Ronald Coase asserted that voluntary two-party bargaining with zero transaction costs results in an optimal resource allocation, which is invariant with respect to the liability rule. It has been argued that nonseparabilities destroy the validity of Coase's theorem. In this paper it is shown that this criticism is based on implausible assumptions about the externality-receivers adjustment to the externality level. 相似文献
Bioplastic materials from renewable polymers, like proteins, constitute a highly interesting field for important industrial applications such as packaging, agriculture, etc., in which thermo-mechanical techniques are increasingly being used. This study assesses bioplastic materials produced by injection from blends previously prepared in a batch mixer using various protein concentrates and isolates. A mixing time of 5 min has been selected in order to ensure correct homogenous blends. A comparison between different protein-based specimens was performed by dynamic mechanical thermal analysis, tensile strength, water uptake and transmittance tests. The comparison reveals that the protein nature and the percentage of plasticizer lead to bioplastics with different properties and, consequently, different applications. Protein concentrates and isolates, wastes and surpluses from the food industry, may be useful for producing bioplastics with suitable mechanical properties and processability, as well as biodegradability, by means of suitable mixing and injection moulding conditions. 相似文献
The distribution of risk of coastal inundation, and the potential benefits of adapting to protect against inundation, vary greatly both within and between coastal communities. This diversity is a result of physical factors, such as the risk of storm surge, sea level rise projections, and the topography of the landscape, as well as socio-economic factors, such as the level of development, and the capacity within the community to adapt. Despite this strong local variation, various communities share common characteristics that constrain or enable different adaptation options in different situations. Understanding these drivers is likely to be important in engaging coastal communities in the discussion around adaptation and may provide new insights into which adaptation options are suitable for each of our at-risk coastal communities. We performed a property-level analysis of 6 suburb-sized case studies distributed along the coast of Queensland, Australia. We assessed the potential economic costs of inundation events now and in the future under sea level rise projections, and the potential avoided costs following adaptation to protect against inundation. We went beyond this to estimate the distribution of risk in each community and compared the potential costs of adaptation with the capacity of the community to pay for their implementation. We used these insights to propose a typology of coastal communities based on their exposure to total inundation risk, the distribution of that risk within the community, and their capacity to adapt. 相似文献
Although the southeast region of the Gulf of California has a high fish diversity, due to the high biological productivity, the coastal area of Nayarit has few studies in this regard. The main objective of this work is to describe the variability of the structure of the ichthyofauna in the coastal zone of Nayarit during an annual cycle. Biological samples were collected at 10 stations during February, May, July, and December 2014. The temperature, depth, salinity, and organic material and carbonates in sediments were also recorded. The analysis of diversity includes three facets: ecological, taxonomic, and functional. A total of 82 species belonging to 56 genera, 31 families, 11 orders, and two classes were identified. The most abundant species included Selene peruviana, Stellifer wintersteenorum, Cathorops sp., and Larimus argenteus. Of the total of identified species, 62% were considered as rare according to their abundance and frequency. Although the environmental variables analyzed were variable, all diversity indices did not reveal an evident spatio-seasonal pattern. Likewise, most values of average taxonomic distinctness presented the expected values. However, some values showed a low taxonomic diversity. The indices of functional diversity showed a stable functional richness and redundancy in the attributes of the species.
