OBJECTIVE: Two simulator studies were conducted that assessed the effect of driver eye height on speed choice, lane-keeping, and car-following behavior. The effect of eye height on the subjective variables of mental workload, frustration, and confidence was also investigated, as was the contribution of drivers' aggression. METHODS: A total of 43 participants drove a simulated route while seated at two different eye heights: one that represented the view of the road from a large SUV and one that represented the view of the road from a small sports car. Driving scenarios were comprised of both open road and car-following segments. Dependent variables included driver-selected speed, speed variability, lane position, following distance to a slower-moving lead vehicle, and the subjective variables of frustration, confidence, and mental workload. RESULTS: When viewing the road from a high eye height, drivers drove faster, with more variability, and were less able to maintain a consistent position within the lane than when viewing the road from a low eye height. Driver eye height did not influence following distance to a slower-moving lead vehicle. Driver aggression had no effect on any of the dependent variables except level of frustration. CONCLUSIONS: The two studies demonstrate that, when they are not able to reference a speedometer, drivers choose to drive faster when they view the road from an eye height that is representative of a large SUV compared to that of a small sports car. There is a need to educate drivers of SUVs and other tall vehicles of this perceptual phenomenon in order to prevent collisions that may occur in conditions where it is impossible for drivers to base their speed selection solely on posted speed limits, such as in inclement weather. 相似文献
Conservation organizations rely on conservation easements for diverse purposes, including protection of species and natural communities, working forests, and open space. This research investigated how perpetual conservation easements incorporated property rights, responsibilities, and options for change over time in land management. We compared 34 conservation easements held by one federal, three state, and four nonprofit organizations in Wisconsin. They incorporated six mechanisms for ongoing land management decision-making: management plans (74 %), modifications to permitted landowner uses with discretionary consent (65 %), amendment clauses (53 %), easement holder rights to conduct land management (50 %), reference to laws or policies as compliance terms (47 %), and conditional use permits (12 %). Easements with purposes to protect species and natural communities had more ecological monitoring rights, organizational control over land management, and mechanisms for change than easements with general open space purposes. Forestry purposes were associated with mechanisms for change but not necessarily with ecological monitoring rights or organizational control over land management. The Natural Resources Conservation Service-Wetland Reserve Program had a particularly consistent approach with high control over land use and some discretion to modify uses through permits. Conservation staff perceived a need to respond to changing social and ecological conditions but were divided on whether climate change was likely to negatively impact their conservation easements. Many conservation easements involved significant constraints on easement holders’ options for altering land management to achieve conservation purposes over time. This study suggests the need for greater attention to easement drafting, monitoring, and ongoing decision processes to ensure the public benefits of land conservation in changing landscapes. 相似文献
Feeding marine wildlife as a tourism experience has become a popular means by which to attract both people and wildlife, although
management efforts are still in their infancy. “Stingray City Sandbar” in the Cayman Islands, where visitors can hand feed
free-ranging Southern Stingrays (Dasyatis americana), is a world-famous attraction currently undergoing visitor and wildlife management. One plan is to decrease the amount of
nonnatural food provided by tourists with the intention of decreasing stingray habituation to the artificial food source and
promoting stingray health. However, the effectiveness of this action is uncertain given that neither the extent of squid composition
in the stingray diet nor the degree of nutrient similarity between the fed and natural diets is unknown. We used fatty acid
(FA) profile analysis to address these questions by assessing the serum nonesterified FA composition of fed and unfed stingrays
around the island and compared them with FA profiles of (1) the provisioned food source (squid) and (2) other warm- and cold-water
elasmobranchs (sharks and rays). Our results indicated that fed stingrays were distinct. The FA profiles of the fed stingray
population were expressly different from those of the unfed populations and showed a remarkable similarity to the FA composition
of squid, suggesting that squid is the main food source. The tropical fed stingrays also exhibited essential FA ratios, specific
to both species and habitat, comparable with those of elasmobranchs and squid from cold-water environs, implying that the
