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Furrow-irrigated rice (Oryza sativa L.) hectares are increasing in the Midsouth. The lack of sustained flooding creates a favorable environment for weed emergence and persistence, which makes Palmer amaranth (Amaranthus palmeri S. Watson) difficult to control throughout the growing season. The negative yield impacts associated with season-long A. palmeri interference in corn, cotton, and soybean have been evaluated. However, there is limited knowledge of the weed’s ability to influence rice grain yield. Research was initiated in 2022 and 2023 to determine the effect of A. palmeri time of emergence relative to rice on weed seed production and grain yield. Cotyledon stage A. palmeri plants were marked every seven days, beginning one week before rice emergence through four weeks after rice emergence. Amaranthus palmeri seed production decreased exponentially as emergence timing was delayed relative to rice, and seed production increased by 447 seed plant-1 for every one-gram increase in weed biomass. Without rice competition and from the earliest emergence timing, A.palmeri produced 540,000 seeds plant-1. Amaranthus palmeri that emerged one week before the crop had the greatest spatial influence on rice, with grain yield loss of 5% and 50% at a distance of 1.4 m and 0.40 m from the weed, respectively. As A. palmeri emergence was delayed, the area of influence decreased. However, A. palmeri plants emerging 3.5 weeks after rice emergence still negatively affected grain yield and produce sufficient seed to replenish the soil seedbank, potentially impacting long-term crop management decisions. These results show that the time of A. palmeri emergence is a crucial factor influencing rice grain yield and weed seed production, which can be used to determine the consequences of escapes in rice.
This chapter illustrates how soft law can have very real implications for the fundamental rights position of individuals. While the existence of an interference is often treated implicitly in the case law of the ECtHR and the CJEU, the chapter argues that interferences can result from soft law acts. For the EU this means that recourse to soft law does not in itself preclude the application of the Charter. How soft law may concretely interfere with fundamental rights is illustrated with a couple of examples from different policy areas. Having shown the possible fundamental rights implications of soft law, the chapter turns to remedies. Here the limitations of the EU’s system of judicial remedies is highlighted and the potential of non-judicial remedies is explored.
The interaction between bilingual phonetic systems is dynamic, shaped by both long-term and short-term factors. Short-term factors, the focus of this chapter, refer to immediate changes in the linguistic situation. This chapter discusses two short-term sources of potential phonetic interference: code-switching and bilingual language mode. A growing body of research on the phonetics of code-switching has shown that code-switching may result in phonetic interference between the L1 and the L2, although outcomes may vary across speakers and features. Language mode describes a bilingual’s position along a continuum, from operation in a monolingual mode, in which only one language is active, to bilingual mode with equal activation of both languages. Recent work has demonstrated that language mode may modulate cross-linguistic phonetic interference, with greater interference found during bilingual mode. Finally, this chapter discusses two variables responsible for modulating and constraining phonetic interference in cases of dual language activation that have emerged in the literature – the nature of the phonetic feature and bilingual language dominance.
Dominant debates about China’s growing presence in the Pacific Islands – through infrastructure, aid, trade, and investment – suggest that Chinese material power directly translates to influence and effective interference in Pacific states’ domestic and foreign affairs. These perspectives fail to clarify the causal link between Chinese economic statecraft and Pacific governments’ alignment with Beijing’s interests. They also deny Pacific people agency, overlooking how power relations are mediated by Pacific state and non-state actors operating across complex political and socio-economic structures. We challenge such rationalist conceptualisations of Chinese power by developing a constructivist taxonomy of power as presence (dormant capability), influence (socialisation), and interference (incentives), and applying it to the Melanesian subregion. We argue that Chinese power is not merely material, causal, and unidirectional. Chinese power can also (re)shape the identities and interests of Pacific elites and publics in a constitutive manner, potentially aligning their ideas about substantive norms, rules, and practices guiding their foreign relations with Chinese ‘core interests’ and perspectives on regional and global politics.
In this chapter, the aim is to visualize wave dynamics in one dimension as dictated by the Schrödinger equation. The necessary numerical tools are introduced in the first part of the chapter. Via discretization, the wave function is represented as a column vector and the Hamiltonian, which enters into the Schrödinger equation, as a square matrix. It is also seen how different approximations behave as the numerical wave function reaches the numerical boundary – where artefacts appear. This numerical framework is first used to see how a Gaussian wave packet would change its width in time and, eventually, spread out. Two waves interfering is also simulated. And wave packets are sent towards barriers to see how they bounce back or, possibly, tunnel through to the other side. In the last part of the chapter, it is explained how quantum measurements provide eigenvalues as answers – for any observable physical quantity. This, in turn, is related to what is called the collapse of the wave function. It is also discussed how a quantity whose operator commutes with the Hamiltonian is conserved in time. Finally, the concept of stationary solutions is introduced in order to motivate the following chapter.