Queen pheromones interfere with worker reproduction in social insects. However, there is still an unresolved question as to
whether this pheromone acts as an “honest” signal for workers, giving a reliable indication of the queen’s reproductive value,
or as a suppressive agent, inhibiting worker reproduction independent of the queen’s reproductive capacity. In honeybees (Apis mellifera), the queen’s mandibular gland secretion, a mix of fatty acids and some aromatic compounds, is crucial for regulating the
reproductive division of labor in the colony inhibiting ovary development in workers. We quantified the mandibular gland secretions
of virgin, drone-laying, and naturally mated queens using gas chromatography to test whether the queens’ mating, ovary activation,
or the reproductive value for workers correlated with the composition of the secretion. Although the absolute amounts of the
“queen substance” 9-oxo-2(E)-decenoic acid (9-ODA) were similar among the three groups, the proportions of 9-ODA decreased
with increasing reproductive quality. Furthermore, the ratios of queen to worker compounds were similar in all three treatment
groups, irrespective of the reproductive capacity. A multivariate analysis including all six compounds could not separate
drone-laying queens from naturally mated ones, both with active ovaries but only the latter ensuring colony survival. We suggest
that the mandibular gland pheromones are unlikely to function as reliable indicators of queen reproductive value and rather
operate as an agent to suppress worker reproduction. This does not exclude the possibility that other “honest” pheromone signals
exist in the honeybee colony, but these would have to arise from other semiochemicals, which could be produced by both the
queen and the brood. 相似文献
Dispersal is a process critical for the dynamics and persistence of metapopulations, but it is difficult to quantify. It has been suggested that the old-forest lichen Lobaria pulmonaria is limited by insufficient dispersal ability. We analyzed 240 DNA extracts derived from snow samples by a L. pulmonaria-specific real-time PCR (polymerase chain reaction) assay of the ITS (internal transcribed spacer) region allowing for the discrimination among propagules originating from a single, isolated source tree or propagules originating from other locations. Samples that were detected as positives by real-time PCR were additionally genotyped for five L. pulmonaria microsatellite loci. Both molecular approaches demonstrated substantial dispersal from other than local sources. In a landscape approach, we additionally analyzed 240 snow samples with real-time PCR of ITS and detected propagules not only in forests where L. pulmonaria was present, but also in large unforested pasture areas and in forest patches where L. pulmonaria was not found. Monitoring of soredia of L. pulmonaria transplanted to maple bark after two vegetation periods showed high variance in growth among forest stands, but no significant differences among different transplantation treatments. Hence, it is probably not dispersal limitation that hinders colonization in the old-forest lichen L. pulmonaria, but ecological constraints at the stand level that can result in establishment limitation. Our study exemplifies that care has to be taken to adequately separate the effects of dispersal limitation from a limitation of establishment. 相似文献
An earlier field experiment at Canadian Forces Base Borden by Brewster and Annan [Geophysics 59 (1994) 1211] clearly demonstrated the capability of ground penetrating radar (GPR) reflection profiling to detect and monitor the formation of DNAPL layers in the subsurface. Their experiment involved a large volume release (770 L) of tetrachloroethylene into a portion of the sand aquifer that was hydraulically isolated from groundwater flow by sheet pile walls. In this study, we evaluated the ability of GPR profiling to detect and monitor much smaller volume releases (50 L). No subsurface confining structure was used in this experiment; hence, the DNAPL impacted zone was subjected to the natural groundwater flow regime. This condition allowed us to geophysically monitor the DNAPL mass loss over a 66 month period. Reflectivity variations on the GPR profiles were used to infer the presence and evolution of the solvent layers. GPR imaging found significant reflectivity increases due to solvent layer formation during the two week period immediately after the release. These results demonstrated the capacity of GPR profiling for the detection and monitoring of lesser volume DNAPL releases that are more representative of small-scale industrial spills. The GPR imaged solvent layers subsequently reduced in both areal extent and reflectivity after 29 months and almost completely disappeared by the end of the 66 month monitoring period. Total DNAPL mass estimates based on GPR profiling data indicated that the solvent mass was reduced to 34%-36% of its maximum value after 29 months; only 4%-9% of the solvent mass remained in the study area after 66 months. These results are consistent with independent hydrogeological estimates of remaining DNAPL mass based on the downgradient monitoring of the dissolved solvent phase. Hence, we have concluded that the long-term GPR reflectivity changes of the DNAPL layers are likely the result from the dissolution of chlorinated solvents residing in those layers. The long-term monitoring results demonstrated that GPR profiling is a promising non-invasive method for use at DNAPL contaminated sites in sandy aquifers where temporal information about immiscible contaminant mass depletion due to either natural flow or remediation is needed. However, our results also indicated that the GPR signature of older DNAPL impacted zones may not differ greatly from the uncontaminated background if significant mass reduction due to dissolution has occurred. 相似文献
A framework is developed for simultaneous, optimal design of groundwater contaminant source removal and plume remediation strategies. The framework allows for varying degrees of effort and cost to be dedicated to source removal versus plume remediation. We have accounted for the presence of physical heterogeneity in the DNAPL source, since source heterogeneity controls mass release into the plume and the efficiency of source removal efforts. We considered high and low estimates of capital and operating costs for chemical flushing removal of the source, since these are expected to vary form site to site. Using the lower chemical flushing cost estimates, it is found that the optimal allocation of funds to source removal or plume remediation is sensitive to the degree of heterogeneity in the source. When the time elapsed between the source release and the implementation of remediation was varied, it was found that, except for the longest elapsed time (50,000 days), a combination of partial source removal and plume remediation was most efficient. When first-order, dissolved contaminant degradation was allowed, source removal was found to be unnecessary for the cases where the degradation rate exceeded intermediate values of the first-order rate constant. Finally, it was found that source removal became more necessary as the degree of aquifer heterogeneity increased. 相似文献