Auswahl der wissenschaftlichen Literatur zum Thema „Reception capacity“

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Zeitschriftenartikel zum Thema "Reception capacity"

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Bui, Gia Thinh, Yi Ze Chen und Da-Chen Pang. „Polymer-Based Capacity Micromachined Ultrasonic Transducer for Surface Roughness Measurement“. Key Engineering Materials 661 (September 2015): 22–28. http://dx.doi.org/10.4028/www.scientific.net/kem.661.22.

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A polymer-based capacitive micromachined ultrasonic transducer (CMUT) is developed to measure surface roughness. The transducer is designed with two groups in a ratio of two to one. By using air-coupled ultrasound, the transducer can evaluate surface roughness in five modes: full transmission/ full reception, majority transmission/ majority reception, majority transmission/ minority reception, minority transmission/ majority reception, and minority transmission/ minority reception. Experimentation shows the CMUT can identify the surface roughness using a sample of sandpaper with surface roughness Rrms ranging from 11.4μm to 179.8μm. The results indicate that the full transmission/ full reception mode has maximum signal output and the minority transmission/ majority reception mode can obtain a good signal output with a better energy efficiency rating.
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Bhardwaj, S., und R. K. Mallik. „Capacity of RAKE reception with energy randomization“. IEEE Communications Letters 7, Nr. 8 (August 2003): 364–66. http://dx.doi.org/10.1109/lcomm.2003.815646.

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Chlamtac, I., und A. Farago. „An optimal channel access protocol with multiple reception capacity“. IEEE Transactions on Computers 43, Nr. 4 (April 1994): 480–84. http://dx.doi.org/10.1109/12.278486.

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Pankaj, Rajesh K., und Andrew J. Viterbi. „Two Multi Access Algorithms for Channels with Multiple Reception Capacity“. IETE Journal of Research 36, Nr. 5-6 (September 1990): 418–23. http://dx.doi.org/10.1080/03772063.1990.11436912.

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Sadjadpour, Hamid, Zheng Wang und J. Garcia-luna-aceves. „The capacity of wireless ad hoc networks with multi-packet reception“. IEEE Transactions on Communications 58, Nr. 2 (Februar 2010): 600–610. http://dx.doi.org/10.1109/tcomm.2010.02.080175.

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Lee, Hee-Jin, Shozo Komaki und Norihiko Morinaga. „Performance of a controlled capacity digital radio system with diversity reception“. Electronics and Communications in Japan (Part I: Communications) 76, Nr. 3 (1993): 84–92. http://dx.doi.org/10.1002/ecja.4410760308.

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Altman, Rick. „Reading Positions, the Cow Bell Effect, and the Sounds of Silent Film“. Cinémas 2, Nr. 2-3 (08.03.2011): 19–31. http://dx.doi.org/10.7202/1001076ar.

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This article demonstrates that both the historical hypothesis and the hermeneutic hypothesis are misleading in the approach regarding the problems of reception. Studying certain performance practices of American silent film, the author concludes that instead of positing cultural conditions for audiences as the basic catalyst for changes in reception, we need to pay greater attention to the capacity of texts to contain and control their own reception.
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Pereira, Newton Narciso, Hernani Luiz Brinati und Rodrigo Pereira Antunes. „Onshore Reception Facilities for ballast water“. Ciencia y tecnología de buques 10, Nr. 20 (30.01.2017): 41. http://dx.doi.org/10.25043/19098642.148.

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This paper completes an exploration analysis of onshore ballast water treatment alternatives at major ports. e authors had presented results for option (1) ballast water treatment onshore installed in two iron ore ports in 2012 applying the discrete events simulation model. Now, two more options are presented: (2) mobile and (3) desalination reception facilities. e previous simulation model developed called TRANSBALLAST, was adapted to consider these two new alternatives. is model was applied to the same ports presented in 2012 and this evaluation also includes one more port with 50 million tons annually (Mta) of iron ore transport capacity. e results uncovered that for (2) there is an increase of 1.90 days on the average waiting time of ships that moored at Port 1. In (3), the average waiting time and berth occupation rates were observed to remain the same presented in (1). One of the major differences between the systems consists in catching sea water to increase the desalination plant operational capacity. Among those three onshore ballast water treatment alternatives, (2) does not impact port terminals infrastructure. Additionally, option (2) could be offered to ports users as a ballast water treatment service and ship-owners might not need any onboard ballast water treatment system. (3) Might be feasible to ports regions without enough water supplies solving two issues: transfer of invasive species from ballast water and water recycling.
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Lawrence, Nicholas P., Brian W. H. Ng, Hedley J. Hansen und Derek Abbott. „Analysis of millimetre-wave polarization diverse multiple-input multiple-output capacity“. Royal Society Open Science 2, Nr. 12 (Dezember 2015): 150322. http://dx.doi.org/10.1098/rsos.150322.