The influence of one language on the other when bilinguals speak and write monolingually is an intriguing phenomenon. The author first revisits how interference has been defined over the years by major researchers. He then argues that the definitions proposed were simply too broad, and covered not only interferences but also other contact phenomena such as code-switches and borrowings. The only way to get to the bottom of this problem is to control the language mode bilinguals and language learners are in when they are being observed. In addition, he suggests that we differentiate permanent traces of one language on the other (to be called transfers) from ephemeral intrusions of the other language (these would be interferences). The author continues by describing research conducted with his colleagues on Spanish–French bilinguals in the French-speaking part of Switzerland. The results obtained allowed them to have a better understanding of language restructuring in a first language. In addition, and as a by-product, it gave them a way to differentiate ephemeral intrusions from more permanent traces of the other language. He ends the chapter with a few words on bilinguals’ comprehension of speech containing cross-linguistic influences that comprise both transfers and interferences.
Chapter 3 focuses on the fundamental engineering principles used to design and deploy modern wireless communication systems. The assignment of radio channels in a mobile radio environment is presented, with considerations on co-channel and adjacent channel interference, and the approaches used to mitigate interference in a cellphone system. Repeaters, cell-splitting, micro-cells, and picocells are discussed, and trunking theory is introduced to demonstrate how capacity is computed in a mobile network with shared resources and in the face of interference.
Differences between native (L1) and non-native (L2) comprehension have been debated. This study explores whether a source of potential L1/L2 differences lies in susceptibility to memory-based interference during dependency formation. Interference effects are known to occur in sentences like The key to the cabinets were rusty, where ungrammaticality results from a number mismatch between the sentence subject and verb. Such sentences are sometimes misperceived as grammatical due to the presence of a number-matching “distractor” (“the cabinets”). Interference has been well-examined in a number agreement. However, whether and how forming thematic relations is susceptible to interference remains underexplored in L1 and L2 language comprehension. In six preregistered experiments, we investigated semantic interference in language comprehension and explored whether potential L1/L2 differences can be attributed to different degrees of susceptibility to interference. The results did not show that L2 speakers are more susceptible to interference than L1 speakers. Also, the observed interference patterns were only partially consistent with existing theories of memory retrieval during comprehension. We discuss how these theories may be reconciled with our findings and argue our results suggest that similar processes are involved in L1 and L2 subject-verb dependency formation.
Word list-learning tasks are commonly used to evaluate auditory-verbal learning and memory. However, different frequencies of word usage, subtle meaning nuances, unique word phonology, and different preexisting associations among words make translation across languages difficult. We administered lists of consonant-vowel-consonant (CVC) nonword trigrams to independent American and Italian young adult samples. We evaluated whether an auditory list-learning task using CVC nonword trigrams instead of words could be applied cross-culturally to evaluate similar learning and associative memory processes.
Participants and Methods:
Seventy-five native English-speaking (USA) and 104 native Italian-speaking (Italy) university students were administered 15-item lists of CVC trigrams using the Rey Auditory Verbal Learning Test paradigm with five study-test trials, an interference trial, and short- and long-term delayed recall. Bayesian t tests and mixed-design ANOVAs contrasted the primary learning indexes across the two samples and biological sex.
Results:
Performance was comparable between nationalities on all primary memory indices except the interference trial (List B), where the Italian group recalled approximately one item more than the American sample. For both nationalities, recall increased across the five learning trials and declined significantly on the postinterference trial, demonstrating susceptibility to retroactive interference. No effects of sex, age, vocabulary, or depressive symptoms were observed.
Conclusions:
Using lists of unfamiliar nonword CVC trigrams, Italian and American younger adults showed a similar performance pattern across immediate and delayed recall trials. Whereas word list-learning performance is typically affected by cultural, demographic, mood, and cognitive factors, this trigram list-learning task does not show such effects, demonstrating its utility for cross-cultural memory assessment.
