324. Berlin, Heidelberg: Springer Berlin Heidelberg, 2013. http://dx.doi.org/10.1007/978-3-642-32069-9_3317.

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Dutta, Soumitra, Arnoud De Meyer, Amit Jain, and Gérard Richter. "Introduction." In The Information Society in an Enlarged Europe, 1–4. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_1.

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Dutta, Soumitra, and Amit Jain. "An Assessment of the Relative Level of Development of an Information Society in the Enlarged European Union." In The Information Society in an Enlarged Europe, 7–44. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_2.

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Selhofer, Hannes, and George Karageorgos. "Electronic Business in the European Union: An Assessment of the Digital Divide in Business." In The Information Society in an Enlarged Europe, 45–74. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_3.

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Hüsing, Tobias, Karsten Gareis, and Werner B. Korte. "The Impact of ICT on Social Cohesion: Looking Beyond the Digital Divide." In The Information Society in an Enlarged Europe, 75–123. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_4.

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De Meyer, Arnoud. "The Role of European Governments in the Digital Economy." In The Information Society in an Enlarged Europe, 125–50. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_5.

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Bender, Kai, Julia Hoerauf, and Gérard Richter. "Value-Based Information Management in European ICT Strategies." In The Information Society in an Enlarged Europe, 151–62. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_6.

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Rouvinen, Petri, and Pekka Ylä-Anttila. "Finland — A Prototypical Knowledge Economy?" In The Information Society in an Enlarged Europe, 163–94. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_7.

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Jain, Amit. "Data Analysis and Index Computation: Methodology." In The Information Society in an Enlarged Europe, 195–204. Berlin, Heidelberg: Springer Berlin Heidelberg, 2006. http://dx.doi.org/10.1007/3-540-33156-5_8.

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Warren, Bruce A. "Historical Introduction." In Physical Oceanography, 1–14. New York, NY: Springer New York, 2006. http://dx.doi.org/10.1007/0-387-33152-2_1.

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Conference papers on the topic "3315k"

1

Tubaishat, Abdallah. "IT Systems Development: An IS Curricula Course that Combines Best Practices of Project Management and Software Engineering." In InSITE 2009: Informing Science + IT Education Conference. Informing Science Institute, 2009. http://dx.doi.org/10.28945/3315.

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Most computing programs still devote little time to software life cycle development, software processes, quality issues, team skills, and other areas of software engineering essential to effective commercial software development. A teaching project was developed and implemented by accommodating knowledge and practices that are applicable to most projects in the area of project management and in the area of software development to Information Systems (IS) students. This approach is relevant to IS model curricula and is in accordance with IS2002.10 project management and practice course guidelines. The rationale behind this approach is to overcome the relative lack of experience of IS students in many aspects of project management and software development by introducing them how to plan, organize, and control software development projects, and to help students strengthen good software engineering practices prior to entering IT industry and become more efficient. We present results of a case study based on a survey conducted in an IT Systems Development course. Survey results show that including topics on project management and Software Engineering best practices lab into an IT Systems Development course helped students (a) deal with non-technical issues of software projects, (b) develop their ability to communicate clearly with team members, and (c) overcome their lack of experience in many aspects of project management and software development.
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Honda, Shizu, Yasuji Yamamoto, Norio Masuko, Hiromi Yokoi, Kenjiro Ito, Ryoto Fujita, and Ken-ichi Matsuo. "Abstract 3315: TAC-101 induces the differentiation of cancer stem-like cells." In Proceedings: AACR 101st Annual Meeting 2010‐‐ Apr 17‐21, 2010; Washington, DC. American Association for Cancer Research, 2010. http://dx.doi.org/10.1158/1538-7445.am10-3315.

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Morelli, Maria Pia, Massimo Fanitni, Alexandra Diggs, Kwong Yok Tsang, Philip Arlen, and Christina Annunziata. "Abstract 3315: Activating innate immune response as strategy for endometrial cancer treatment." In Proceedings: AACR Annual Meeting 2020; April 27-28, 2020 and June 22-24, 2020; Philadelphia, PA. American Association for Cancer Research, 2020. http://dx.doi.org/10.1158/1538-7445.am2020-3315.