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Millimetre-waves offer the possibility of wide bandwidth and consequently high data rate for wireless communications. For both uni- and dual-polarized systems, signals sent over a link may suffer severe degradation due to antenna misalignment. Orientation robustness may be enhanced by the use of mutual orthogonality in three dimensions. Multiple-input multiple-output polarization diversity offers a way of improving signal reception without the limitations associated with spatial diversity. Scattering effects often assist propagation through multipath. However, high path loss at millimetre-wave frequencies may limit any reception enhancement through scattering. We show that the inclusion of a third orthogonal dipole provides orientation robustness in this setting, as well as in a rich scattering environment, by means of a Rician fading channel model covering all orientations for a millimetre-wave, tri-orthogonal, half-wave dipole transmitter and receiver employing polarization diversity. Our simulation extends the analysis into three dimensions, fully exploiting individual sub-channel paths. In both the presence and absence of multipath effects, capacity is observed to be higher than that of a dual-polarized system over the majority of a field of view.
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Shitomi, Takuya, Shingo Asakura, Shogo Kawashima, Akihiko Sato,, Hiroaki Miyasaka, Noriyuki Shirai, Yoshikazu Narikiyo et al. „Fixed Reception Performance of FDM-based Transmission System for Advanced ISDB-T“. SET INTERNATIONAL JOURNAL OF BROADCAST ENGINEERING 2020, Nr. 6 (01.08.2020): 9–20. http://dx.doi.org/10.18580/setijbe.2020.1.

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With the aim of improving the quality and expanding the functions of digital terrestrial television broadcasting services, we have been developing an advanced transmission system that inherits key features of the current Integrated Services Digital Broadcasting-Terrestrial (ISDB-T) system, which employs hierarchical transmission based on frequency division multiplexing (FDM) and a segment structure. The advanced ISDB-T system has a new signal frame structure that enables bandwidth to be flexibly allocated to multiple services for different reception scenarios, such as fixed reception and mobile reception, compared with ISDB-T. By introducing transmission technologies such as the latest forward error correction and modulation scheme, this specification has high spectral efficiency and transmission robustness, i.e., the transmission capacity increases by about 10 Mbps for the same required carrier to noise ratio (CNR) in comparison with the current ISDB-T system, or the required CNR can be reduced by about 7 dB for the same transmission capacity. We describe the channel coding scheme and evaluated the performance of bit-interleaved coded modulation (BICM) in simulations. This paper provides a BICM selection guideline based on the simulation results for fixed reception scenarios toward the practical application of advanced ISDB-T.
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Dissertationen zum Thema "Reception capacity"

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Pannala, Mittu. „Investigation of Dynamic Ultrasound Reception in Bat Biosonar Using a Biomimetic Pinna Model“. Diss., Virginia Tech, 2013. http://hdl.handle.net/10919/52702.

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Bats are a paragon of evolutionary success. They rely on parsimonious sensory inputs provided by echolocation, yet are able to master lives in complex environments. The outer ears (pinnae) of bats are intricately shaped receiver baffles that encode sensory information through a diffraction process. In some bat species with particularly sophisticated biosonar systems, such as horseshoe bats (Rhinolophidae), the pinnae are characterized by static as well as dynamic geometrical features. Furthermore, bats from these species can deform their pinnae while the returning ultrasonic waves impinge on them. Hence, these dynamic pinna geometries could be a substrate for novel, dynamic sensory encoding paradigms. In this dissertation, two aspects of this dynamic sensing process were investigated: (i) Do local shape features impact the acoustic effects during dynamic deformation of the bat pinna? and (ii) do these shape deformations provide a substrate for the dynamic encoding of sensory information? For this, a family of simplified biomimetic prototypes has been designed based on obliquely truncated cones manufactured from sheets of isobutyl rubber. These prototypes were augmented with biomimetic local shape features as well as with a parsimonious deformation mechanism based on a single linear actuator. An automated setup for the acoustic characterization of the time-variant prototype shapes has been devised and used to characterize the acoustic responses of the prototypes as a function of direction. It was found that the effects of local shape features did interact with each other and with the deformation of the overall shape. The impact of the local features was larger for bent than for upright shape configurations. Although the tested devices were much simpler than actual bat pinnae, they were able to reproduce numerical beampattern predictions that have been obtained for deforming horseshoe bat pinnae in a qualitative fashion. The dynamically deformable biomimetic pinna shapes were estimated to increase the sensory encoding capacity of the device by unit[80]{%} information when compared to static baffles. To arrive at this estimate, spectral clustering was used to break up the direction- and deformation-depended device transfer function into a discrete signal alphabet. For this alphabet, we could estimate the joint signal entropy across a bending cycle as a measure for sensory coding capacity. The results presented in this thesis suggest that bat biosonar posses unique dynamic sensing abilities which have no equivalent in man-made technologies. Sensing paradigms derived from bat biosonar could hence inspire new deformable wave-diffracting structures for the advancement in sensor technology.
Ph. D.
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Van, Den Biggelaar Olivier. „Distributed spectrum sensing and interference management for cognitive radios with low capacity control channels“. Doctoral thesis, Universite Libre de Bruxelles, 2012. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209612.

