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The coefficient of friction of clay minerals at the micro-scale has generally not been studied due to difficulties in obtaining measurements in a bulk-soil volume undergoing shear at such small scales. Information on friction at the micro-scale may provide insight into grain-scale processes that operate in bulk samples or in natural faults. The objective of this study was to develop a method to measure the microscale friction coefficient of smectites. The experiments described show that the axial atomic force microscopy method can be adapted to easily obtain accurate coefficient of friction (μ) measurements for smectites from force curves involving colloidal probes. The method allows for the measurements to be performed over spatial scales of a few μm, can be carried out under dry conditions or a wide range of aqueous solutions, and requires no calibration beyond making a few microscopic measurements of the probe. This method provides measurements of micro-scale normal and shear forces between minerals, which can be used for a variety of applications such as the study of shear deformation, consolidation, and fault dynamics. Control tests of silica on mica (μ = 0.29±0.02) agree with literature values where limits indicate one standard deviation. Coefficient of friction values for wet and dry Na-montmorillonite were determined to be 0.20±0.03 and 0.72±0.03, respectively.
The central argument set out in this Element is that the combination of a perceived radical change in the threat environment post 9/11, and the new capabilities afforded by the long silent reach of the drone, have put pressure on the previously accepted legal frameworks justifying the use of force. This has resulted in disagreements - both articulated and unarticulated - in how the Western allies should respond to both the legal and operational innovations in the use of force that drones have catalysed. The Element focuses on the responses of the UK, France, and Germany to these developments in the context of the changing US approach to the use of force. Locating itself at the interface of international law and politics, this is the first attempt to look at the interplay between technological innovations, legal justifications, and inter-alliance politics in the context of the use of armed drones.
Chapter 1 provides an exposition of the general breadth and scope of the contemporary prohibition of the threat or use of force. After setting the prohibition in its historical context, it then examines the sources of the prohibition and its status as a ‘peremptory’ or ‘jus cogens’ norm of international law and what this means in terms of the prospects for its adaptation and modification in the future. While much focus has been traditionally placed upon the use of force, by comparison relatively little attention has been given to the threat of force, despite both coming under the contemporary rule against force. As such, the chapter sets out and provides an examination of the concept of a threat of force. While the prohibition is of undoubted importance, the decentralised nature of the international legal system means that accountability and responsibility for its violation are uncertain. The chapter seeks to examine this issue in detail, while also providing attention to the ‘human element’ to the prohibition, as well as assessing the continued relevance and effectiveness of the norm.
Chapter 2’s purpose is to provide some focused discussion on the meaning of the ‘force’ prohibited in Article 2(4) and customary international law. In seeking to expose the uncertainties regarding this particular term, various factors or common elements of ‘force’ are distilled. After looking at the prohibition of force in the context of the principle of non-intervention, the chapter moves on to look at the type of force that the prohibition is concerned with and, concluding that it is ‘armed force’, then moves on to attempt to distil the key elements of such force, including whether it is the means used or the effects created which is of importance, and whether force can be used indirectly. The chapter then addresses the ‘gravity’ or severity aspects of a use of force, in particular by distinguishing it from an armed attack or act of aggression, but also by examining whether there is a level of force – or de minimis threshold – below which an action falls out of the remit of the prohibition. Finally, and having distilled the key practical components of a prohibited use of force, the chapter focuses upon the mens rea component.
Newly revised, this textbook provides an authoritative conceptual and practical overview of international law governing the resort to force. Following an introductory chapter, with a section on the key issues in identifying the law and actual and potential changes to it, the book addresses the breadth and scope of the prohibition of the threat or use of force and the meaning of 'force' as the focus of this. The book proceeds to address the use of force through the United Nations and regional organisations, the use of force in peacekeeping operations, the right of self-defence and the customary limitations upon this right, the controversial right of humanitarian intervention, and forcible interventions in civil conflicts. Updated to include greater focus on aspects such as cyber operations, the threat of force, and the 'human element' to the use force, as well as the inclusion of recent developments such as the 2022 Russian invasion of Ukraine, it seeks to address the contemporary legal framework through the prism of contemporary challenges that it currently faces.