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Tachibana, Shunichi, Yota Kuronuma, Tomoyuki Yokota, Shinji Mitao, Hitoshi Sueyoshi, Yutaka Wada, Keizou Yabumoto, Yutaka Moriya, and Moriyasu Nagae. "Development of TMCP Type Alloy625/X65 Clad Steel Plate for Pipe." In 2014 10th International Pipeline Conference. American Society of Mechanical Engineers, 2014. http://dx.doi.org/10.1115/ipc2014-33150.

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Demand for CRAs (Corrosion Resistant Alloys) clad steel is getting increased for pipeline application of oil and gas industry because of economic advantage over solid CRAs. CRAs clad steel consists of a CRAs layer for corrosion resistance and a carbon steel for mechanical properties. Nickel based Alloy625 is known to be suitable for harsh environmental condition such as high temperature and high pressure H2S (hydrogen sulfide) condition. In this paper, the corrosion resistance of Alloy625/X65 clad steel plate for pipe produced by TMCP (Thermo-Mechanical Control Process) was investigated. TTP (Time - Temperature - Precipitation) and TTS (Time - Temperature - Sensitization) diagram of Alloy625 indicated precipitation nose, e.g. M6C and M23C6 which would cause deterioration of corrosion resistance. TMCP enable Alloy625 to avoid long time exposure to the precipitation nose. In Huey test, the corrosion rate in TMCP was almost the same as that of solution treated Alloy625 and smaller than that in Q-T (Quench and Temper). In ferric chloride pitting test, no pitting was observed in Alloy625 layer of TMCP type clad steel. In addition, the corrosion test simulating service environment using autoclave apparatus was conducted under the condition of 0.39MPa H2S - 0.53MPa CO2 - Cl− solution at 200°C. Alloy625 clad steel produced by TMCP showed neither SSC (Sulfide stress corrosion cracking) nor crevice corrosion. All the mechanical properties of base carbon steel satisfied API 5L grade X65 specification by optimizing TMCP conditions. It is notable that 85% SATT of DWTT was below −10 °C. Thus, Alloy625/X65 clad steel plate for pipe produced by TMCP with both superior corrosion resistance and low temperature toughness has been developed.
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Timashev, Sviatoslav, and Anna Bushinskaya. "Assessment of the Reliability Level Embedded in Pipeline Design Codes." In 2014 10th International Pipeline Conference. American Society of Mechanical Engineers, 2014. http://dx.doi.org/10.1115/ipc2014-33151.

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Recently a long time discussion among specialists about the meaning of the probabilities of failure (POF) produced by different reliability analysis methods surfaced in pipeline journals. This paper, which was a long time in the making, is a follow-up on the discussion and analyses the actual reliability level which was empirically embedded in codes for pipeline design [B31G, B31Gmod, Shell92 and Battelle (PCORRC)] and Building Standard (BR) Main Pipelines #2.05.06-85, using a real pipeline as an example. Assessment of the actual reliability level empirically embedded in BR is based on assessing the order of the quintiles of strength parameters (design values of tensile strength and yield strength of the pipe material) and load (internal pressure) on the pipeline. This approach allows direct connection of the deterministic safety coefficients used in the BR with the level of reliability of the pipelines associated with these coefficients. The actual reliability level, empirically embedded in international codes, is calculated as the probability that the limit state function (LSF) of ideal pipeline (without defects) is positive. LSF = Pf − Pop, where Pf is the failure pressure of an ideal pipe, which is estimated by any design code; Pop is the operating pressure. The failure and operating pressure are considered as random variables. The expression for this probability was obtained analytically and in closed form. Recommendations are also presented for choosing probability distributions and statistical parameters for random variables RVs. Extensive calculations permitted revealing the reliability levels which are actually present in the analyzed international pipeline design codes. In a nutshell, the paper proves that the international codes under consideration are very reliable, as they produce very safe designs of pipelines with very low POF, and, hence, provide large safety coefficients, and that the algorithm developed in the paper permits connecting the current level of pipeline degradation (in terms of POF), with its current safety coefficient, which, in this case, is a function of time. All calculating in the paper where performed using MathCAD. Illustrations of these calculations are also presented in the paper.
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Huisman, Otto, Ricardo Almandoz, Thomas Schuster, Adriana Andrade Caballero, and Leonardo Martinez Forero. "Leveraging HCA Results in an Advanced Pipeline Risk Assessment Model." In 2014 10th International Pipeline Conference. American Society of Mechanical Engineers, 2014. http://dx.doi.org/10.1115/ipc2014-33152.