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Cognitive radios have been proposed as a new technology to counteract the spectrum scarcity issue and increase the spectral efficiency. In cognitive radios, the sparse assigned frequency bands are opened to secondary users, provided that interference induced on the primary licensees is negligible. Cognitive radios are established in two steps: the radios firstly sense the available frequency bands by detecting the presence of primary users and secondly communicate using the bands that have been identified as not in use by the primary users.

In this thesis we investigate how to improve the efficiency of cognitive radio networks when multiple cognitive radios cooperate to sense the spectrum or control their interferences. A major challenge in the design of cooperating devices lays in the need for exchange of information between these devices. Therefore, in this thesis we identify three specific types of control information exchange whose efficiency can be improved. Specifically, we first study how cognitive radios can efficiently exchange sensing information with a coordinator node when the reporting channels are noisy. Then, we propose distributed learning algorithms allowing to allocate the primary network sensing times and the secondary transmission powers within the secondary network. Both distributed allocation algorithms minimize the need for information exchange compared to centralized allocation algorithms.
Doctorat en Sciences de l'ingénieur
info:eu-repo/semantics/nonPublished

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Adeniyi, Oluwafemi. „Integration challenges for quota refugees in Skåne and its implication : The receiving municipality's perspectives“. Thesis, Malmö universitet, Institutionen för globala politiska studier (GPS), 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:mau:diva-43881.

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This study aims to investigate challenges within the provision of integration support to quota refugees and municipal integration staffs understanding of these challenges in Skåne. It was conducted through questionnaires and semi-structured interviews with municipal integration staffs in Skåne. The research findings indicate three key challenges in the reception of quota refugees namely lack adequate housing, lack of financial resources from the region and government, and lack of provision of psychosocial support. Further challenges are connected to the lack of translators available to municipalities in the quota refugees’ mother tongue, the lack of English or major refugee languages among quota refugees, and often poor mental health which slow down Swedish language learning process and affect integration negatively. As its contribution, this study provides a broader view on challenges with the provision of integration support by municipalities regarding reception capacity, housing, and integration programs to quota refugees simultaneously. Thereby, it points out the differences among municipalities in terms of resource allocation for integration, as well as the political will to integrate quota refugees which create unequal chances for integration.
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Lynch-Wood, Gary. „Towards a better understanding of SME responses to environmental regulatory pressures“. Thesis, University of Manchester, 2018. https://www.research.manchester.ac.uk/portal/en/theses/towards-a-better-understanding-of-sme-responses-to-environmental-regulatory-pressures(d6d0c2ad-3d82-492a-b574-fc3d1f5060b6).html.