Replacement series are used by researchers to understand how competition-related variables influence dynamics from the individual to the population and community levels, but this approach has been criticized because of inherent biases associated with plant size differences and density-dependent responses. The use of functional densities instead of demographic densities was proposed to minimize those biases. This work explored three models to determine reference densities for replacement series experiments based on (1) maximum biomass, (2) biomass at onset of diminishing returns (i.e., inflection point), and (3) nitrogen (N)-uptake equivalency. Replacement series experiments were conducted using redroot pigweed (Amaranthus hybridus L.):maize (Zea mays L.) and giant foxtail (Setaria faberi Herrm.):maize proportions of 1:0, 0.75:0.25, 0.5:0.5, 0.25:0.75, and 0:1. The monoculture density for each species was established according to the three models. Density selection criteria resulted in major differences in competitive interactions between species. The use of functional densities at which the biomass accumulation inflection point for the smaller species allowed both species to exhibit either increases or decreases in biomass production depending on competitive interactions for all interspecific mixtures. Conversely, the maximum biomass model favored the larger species, almost completely inhibiting the growth of the smaller species, which resulted in a poor characterization of competitive responses of the smaller species. The N uptake equivalency model resulted in interactions closer to the predicted neutral competition. The model based on the biomass accumulation inflection point was the most sensitive and informative across all interspecific mixtures for both species. We propose that to reduce bias associated with species size differences when determining reference densities for replacement series experiments, at least two criteria must be met: (1) the experiment sensitivity allows measuring and quantifying the competitive responses for both species in all mixtures, and (2) the balance between density and carrying capacity of the system minimizes intraspecific competition.
This chapter discusses several key aspects and basics of the European Convention on Human Rights. First, it explains two main principles underlying the ECHR system as a whole: the principle of effective protection of fundamental rights and the principle of subsidiarity. In addition, the double role of the Court within the Convention system is set out, which is to offer individual redress or individual justice when Convention rights have been violated on the national level, and to clarify Convention rights standards (which is the Court’s constitutional role). The Chapter further addresses the three main stages of the Court’s review, which correspond to the structure of most of the Convention rights: (1) deciding on the applicability and interpretation of a Convention right; (2) determining if there is an interference with the right; (3) reviewing whether a justification can be given for this interference. Finally, a typology is provided of Convention rights according to the possibilities for restricting these rights, e.g. paying attention to absolute, non-derobable rights and distinguishing between different types derogable rights.
Sending microwaves through bauxite ore allows almost continuous measurement of moisture content during offload by conveyor belt from a ship. Data and results from a microwave analyser were brought to a European Study Group with Industry at the University of Limerick, with the over-arching question of whether the results are accurate enough. The analyser equipment uses linear regression against phase shifts and signal attenuation to infer moisture content in real time. Simple initial modelling conducted during the Study Group supports this use of linear regression for phase shift data. However, that work also revealed striking and puzzling differences between model and attenuation data.
We present an improved model that allows for multiple reflections of travelling microwaves within the bauxite and in the air above it. Our new model uses four differential equations to describe how electric fields change with distance in each of four layers. By solving these equations and taking reflections into account, we can accurately predict what the receiving antenna will pick up.
Our new solution provides much-improved matches to data from the microwave analyser, and indicates the deleterious effects of reflections. Modelled signal strength behaviour features a highly undesirable noninvertible dependence on bauxite mixture permittivity.
Practical measures that might be expected to reduce the effects of microwave reflections and improve the accuracy of microwave analyser results are suggested based on our improved model solution. This modelling approach and these results are anticipated to extend to the analysis of moisture content during transport on conveyor belts of other ores, slurries, coal, grains and pharmaceutical powders, especially when the depth of the conveyed material is variable.
The axial offset joint has two rotating axes that do not intersect but have a specific offset in space. It is used widely in parallel manipulators (PMs). The offset-joint workspace can directly affect the PM workspace. This study performed a theoretical derivation and workspace analysis of a class of axial offset joints. First, a theoretical parametric model describing the rotation range of the offset joint is established that considers the interference of the offset joint because of the contact between the upper- and lower-joint brackets during movement. Second, the analytical expressions of the offset-joint workspace are formulated based on the coordinate system transformation. The offset-joint workspace is theoretically calculated in this study using formulations. Then, through a comparative analysis, the superiority of the offset joint compared with the universal joint is verified. The theoretical formulations in this paper can be used to calculate the workspace of a class of axial offset joints. Finally, based on a workspace analysis of three types of PMs using offset, universal, and spherical joints, the offset-joint PM workspace is much larger than those of the other two types.