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Pipeline risk analysis is a common step carried out by operators in their overall Pipeline Integrity Management Process. There is a growing realization among operators of the need to adopt more proactive risk management approaches. This has brought about increased demand for more quantitative models to support risk reduction decision-making. Consequences of failure are a key component of these models where enhanced quantitative approaches can be deployed. Impacts to the environment and upon populations are key issues which both operators and regulatory bodies seek to minimize. Pipeline risk models and High Consequence Area (HCA) analyses play an increasingly important role in this context by allowing operators to identify a range of potential scenarios and the relative impact to receptors based upon the best available data sources. This paper presents the process and results of an HCA analysis project carried out by ROSEN for a major South American state-owned pipeline operator (hereafter referred to as ‘the Client’). This analysis was implemented using automated GIS processing methods and includes HCA analyses for approximately 2354 km of pipeline. The analysis was based on industry standards for both liquid and gas pipelines (i.e. American Petroleum Institute (API) and American Society of mechanical Engineers (ASME)), but customized for the specific needs of the Client and the South American geographical context. A key use for the results of this analysis is to serve as input for the pipeline risk assessment model jointly developed by ROSEN Integrity Solutions, MACAW Engineering and the Client. The methodology for development of this model is briefly discussed, and operational uses of HCA results are illustrated. The benefits of this project include, but are not limited to, identifying areas that could be severely impacted should a pipeline failure occur, being able to assess the risk profile of credible threats in HCAs, but also being able to prioritize preventative and mitigation measures at HCAs to either reduce the likelihood of failure or the impact of failure upon various receptors.
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Münch, Kevin, Hendrik G. E. Körner, and Albert Moser. "Consideration of Line-Pack Flexibility in Dynamic Steady-State Simulations for Natural Gas Transport Networks." In 2014 10th International Pipeline Conference. American Society of Mechanical Engineers, 2014. http://dx.doi.org/10.1115/ipc2014-33153.

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Natural gas transport networks have the primary function of transporting natural gas over long distances. Due to the compressibility of gas, a sufficient line pack must exist in the network to provide the contractual delivery pressures. Based on the fact that pressure levels are mostly specified as pressure bands, there is also the possibility to store gas within the network. The gas volume which can be stored and is not necessary for the transport is the line pack flexibility. In context of the European liberalized market the network operator has the function of managing the gas transport of different actors. Because of forecast deviations, imbalances between gas feed-in and gas feed-out often occur. This is compensated by the use of balancing energy, which can be provided either from external sources or from the line-pack flexibility. As the necessary line pack for transport varies with each transport situation, this volume must be balanced by the line-pack flexibility. Therefore, a precise knowledge of the line-pack flexibility during the network operation is very important. For this purpose computer-aided simulations are necessary. Because the increase or decrease of the line-pack flexibility is a transient process, transient simulations should be used. However, transient simulations require a long computing time, which leads to many disadvantages during the network operation. Therefore, this paper develops a method to simulate a natural gas transport network by using fast steady-state calculations under consideration of the transient characteristics of the line-pack flexibility. For this purpose the line-pack flexibility and transient calculation models are analyzed in detail to show the problems using a steady-state approach. Afterwards a method is described to take into account the transient characteristics of the line-pack flexibility. This is verified by exemplary simulations. Finally, the main findings are summarized.
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de Oliveira, Erica Vanessa Albuquerque, and Priscila Raquel Kazmierczak. "Oil and Gas Production Pipelines: Current Status of Brazil Safety Regulation." In 2014 10th International Pipeline Conference. American Society of Mechanical Engineers, 2014. http://dx.doi.org/10.1115/ipc2014-33158.