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The University of Manchester, PhD by Published Work, 2018 For several reasons, small and medium enterprises (SMEs) are an important group of firms. In most market economies SMEs contribute significantly to wealth and job creation, economic growth, and product and service innovation. At the same time, SMEs are said to produce environmental impacts that are significant and that need managing and regulating. Their importance, from an economic and environmental perspective, is reflected in the fact that SMEs have become an established subject for research, with a distinct area of analysis focusing on how they manage their environmental impacts. Despite considerable interest in this area, aspects of their behaviour are in need of further examination, for there are still misunderstandings and gaps in knowledge. An area where gaps exist is how SMEs respond to different forms of environmental regulation (e.g., command-based or market-based approaches) and different forms of regulatory pressure (e.g., such as those pressures from civil society that might induce compliance-related activities or market forces that might flow through, and affect, the value chain). Why the gaps? On the one hand, and generally speaking, a common claim among those who have considered issues affecting smaller firms is that regulation is an important driver of environmental behaviour. There is a well-documented set of linked claims and empirical findings that smaller firms tend to be motivated by compliance with regulatory standards, yet owing to their scarce resources can find themselves hovering on the edge of compliance. Typically, SMEs will attempt to do no more than the law requires of them. They tend not, as it were, to go beyond compliance. Of course, this is an important observation - one that might say much, even if indirectly, about the motivations and intentions of smaller firms. It might indicate that SMEs, rather than addressing environmental issues, are more concerned with making cost savings and efficiency gains, or with satisfying the requirements of customers over such matters as product or service quality and delivery. While significant, there are at least three reasons why this view remains incomplete as an explanation for the interaction between SMEs, regulation and the environment. Firstly, this view tends to over-homogenise smaller firms. By treating them as a standardized group, the inference is that SMEs view and respond to regulation - i.e., they are all driven by regulation - in a broadly similar way. Secondly, it says little about how and why regulation drives behaviour. Claiming that regulation drives behaviour is helpful, but the claim is unduly narrow and leaves several important questions. In what ways does regulation drive behaviour? Does regulation drive all smaller firms in the same way? Thirdly, and finally, it suggests that different forms of regulation drive SME behaviour and that different forms of regulation drive this behaviour in broadly similar ways. That is, it is incomplete as it lacks appreciation of the widening scope of regulation and governance, and the nature of smart mixes of regulation. It fails to properly consider whether and how SMEs might respond differently to command-based regulation, market- or information-based measures, or self- or so-called civil regulatory pressures. On the other hand, and again in general terms, while those who have examined regulation have looked at how it can influence firms, they have tended to pay too little regard to how firms of different size may respond to different approaches or to how the factors and characteristics relating to size may shape the effectiveness of regulation. SMEs particularly are often discussed as an unusual sideshow that might raise different issues in relation, say, to the impacts of regulation on performance or innovation. That we often pay too little regard to how firms of different size may respond raises difficulties, particularly given our increasing understanding that there is no guarantee that a particular instrument will work in all situations. In other words, we are becoming more aware of the fact that the effectiveness or ineffectiveness of regulation is likely to be context-sensitive, and that the size of the enterprise is likely to be an important determinant of context. This thesis does take, and provides evidence for, the view that the organisational context is crucial to understanding how regulation functions. The thesis does not claim to provide all answers, but it does adopt the position that, in aggregate terms, a firm's size, or the factors that can be associated with size (e.g., resources, skills, knowledge, visibility, profile, stakeholder relations), and related factors concerning a firm's mind-set, can affect two things; first, the types of regulatory influences that may affect organizational behaviour and, second, how firms will respond to those influences. By focusing on SMEs, the thesis in some ways reinforces the dominant view that regulation is a driver of behaviour. Nevertheless, it goes much farther than this by showing, both theoretically and empirically, that there are important differences across SMEs and that these differences determine how and why they respond to regulation. It extends the common view by showing how SMEs differ not only in terms of the types of regulatory influences that shape their behaviour, but also in terms of how they react to these different influences. The emerging picture thus shows that the responses of firms are determined by their particular characteristics. The term used in this thesis is 'receptive capacity', which is shown to be a composite measure that includes the capabilities (e.g., resources, skills, knowledge) and orientations (e.g., views) of firms. It is suggested here that the range of receptive capacities across firms is enormous, since no two firms will be identical. Yet, it is argued - and demonstrated - that firms can be grouped according to certain identifiable characteristics, and that these groups of firms will respond to regulatory pressures in broadly similar ways; that is, there are groups of firms that have broadly similar resources and broadly similar worldviews. Thus, as well as suggesting that differences can be found at the micro level, it is demonstrated that there are sufficient commonalities across some firms that we can understand them as groups - groups of individual firms with some common characteristics. In conclusion, it is the differences across firms that provide us with a more sophisticated view of how SMEs are influenced by, and respond to, regulation. It is the nature of differences that is the main contribution of this research to both the fields of regulation and organisational and management studies. It is suggested finally that these differences have implications for how we design regulation, for how we may expect regulation to work or indeed not work, and for issues such as regulatory complexity and smart mixes.
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Zhang, Ling. „Multiple regulators mediate the transcriptional activities of ERRalpha and its capacity to promote cell invasion“. Thesis, Lyon, 2018. http://www.theses.fr/2018LYSEN057/document.