provisioned food does not provide a similar nutritional lipid composition to that eaten in the wild. Our results suggest that
FA profiles are a valuable indicator for the management and monitoring of fed Southern Stingrays because they can be used
to assess differences in diet composition and provide an index of nutritional similarity. Our findings are currently being
used by Caymanian stakeholders in designing practical management actions for their wildlife attraction. 相似文献
A study was conducted that assessed the effectiveness of different child restraint system (CRS) label/warning designs on users' installation performance. Forty-eight paid participants installed a convertible CRS in a vehicle, and two child test dummies in a CRS, using one of four label conditions. The label conditions were: (1) no labels, (2) the manufacturer's labels that were already affixed to the CRS ("Current"), (3) labels that were designed according to a combination of the current U.S. regulations concerning CRS labels and recently proposed changes to these regulations ("Proposed"), and (4) labels that were designed according to human factors principles and guidelines, and that were based on a hierarchical behavioral task analysis ("Optimal"). Results demonstrated that, overall, the Optimal labels resulted in higher usability ratings and better task performance. This indicates that labels designed using human factors and task analyses that identify critical task information requirements for label features will result in increased user compliance with instructions, higher usability, and improved task performance. Surprisingly, having no labels on the CRS resulted in better installation performance than when either the Current or the Proposed label conditions were used. This indicates that label design can decrease task performance; the actual physical design of a CRS may be just as critical as label content in the installation choices provided to the user. Collectively, results suggest that implementation of the proposed changes to the U.S. regulations concerning CRS labeling would likely not result in increased performance or usability compared to existing manufacturer labels that follow the current guidelines. In order to achieve significantly better ease-of-use and task performance, it would be necessary to implement features of the Optimal label condition. 相似文献
The pollution of the surface waters of Greece from the priority compounds of 76/464/EEC Directive was evaluated. The occurrence of 92 toxic compounds, 64 of which belong to priority compounds of List II, candidates for List I, of 76/464/EEC Directive, was studied in surface waters and wastewater through the developed network of 62 sampling stations, which covers the whole Greek territory. The analytical determination was performed by Purge and Trap-Gas chromatography-Mass spectrometry for volatile and semivolatile organic compounds (VOCs), Gas Chromatography-Electron Capture Detection for organochlorine insecticides, Gas Chromatography-Nitrogen Phosphorous Detection for organophosphorous insecticides, High Performance Liquid Chromatography-Photodiode Array Detection for herbicides, and Electrothermal Atomic Absorption Spectrophotometry and Inductively Coupled Plasma-Atomic Emission Spectrometry (ICP-AES) for metals and the toluene extractable organotin compounds. The concentrations of VOCs and insecticides detected in the surface waters of Greece were very low, whereas the concentrations of herbicides and metals ranged generally at moderate levels. VOCs were detected almost exclusively in the rivers and very rarely in the lakes, while the frequency of occurrence of insecticides, herbicides and metals was similar for rivers and lakes. Water quality objectives (WQO) and emission limit values (ELV) have been laid down in national legal framework for a number of compounds detected in the samples, in order to safeguard the quality of surface waters from any future deterioration. 相似文献
ABSTRACT: In order to establish meaningful nutrient criteria, consideration must be given to the spatial variations in geographic phenomena that cause or reflect differences in nutrient concentrations in streams. Regional differences in stream nutrient concentrations were illustrated using stream data collected from 928 nonpoint‐source watersheds distributed throughout the country and sampled as part of the U.S. EPA National Eutrophication Survey (NES). Spatial patterns in the differences were compared and found to correspond with an a priori regional classification system based on regional patterns in landscape attributes associated with variation in nutrient concentrations. The classification consists of 14 regions composed of aggregations of the 84 U.S. EPA Level III Ecoregions. The primary distinguishing characteristics of each region and the factors associated with variability in water quality characteristics are presented. The use of the NES and many other extant monitoring data sets to develop regional reference conditions for nutrient concentrations in streams is discouraged on the basis of sample representation. The necessity that all sites used in such an effort be regionally representative and consistently screened for least possible impact is emphasized. These sampling issues are rigorously addressed by the U.S. EPA Environmental Monitoring and Assessment Program (EMAP). A case‐study, using EMAP data collected from the Central and Eastern Forested Uplands, demonstrates how regional reference conditions and draft nutrient criteria could be developed. 相似文献