The Arctic region is rapidly changing as a result of climate alteration, political tensions and ambitions of the Arctic and non-Arctic states. Is the existing governance considered to be adequate for effective international security cooperation in the region? On the one hand, we look optimistic at the evolution of international relations in the areas of science and technology, conservation, search and rescue coordination, tourism, etc. On the other hand, there is a significantly increased militarisation of the Arctic region. The recent rise in military activities in the North has resulted in numerous regional deployments, patrols and other incidents in the maritime Arctic. In general, militarisation together with climate change are impacting scientific-commercial activities. Also, the absence of an adequate legal regime that may respond to climate change and interruption of civil activities by military exercises in a fast and effective way hampers international cooperation. This paper problematises various aspects of interaction between scientific-commercial activities and naval operations in the Arctic region.
Chapter 3 explores cross-linguistic influence and various theories thereof in multilingual settings in which more than two languages interact with one another. It is specifically interested in the direction and strength of such influence, contingent on parameters like age of onset, proficiency, L1 and L2 status, linguistic and typological proximity, recency of use, language dominance, as well as various others. It identifies cross-linguistic influence as the more encompassing concept in comparison to the traditional notion of transfer widely used in second language acquisition studies. It also discusses the relationship between cross-linguistic influence and language interdependence, as proposed in education studies. While language interdependence builds on the proficiency-enhancing qualities of multilingualism (qua metalinguistic awareness), cross-linguistic influence can be both facilitative and inhibitory, the latter manifesting itself as interference. Crucially, non-facilitative transfer only arises within a normative system. Moreover, the mechanisms underlying cross-linguistic influence show important parallels to those identified in language contact studies with its focus on contact-induced language change.
How do you read a patent and what subject matter is patentable? What is the purpose of a patent? Who is an inventor on the patent if work is done by many people on the project? What is the process of obtaining a patent in my country and globally? Read this chapter to see how you could lose commercialization rights to your own invention. When exactly does an invention or idea become patentable? Once you own a patent, how can you make money from it? What is the process of licensing and the key terms that should be negotiated in such a license agreement? What is the use of a copyright or a trade secret in biotech? What exactly constitutes patent infringement ? These questions and many others are addressed in this chapter on intellectual property.
We developed an agent-based model using a trial emulation approach to quantify effect measure modification of spillover effects of pre-exposure prophylaxis (PrEP) for HIV among men who have sex with men (MSM) in the Atlanta-Sandy Springs-Roswell metropolitan area, Georgia. PrEP may impact not only the individual prescribed, but also their partners and beyond, known as spillover. We simulated a two-stage randomised trial with eligible components (≥3 agents with ≥1 HIV+ agent) first randomised to intervention or control (no PrEP). Within intervention components, agents were randomised to PrEP with coverage of 70%, providing insight into a high PrEP coverage strategy. We evaluated effect modification by component-level characteristics and estimated spillover effects on HIV incidence using an extension of randomisation-based estimators. We observed an attenuation of the spillover effect when agents were in components with a higher prevalence of either drug use or bridging potential (if an agent acts as a mediator between ≥2 connected groups of agents). The estimated spillover effects were larger in magnitude among components with either higher HIV prevalence or greater density (number of existing partnerships compared to all possible partnerships). Consideration of effect modification is important when evaluating the spillover of PrEP among MSM.
Chapter 10, in contrast to all the previous chapters that focused on the performance of the downlink, analyzes the performance of the uplink of an ultra-dense network. Importantly, this chapter shows that the phenomena presented in – and the conclusions derived from – all the previous chapters also apply to the uplink, despite its different features, e.g. uplink transmit power control, inter-cell interference source distribution. System-level simulations are used in this chapter to conduct the study.
Chapter 3 summarizes the modelling, derivations and main findings of probably one of the most important works on small cell theoretical performance analysis, which concluded that the fears of an inter-cell interference overload in small cell networks were not well-grounded, and that the network capacity – or in more technical words, the area spectral efficiency – linearly grows with the number of deployed small cells. This research was the cornerstone of much of the research that followed on small cells performance analysis.
Chapter 1 introduces the capacity challenge faced by modern wireless communication systems and presents ultra-dense wireless networks as an appealing solution to address it. Moreover, it provides background on the small cell concept – the fundamental building block of an ultra-dense wireless network – describing its main characteristics, benefits and drawbacks. This chapter also presents the structure of the book and the fundamental concepts required for its systematic understanding.