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ERRα est un récepteur nucléaire dont l’activité est controlée par des co-régulateurs transcriptionnels. La forte expression de ERRα dans les cancers est corrélée à un mauvais pronostic. Les mécanismes par lesquels ERRα régule la migration des cellules cancéreuses sont mal compris, tout comme les co-régulateurs impliqués. Nous avons identifié deux enzymes modificatrices d’histone, LSD1 et SET7, agissant comme régulateurs positifs de ERRα.I. ERRα modifie les activités biochimiques de la déméthylase LSD1 vers la déméthylation (activatrice) de H3K9me2. L’activation des cibles de ERRa-LSD1 (identifiées par RNA-Seq) requiert le recrutement de ce complexe aux sites d’initiation de la transcription (TSSs), réalisé par le facteur de transcription NRF1 qui, lui, ne régule pas l’activité enzymatique de LSD1.II. Un autre groupe de cibles de ERRα (identifié par RNA-Seq) est sous le contrôle de l’histone méthyltransférase SET7 qui mono-méthyle H3K4. Le recrutement de SET7 aux TSSs est contrôlé par le facteur de transcription ETS1, qui promeut les interactions entre SET7 et ERRα, conduisant à l’activation de l’expression des gènes en aval.Des analyses par Gene Ontology ont montré que les cibles communes de ERRα/LSD1 et de ERRα/SET7 sont fortement enrichies en termes d’invasion cellulaire. De manière cohérente, la déplétion individuelle de chacun de ces facteurs (et également celle de NRF1 ou ETS1) réduit les capacités d’invasion, observée en tests in vitro (transwell) ou in vivo par xénogreffe sur embryons de poisson-zèbre.En résumé, nos résultats montrent deux réseaux de régulation impliquant des modifications d’histone induites par ERRα, conduisant à l’invasion cellulaire
ERRα is a nuclear receptor whose activity mainly depends on its interaction with transcription co-regulators. High levels of ERRα are found in various cancer types and correlate with poor prognosis. However, the mechanisms linking ERRα to cancer cell migration as well as the coregulators involved are unclear. In our study, we found two histone-modifying enzymes, LSD1 and SET7, acting as positive regulators of ERRα.I. ERRα impacts the biochemical activities of the LSD1 demethylase. Activation of ERRα -LSD1 targets (identified by RNA-Seq) requires the recruitment of this complex at Transcriptional Start Sites (TSSs), which is achieved by the NRF1 transcription factor. In our study, we have shown several points: NRF1, but not ERRα , is involved in positioning LSD1 to TSS, whereas ERRα , but not NRF1, regulates LSD1 enzymatic activities towards demethylating H3K9me2.II. A distinct group of ERRa target genes (identified by RNA-Seq) is under the control of the histone methyltransferase SET7 which mono-methylates H3K4. Appropriate recruitment of SET7 at TSSs is controlled by the ETS1 transcription factor, promoting the interaction between SET7-ERRa, leading to target gene expression.Gene Ontology analysis revealed that ERRa-LSD1 co-targets, as well as ERRa-SET7 co-targets, are enriched in terms of cell invasion. Consistently, depletion of each of these factors, as well as depletion of NRF1 or ETS1, leads to reduced cell invasion capacities as observed in transwell assays or in vivo, using xenotransplantation in the zebrafish embryo.Altogether, our results show two regulatory networks involving histone modifications induced by nuclear receptors, leading to increased cell invasion
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Lluís, Ganella Carla 1984. „Genetic factors associated with coronary heart disease and analysis of their predictive capacity“. Doctoral thesis, Universitat Pompeu Fabra, 2012. http://hdl.handle.net/10803/84185.