Just as force is a ubiquitous concept in linear mechanics, torque is ubiquitous in rotational mechanics. We, therefore, begin this chapter with the definition and detailed description of torque, which we then use to study static equilibrium. Our discussion includes descriptions of common forces and their points of application, as well as subtleties associated with studying systems of objects in static equilibrium. The chapter ends with some useful theorems commonly found in the literature.
In this chapter, we begin by examining the work due to a torque. We then define the concept of the rotational kinetic energy for a point mass, systems of discrete masses, and continuous rigid bodies. We develop the angular work-kinetic energy theorem and use it to study the conservation of energy and the conservation of mechanical energy in systems involving rotational motion. To develop these theorems, we draw from our understanding of the analogous theorems in linear motion.
Gravity has an irresistible grip on our curiosity and is able to drive our imagination to completely different theoretical spaces. This very fact alone sets gravity aside from all other types of physical interactions we know. Indeed, gravity is the only physical interaction of which we have a conscious experience and this awareness is with us every second of our life. In this book we set out to try to address the question: '…what is gravity and how does gravity actually work?'. This book is meant as a guide in a journey that will take us from our basic understanding of gravity, the one that is deeply coded in our brains even at an instinctive level, to the more physically detailed and yet incorrect description provided by Newton’s theory of gravity. The journey will then lead us to the mathematically beautiful and physically profound description that Einstein has proposed with his 'general theory of relativity', and that is elegantly embodied in his field equations.
The rhetoric of royal legitimacy emphasised divine selection and personal merit, but the proof of these qualities lay in the ruler’s measured but effective exercise of his power. For mirror-writers, evidence of fitness to rule depended on not only military success but also, and more particularly, the stability and prosperity of the realm. Foremost among the principles of governance, for many mirror-writers, was justice, understood partly in legal terms – the ruler was responsible for upholding the law – and partly in terms of the king’s judicious management of the multiple constituencies who made up his realm. The four texts in this chapter address the underlying supports of royal authority and the principles that rulers should adopt in their governance. Justice, central to the theory of virtue, appears in this context as central to the theory of governance. In enumerating the pillars necessary for the support of sovereignty, the authors represented in this chapter emphasise, in addition to justice, religion, force, wealth and kindness. The texts are drawn from Pseudo-Aristotle, Sirr al-asrār; al-Māwardī, Tashīl al-naẓar wa-taʿjīl al-ẓafar; Niẓām al-Mulk, Siyar al-mulūk; and al-Ṭurṭūshī, Sirāj al-mulūk.
How can the use of force by states be constrained under international law? Under what circumstances has the use of force by states been deemed "legitimate"? How are rules about the legitimate use of force changing? These questions are examined in depth, along with the relevant instruments of international law. The chapter details the various ways that "force" and "aggression" have been defined and used. It treats all the major forms of force or coercion, including full-scale military operations, economic sanctions and reprisals, proxy and clandestine forces, small-scale conflicts. It then traces growing prohibitions on the use of force from the League, the UN, the ICJ, and other sources. Finally, the Laws of Armed Conflict are highlighted as are the Geneva Conventions and instruments limiting munitions and conflict on the land, air, and sea. The use of drones and autonomous weapons systems, guided by AI, are highlighted as a growing area of concern for international law.
Contemporary thought on human rights is rooted in significant part in the soil of natural law theory. Some natural law theorists embrace the idea of enforceable rights to a range of desirable socioeconomic outcomes. But natural law theory is best understood as grounding rights that foster these outcomes indirectly. Such rights, as I envision them, qualify as socioeconomic rights because they directly concern the socioeconomic sphere and because they further those aspects of flourishing which alternative schemes of socioeconomic rights are often intended to protect. There is, I suggest, a plausible natural law case to be made for indirectly promoting these dimensions of well-being by enforcing legal rights to bodily integrity, property, and labor, and so accepting robust limits on the use of force. In this chapter, I lay the groundwork for an exploration of that case by elaborating the variety of natural law theory in which I seek to ground my understanding of socioeconomic rights. I go on to discuss norms germane to the institutional context of socioeconomic life and to propose a set of fundamental socioeconomic rights and briefly consider the significance of these rights.