Land classification systems can be useful for assessing aquatic ecosystems if relationships among them exist. Because the character of an aquatic ecosystem depends to a large extent upon the character of the landscape it drains, spatial patterns in aquatic ecosystems should correspond to patterns in the landscape. To test this hypothesis, the US state of Ohio was divided into four aquatic ecoregions based on an analysis of spatial patterns in the combination of land-surface form, land use, potential natural vegetation, and soil parent material. During the period July–October 1983, fish assemblages were sampled in 46 streams that were representative of the ecoregions, and that had watersheds relatively undisturbed by human activities. Spatial patterns of the fish assemblages were examined relative to the ecoregions; distinct regional differences were identified. The assemblages differed most between the Huron/Erie Lake Plain region and the Western Allegheny Plateau region; assemblages in the Eastern Corn Belt Plains and the Erie/Ontario Lake Plain-Interior Plateau regions were intermediate. This pattern also reflects the gradient in landscape character as one moves from the northwest to the southeast of Ohio. 相似文献
Objective: Although numerous research studies have reported high levels of error and misuse of child restraint systems (CRS) and booster seats in experimental and real-world scenarios, conclusions are limited because they provide little information regarding which installation issues pose the highest risk and thus should be targeted for change. Beneficial to legislating bodies and researchers alike would be a standardized, globally relevant assessment of the potential injury risk associated with more common forms of CRS and booster seat misuse, which could be applied with observed error frequency—for example, in car seat clinics or during prototype user testing—to better identify and characterize the installation issues of greatest risk to safety.
Methods: A group of 8 leading world experts in CRS and injury biomechanics, who were members of an international child safety project, estimated the potential injury severity associated with common forms of CRS and booster seat misuse. These injury risk error severity score (ESS) ratings were compiled and compared to scores from previous research that had used a similar procedure but with fewer respondents. To illustrate their application, and as part of a larger study examining CRS and booster seat labeling requirements, the new standardized ESS ratings were applied to objective installation performance data from 26 adult participants who installed a convertible (rear- vs. forward-facing) CRS and booster seat in a vehicle, and a child test dummy in the CRS and booster seat, using labels that only just met minimal regulatory requirements. The outcome measure, the risk priority number (RPN), represented the composite scores of injury risk and observed installation error frequency.
Results: Variability within the sample of ESS ratings in the present study was smaller than that generated in previous studies, indicating better agreement among experts on what constituted injury risk. Application of the new standardized ESS ratings to installation performance data revealed several areas of misuse of the CRS/booster seat associated with high potential injury risk.
Conclusions: Collectively, findings indicate that standardized ESS ratings are useful for estimating injury risk potential associated with real-world CRS and booster seat installation errors. 相似文献
Most animals can modulate nutrient storage pathways according to changing environmental conditions, but in honey bees nutrient storage is also modulated according to changing behavioral tasks within a colony. Specifically, bees involved in brood care (nurses) have higher lipid stores in their abdominal fat bodies than forager bees. Pheromone communication plays an important role in regulating honey bee behavior and physiology. In particular, queen mandibular pheromone (QMP) slows the transition from nursing to foraging. We tested the effects of QMP exposure on starvation resistance, lipid storage, and gene expression in the fat bodies of worker bees. We found that indeed QMP-treated bees survived much longer compared to control bees when starved and also had higher lipid levels. Expression of vitellogenin RNA, which encodes a yolk protein that is found at higher levels in nurses than foragers, was also higher in the fat bodies of QMP-treated bees. No differences were observed in expression of genes involved in insulin signaling pathways, which are associated with nutrient storage and metabolism in a variety of species; thus, other mechanisms may be involved in increasing the lipid stores. These studies demonstrate that pheromone exposure can modify nutrient storage pathways and fat body gene expression in honey bees and suggest that chemical communication and social interactions play an important role in altering metabolic pathways. 相似文献