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The main expansion of the discovery of genetic variants associated with complex diseases has occurred during the last decade. This expansion has been accompanied, and in some sense motivated, by the desire to use this information to improve the predictive capacity of many diseases with an unidentified familial component, including coronary heart disease (CHD), with the aim of translating this genetic knowledge into clinical practice. This doctoral thesis is structured in two lines of investigation that address distinct aspects of this issue, first to evaluate the possible role of genetic variation in a candidate gene in modulating CHD risk, and second to evaluate whether genetic information can be used to improve risk assessment tools used in clinical practice. In the first research line (described in Part I), we investigate the contribution of genetic variation in one of the most widely-studied genes in cardiovascular genetics, ESR1, which encodes the Oestrogen receptor α protein. We provide a solid meta-analysis of evidence regarding the most widely-studied variant in this gene and we further explore the role of a broad range of common and uncommon variants in this gene in CHD risk. Using these approaches, we find no evidence of association between the genetic variants studied and CHD risk. However, although we can confidently accept that common genetic polymorphisms are not associated with cardiovascular disease, we cannot discard the possibility that other types of variation in this gene (for instance epigenetic variation) could modify susceptibility to cardiovascular disease, or that other elements of this pathway are associated with an increased risk of CHD. In this research I have provided a reliable answer to this long running unanswered question in cardiovascular genetics, allowing research to re-focus on other elements of this system or other pathways. In the second line, we explored the possible utility of genetic information obtained from genome-wide association studies (GWAS) in prediction of 10-year risk of CHD events by adding this information to cardiovascular risk functions. We have followed the recommendations proposed by the American Heart Association for evaluating the utility of novel biomarkers in clinical practice, and have demonstrated that although the magnitudes of the effects of these genetic variants on CHD risk are modest, there is a tendency towards improvement in the capacity of the risk functions to predict future CHD events. The translation of genetic information into clinical practice was one of the main motivations for the investment in genome-wide association studies, and my research represents one of the first efforts to explore this possibility.
L’expansió principal pel que fa al descobriment de variants genètiques associades amb malalties complexes s’ha dut a terme durant la última dècada. Aquesta expansió ha estat acompanyada, i d’alguna forma motivada, pel desig d’usar aquesta informació per millorar la capacitat de predicció d’aquelles malalties on hi és present un cert component familiar però en les que no es coneixien les variants que conferien un major risc de patir la malaltia, entre elles la cardiopatia isquèmica (CI). La present tesis doctoral està estructurada en dues línies d’investigació que avaluen el possible rol d’un gen candidat en la susceptibilitat de la CI i també avalua la millora en la capacitat de predicció d’un esdeveniment coronari de les eines usades habitualment en la pràctica clínica mitjançant la inclusió d’informació genètica. Més concretament, la primera línea d’investigació es centra en la contribució de la variació genètica en un dels gens més estudiats en relació amb CI: el gen que codifica pel receptor d’estrogens alfa (ESR1). En aquesta línea hem proveït un sòlid meta-anàlisis entre la variant més àmpliament estudiada d’aquest gen i risc coronari i també hem explorat el paper de la majoria de les variants comunes descrites en aquest gen i risc de CI. Mitjançant cap dels anàlisis hem trobat evidència d’associació entre les variants genètiques en aquest gen i el risc de CI. No obstant això, i encara que podem acceptar que les variants genètiques comunes d’aquest gen no estan associades amb esdeveniments coronaris, no podem descartar que altres tipus de variació en aquest gen (com per exemple variació epigenètica) pugui estar modificant la susceptibilitat a patir un esdeveniment coronari, ni tampoc que altres elements de la mateixa cadena de senyalització estiguin associats amb la malaltia. En la segona línea d’investigació, hem explorat el possible paper de les variants genètiques, obtingudes mitjançant estudis d’associació global del genoma (GWAS), en la millora de la capacitat de predicció a 10 anys dels esdeveniments coronaris, mitjançant la seva addició en les funcions de risc cardiovascular clàssiques. Hem seguit les recomanacions proposades per la American Heart Association per l’avaluació en la pràctica clínica de nous biomarcadors, i hem demostrat que, tot i que la magnitud de l’associació d’aquestes variants és modesta, hi ha una tendència cap a la millora de la capacitat de predicció de les funcions de risc.
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Ollerton, Matthew T. „Capacity of Human Immunodeficiency Virus Targeting Chimeric Antigen Receptor T Cells to Eliminate Follicular Dendritic Cells Bearing Human Immunodeficiency Virus Immune Complexes“. BYU ScholarsArchive, 2017. https://scholarsarchive.byu.edu/etd/7240.