Hemorrhage control prior to shock onset is increasingly recognized as a time-critical intervention. Although tourniquets (TQs) have been demonstrated to save lives, less is known about the physiologic parameters underlying successful TQ application beyond palpation of distal pulses. The current study directly visualized distal arterial occlusion via ultrasonography and measured associated pressure and contact force.
Methods:
Fifteen tactical officers participated as live models for the study. Arterial occlusion was performed using a standard adult blood pressure (BP) cuff and a Combat Application Tourniquet Generation 7 (CAT7) TQ, applied sequentially to the left mid-bicep. Arterial flow cessation was determined by radial artery palpation and brachial artery pulsed wave doppler ultrasound (US) evaluation. Steady state maximal generated force was measured using a thin-film force sensor.
Results:
The mean (95% CI) systolic blood pressure (SBP) required to occlude palpable distal pulse was 112.9mmHg (109-117); contact force was 23.8N [Newton] (22.0-25.6). Arterial flow was visible via US in 100% of subjects despite lack of palpable pulse. The mean (95% CI) SBP and contact force to eliminate US flow were 132mmHg (127-137) and 27.7N (25.1-30.3). The mean (95% CI) number of windlass turns to eliminate a palpable pulse was 1.3 (1.0-1.6) while 1.6 (1.2-1.9) turns were required to eliminate US flow.
Conclusions:
Loss of distal radial pulse does not indicate lack of arterial flow distal to upper extremity TQ. On average, an additional one-quarter windlass turn was required to eliminate distal flow. Blood pressure and force measurements derived in this study may provide data to guide future TQ designs and inexpensive, physiologically accurate TQ training models.
The aim of this study was to assess the effectiveness of a multidimensional exercise intervention on improving fall risk deterrent factors, such as overall strength and flexibility in nursing home residents.
Methods
A multi-centre, randomized controlled trial was finally utilized in 40 older adults (>65 years) who were randomly allocated to the intervention or the control group (20 subjects in each). The intervention group attended an exercise program twice a week for eight weeks, to improve functional mobility. The control group did not receive any intervention. Measurements before and after intervention included the Hand Grip Strength (HGS) testing, the Sit-to-Stand test (SST), the Back Scratch Test (BST), and the Sit-and-Reach test (SRT).
Results
MANOVA revealed significant time effects, V = 0.336, F(6, 33) = 2.78, p = 0.027, partial η2 = 0.336; group effects, V = 0.599, F(6, 33) = 8.22, p < 0.001, partial η2 = 0.599; and group*time interaction, V = 0.908, F(6, 33) = 54.52, p < 0.001, partial η2 = 0.908. A subsequent univariate analysis did not reveal a significant time effect for any variable (p > 0.05). Significant group effects were observed only for SRT (p < 0.05). Significant group*time interactions were observed for all the examined variables (p < 0.05). Dependent t-tests showed that the older adults in the exercise group were significantly improved in all the examined parameters (p < 0.05). Except for SRT (p > 0.05), all the other parameters significantly deteriorated in the control group (p < 0.05).
Conclusions
Significant improvements were demonstrated in strength and flexibility among nursing home residents following an eight-week group exercise training program.
The relation between neutrality and the use of force is better to be kept within the law of armed conflict rather that the law on the use of force between States. This means that the right of self-defence cannot be the indispensable legal basis for the use of force between belligerents and neutrals. On the contrary it appears that neutral due diligence has been relied on as a basis to expand the scope of the right of self-defence. The latter is admissible as the basis for resort to force only in the case of resistance of a neutral State to repel belligerent violation of its territory or by a belligerent that fully complies with its duties under the law of neutrality.