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The Brazilian National Agency of Petroleum, Natural Gas and Biofuels (Agência Nacional do Petróleo Gás Natural e Biocombustíveis - ANP) is the regulatory body responsible to regulate, contract and supervise the activities that integrates oil, natural gas and biofuels industry in Brazil, including the onshore and offshore pipelines. With this intent, ANP’s Resolution n° 06/2011, Technical Regulation of Onshore Pipelines for the Transport of Petroleum, its Derivatives and Natural Gas (Regulamento Técnico de Dutos Terrestres para Movimentação de Petróleo, Derivados e Gás Natural - RTDT), was published, establishing the essential critical requirements and the minimum safety directives for onshore pipelines, aiming at the protection of human life, facilities, and environment. The Technical Regulation covers onshore pipelines, new and existing ones, acting on the transference of the oil and gas production in the Brazilian jurisdiction and it is also applied on design, construction, assembling, operation, inspection, maintenance, integrity management, emergency response and decommissioning of the pipelines. Currently, ANP is elaborating a normative instrument applied to offshore pipelines, intending to establish the essential critical requirements for its safety management system. This paper presents an evaluation of the RTDT after its publication, including the improvements that will be concern with the review of the Resolution, and also gives an overview of the elaboration of the normative instrument for offshore pipelines.
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Sun, Pengtao, and Yun Wang. "A New Formulation and an Efficient Numerical Technique for a Nonisothermal, Anisotropic, Two-Phase Transport Model of PEMFC." In ASME 2010 8th International Conference on Fuel Cell Science, Engineering and Technology. ASMEDC, 2010. http://dx.doi.org/10.1115/fuelcell2010-33152.

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In this paper, a new formulation and an efficient numerical technique are preliminarily studied for a nonisothermal, anisotropic, two-phase transport model of PEMFC, where flow, species, charge and energy equations are all addressed. The importance of water and temperature management are investigated in the anisotropic and nonisothermal point of view. Due to the employment of multi-phase mixture (M2) model, the diffusivity of water transport presents the significant discontinuity and degeneracy across the interface of single gas phase region and two-phase region. In addition, the distinct discontinuity of water diffusivity also emerges through the membrane. Such discontinuities and degeneracy of water diffusivity challenge the fast convergence of nonlinear iteration in numerical simulation, showing oscillating and even divergent iteration process. Based on an intensive new formulation of M2 model for PEMFC, an efficient numerical technique, Kirchhoff transformation, is specifically employed in order to overcome such numerical difficulties and achieve fast and convergent simulation. Numerical experiment is implemented accordingly to indicate the efficiency of the presented numerical technique, in contrast to the oscillating iterations without new numerical technique.
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Jeong, Jihoon, Seung-Wook Baek, and Joongmyeon Bae. "Hydrocarbon Fueled Operation of Metal-Supported Solid Oxide Fuel Cell." In ASME 2010 8th International Conference on Fuel Cell Science, Engineering and Technology. ASMEDC, 2010. http://dx.doi.org/10.1115/fuelcell2010-33157.

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The metal-supported solid oxide fuel cell (SOFC) was studied. Hydrocarbon fueled operation was used to make SOFC system. Different operating characteristics for metal-supported SOFC are used than for conventional ones. Metal-supported SOFC was successfully fabricated by a high temperature sinter-joining method and the cathode was in-situ sintered. Synthetic gas, which is compounded as the diesel reformate gas composition and low hydrocarbons was completely removed by the diesel reformer. Metal-supported SOFC with synthetic gas was operated and evaluated and its characteristics analyzed. The performance of hydrogen operation shows 0.4 W·cm−2 of maximum power density. The maximum power density of the synthetic gas operation decreased to 0.22 W·cm−2 and to 0.11 W·cm−2 after 10 hours operation, respectively. Degradation occurred because a large steam quantity made an oxidation atmosphere at high temperature, causing the metallic part damage.
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