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An important obstacle to a functional cure for HIV/AIDS is the persistence of viral reservoirs found throughout the body in various cells and tissues. Reservoirs can be latently infected cells, or in the case of follicular dendritic cells (FDC), non-infected cells that trap infectious virus on their surface through immune complexes (HIV-IC). Although several strategies have been employed to target and eliminate viral reservoirs, they are short-lived and ineffective. In an attempt to provide a long-term approach, chimeric antigen receptor T (CAR-T) cells were designed to eliminate native HIV on FDCs. Although effective at eliminating HIV-infected cells, and halting spreading infection, their ability to eliminate the viral reservoir found on (FDCs) remains unclear. We used a novel second-generation CAR-T cell expressing domains 1 and 2 of CD4 followed by the mannose binding lectin (MBL) to allow recognition of native HIV envelope (Env) to determine the capacity to respond to the viral reservoir found on FDCs. We employed a novel fluorescent lysis assay, the Carboxyfluorescein succinimidyl ester (CFSE) release assay, as well as flow cytometric based assays to detect functional CAR-T activation through IFN-γ production and CD107a (i.e., LAMP1) membrane accumulation to test cytolytic capacity and functional activation of CD4-MBL CAR-T cells, respectively. We demonstrated their efficacy at eliminating HIV-infected cells or cells expressing gp160. However, these CAR-T cells were unable to lyse cells bearing surface bound HIV-IC. We found that failed lysis was not a unique feature of a resistant target, but a limitation in the CAR-T recognition elements. CAR-T cells were inactive in the presence of free HIV or in the presence of concentrated, immobilized virus. Further experiments determined that in addition to gp120 recognition by the CAR-T, the adhesion molecule ICAM-1 was necessary for efficient CAR-T cell killing of HIV-infected cells. CAR-T cell activity and killing were inhibited in the presence of ICAM-1 blocking antibody. These results suggest that other factors, such as adhesion molecules, play a vital role in CAR-T responses to HIV-infected cells. In addition, our findings highlighted the necessity to consider all models of HIV reservoirs, including FDCs, when evaluating therapeutic efficacy.
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Raby, Anne-Catherine. „Biochemical and functional study of the immunomodulatory capacity of the soluble form of human Toll-like receptor 2“. Thesis, Cardiff University, 2008. http://orca.cf.ac.uk/55105/.

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The Toll-like receptor (TLR) family plays a crucial role in innate immunity by mediating the recognition of, and response to a variety of microorganisms. Dysregulation of TLR-mediated inflammatory responses may, however, lead to a variety of acute and chronic inflammatory conditions. The description of a naturally occurring soluble form of TLR2 (sTLR2), and the observation that sTLR2-depleted serum renders leukocytes hypersensitive to TLR2-mediated stimulation, demanded a full assessment of sTLR2's regulatory capacity and an investigation of the underlying mechanism and therapeutic potential. The present study addressed these issues, and reports that cells overexpressing sTLR2, or stimulated in the presence of the sTLR2 protein, are TLR2 hyposensitive. Regulation was TLR2-specific, affected NF-kB activation, phagocytosis and superoxide production. Mice administered sTLR2 with Gram-positive bacteria-derived components showed lower levels of the neutrophil (PMN) chemoattractant, keratinocyte-derived chemokine lower PMN numbers and late apoptotic PMN. Mononuclear cell recruitment was not affected, and endogenous peritoneal sTLR2 levels increased. Notably, the anti-inflammatory effect of sTLR2 did not compromise the capacity of mice to clear a live infection. sTLR2 interfered with the mobilisation of TLR2 to lipid rafts, acted as a decoy receptor, and disrupted the receptor (TLR2)-co-receptor (CD 14) interaction by associating with CD 14. In order to identify the region(s) of sTLR2 involved in the interaction with CD 14, the leucine-rich repeats (LRRs) of TLR2 were mutated, and the ability of these mutants to affect CD 14- dependent signalling was evaluated. Peptides representing the LRR6 and LRR20 were found to specifically inhibit CD14-dependent TLR2 triggering, indicating that these LRRs are directly involved in the TLR2-CD14 interaction. This study defines sTLR2 as an efficient regulator of TLR2-mediated inflammatory responses. The capacity of sTLR2 and TLR2-derived peptides to exert regulatory effects by targeting CD 14 may inform the design of therapeutics against inflammatory conditions that will aim at disrupting the co-receptor's activity, thus blunting, but not abrogating, microbial recognition and host responses.
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Anttila, K. (Katja). „Swimming muscles of wild, trained and reared fish:aspects of contraction machinery and energy metabolism“. Doctoral thesis, University of Oulu, 2009. http://urn.fi/urn:isbn:9789514290770.