Non participation in armed conflict gives rise to the relevance, role and content of the law of neutrality in contemporary international law. Despite scholarly opinion to the contrary the challenges posed by collective security and the prohibition of the use of force have not made neutrality obsolete. The validity of the law of neutrality is reaffirmed in State practice, mainly in the form of national military manuals, and the case-law of international tribunals. The legal framework of neutrality remains unchanged with respect to most rules. At the same time, it has been adapted to the evolution of the law of the sea as a result of the 1982 UN Law of the Sea Convention, the globalization of trade and the use of cyberspace in armed conflict. This has been achieved mainly through soft law documents and national military manuals. Neutrality, however, remains inapplicable in non-international armed conflict.
Just as a debate about the fundamental nature of physical entities arose after Descartes, a similar issue arose after Newton. Like Descartes, but of course with very different epistemological and methodological considerations, Newton held that the most fundamental conserved quantity was “quantity of motion” or momentum. Leibniz opposed this, arguing instead for vis viva or “living force.” This controversy introduced two kinds of problems: 1) whether and how empirical proofs could be generated for metaphysical conceptions, and consequently 2) how to understand the relationship between metaphysics and experimental philosophy. These concerns were handled quite differently by two important philosophers: Gravesande and Du Châtelet. Their moves partly resolved older debates, but also partly reconfigured them into new questions we are still attempting to answer.
In this chapter, I analyze the connections that Hume draws between utility as a source of merit, the principle of humanity as that which elicits our approval of useful mental qualities and blame for pernicious ones, and the role of reason, both in determining usefulness and in reaching just evaluations of merit or demerit. I contrast this set of connections with another set of moral sentiments that have as their object the immediately agreeable or disagreeable qualities. I reconstruct the argument meant to establish the principle of humanity as the foundation of morality, in part with the aim of showing that the sentiment of humanity gains force through our collective participation in the common point of view from which we form a general standard of virtue.
Chapter 5 is mainly devoted to the interaction between waves and immersed bodies. In general, an immersed body may oscillate in six different modes, three translating modes (surge, sway, heave) and three rotating modes (roll, pitch, yaw). An oscillating body radiates waves, and an incident wave may induce a corresponding excitation force for each one of the six modes. When a body oscillates, it radiates waves. Such radiated waves and excitation forces are related by so-called reciprocity relationships. Such relations are derived not only for a single oscillating body but even for a group (or 'array') of immersed bodies. Axisymmeric bodies and two-dimensional bodies are discussed in separate sections of the chapter. Although most of this chapter discusses wave-body dynamics in the frequency domain, a final section treats an immersed body in the time domain.
Referring to a simple illustration, a verbal explanation is given by the essential, but perhaps paradoxical, statement that to absorb wave energy from a wave by means of an oscillating system, it is required that the system radiates a wave which interferes destructively with the incident wave. Then various mathematical relations are derived concerning the conditions for an oscillating body to remove energy from an incident wave. The mathematical conditions for wave-power absorption may be illustrated as a paraboloid-shaped 'island' on an infinite complex-plane 'ocean' surface. The top of this 'island' corresponds to maximum absorbed power. An additional matter is the optimum control of a wave-energy converter (WEC) body. Thus far, the WEC body's shape and oscillation mode have been taken into account, but not its physical size. The latter is an important parameter related to the cost of the WEC, when the Budal upper bound is explained and discussed. Another important phenomenon, related to the Keulegan–Carpenter number, is discussed, in relation to an example of a WEC body. In a final section of the chapter, a WEC body, oscillating in several modes of motion, is discussed.
Northeastern Central African Republic - a vast space bordering Chad, Darfur, and South Sudan - is a quintessential 'stateless' space, where the government has little presence and armed actors operate freely. In this first ethnographic and historical study of Central African raiding, Louisa Lombard investigates practices of forceful acquisition, a distinctive political repertoire in which claims to social status are linked to the ability to take (from wild spaces, or from others) and are frequently overturned. People have developed raiding skills to survive and live in a stateless borderland for over 150 years. From the trans-Saharan slave trade, to colonial forced labour regimes, big game hunting and coercive conservation, to rebellion, raiding has flourished where people's status in relation to each other is unclear and where institutional guidance is absent. Hunting Game offers rich comparative insights into the vibrant, if not always salutary, role that forceful acquisition plays in the world today.