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Abstract Billions of reared fish are released to the wild to compensate e.g. for the loss of natural populations. However, the efficiency of the releases is low. It has been proposed that one of the factors affecting the low survival rate of reared fish is their low swimming capacity. The molecular, metabolic and structural characters of muscle fiber define the swimming capacity of fish. Swimming capacity is related to the ecological competence of the fish, including the ability to complete long migrations and catch pray. One of the aims of the current study is to compare the properties of muscles of reared and wild salmon. The second aim of the study is to alter the muscular parameters of reared fish closer to those of wild fish by means of training. The muscular differences between wild, reared and trained fish are analyzed with immunological, histochemical and electron microscopic methods. The main focus is on the dihydropyridine and ryanodine receptors. These receptors are involved for example in the initiation, force and velocity of muscle contraction. According to the results, the level of receptors is higher in the muscles of wild as compared to reared fish. The aerobic ATP production capacity is also higher in the wild fish. However, with training both the level of receptors and oxidative capacity of reared fish increase. Moreover, the swimming capacity is enhanced in trained fish, and there is a connection between the level of receptors and swimming capacity of fish. Training also affects the migration pattern of fish which starts to resemble more that of wild fish. In conclusion, the results of the current study show that the performance of fish as a whole depends on functional parameters at cellular level. For the first time, it is shown that the level of receptors involved in muscular contraction is low in muscles of reared fish. However, the muscular properties are not definite. It is now shown that with training, both the muscular and migration parameters of reared fish approach those of wild fish. This will most probably increase the survival probability of trained, reared fish in the future
Tiivistelmä Kalojen kasvatus ja istutus takaisin luontoon on yksi tärkeimmistä keinoista säädellä ja palauttaa kalakantoja vesistöihin. Maailmanlaajuisesti puhutaan miljardien kalojen istutusmääristä vuosittain. On kuitenkin hyvin tunnettu tosiasia, että kasvatetut kalat eivät selviä luonnossa yhtä hyvin kuin villit lajikumppaninsa. On arvioitu, että vain alle 5 % istutetuista kaloista selviää lisääntymisikään asti hengissä. Eräs tekijä, joka voi vaikuttaa kalojen selviytymiseen, on kalojen lihaskunto. Kasvatettujen kalojen uintikyvyn on todettu olevan heikko villeihin lajikumppaneihin verrattuna. Luonnossa kaloilta kuitenkin vaaditaan suurta uintikykyä esim. saalistukseen, pedoilta pakenemiseen ja vaellukseen. Eräs tämän työn päätavoitteista on määrittää, miten kasvatettujen ja villien kalojen lihasten molekulaariset, aineenvaihdunnalliset ja rakenteelliset ominaisuudet poikkeavat toisistaan, jotta voidaan arvioida mitkä solutason tekijät vaikuttavat kalojen uintikykyyn ja sitä kautta selviytymiseen. Toisaalta kasvatettujen kalojen lihasten toiminnallisten tekijöiden tasoja pyritään nostamaan harjoittelun avulla lähemmäksi villien vastaavaa ja täten vaikuttamaan kasvatettujen kalojen uintikykyyn ja sitä kautta lopulta selviytymiseen. Työssä lihasten ominaisuuksia analysoidaan immunologisin, histokemiallisin ja elektronimikroskooppisin menetelmin. Tutkimuksissa keskitytään erityisesti dihydropyridiini- ja ryanodiinireseptorien suhteellisiin määriin. Nämä reseptorit osallistuvat lihasten supistumisen aikaansaatiin ja niiden määrä korreloi positiivisesti lihasten voiman ja supistumisnopeuden kanssa. Tulosten mukaan villien kalojen lihaksissa on huomattavasti enemmän reseptoreita verrattuna kasvatettujen kalojen lihaksiin. Myös aerobinen ATP:n tuottokapasiteetti on villeillä kaloilla huomattavasti tehokkaampaa. Harjoittelun jälkeen kasvatettujen kalojen lihasten reseptorimäärät ja aerobinen kapasiteetti kuitenkin kasvavat lähemmäksi villien vastaavaa. Lisäksi lihasten reseptorimäärä ja uintikapasiteetti näyttävät korreloivan keskenään. Harjoittelun seurauksena kasvatettujen kalojen vaellusnopeus, eräs kalojen selviytymiseen vaikuttavista tekijöistä, muistuttaa myös enemmän villien vastaavaa. Yhteenvetona voidaan sanoa, että kalojen koko suorituskyky riippuu lihasten solutason mekanismien tehokkuudesta. Tässä työssä todettiin ensimmäistä kertaa, että kasvatettujen kalojen lihaksissa niiden reseptoreiden määrät, jotka liittyvät itse lihassupistuksen tehokkuuteen, ovat huomattavasti alemmat kuin villeillä. Lihasten toiminnalliset ominaisuudet eivät kuitenkaan ole muuttumattomia vakioita. Tulosten perusteella harjoitettujen kalojen sekä lihas- että vaellusominaisuudet lähestyvät villien vastaavaa. Tämä harjoittelun jälkeinen muutos lisää todennäköisesti kasvatettujen kalojen selviytymismahdollisuuksia
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Robichon, Alain. „Photoaffinité des récepteurs opioides U et D et du récepteur au VIP (vasoactive intestinal peptide)“. Paris 6, 1987. http://www.theses.fr/1987PA066605.

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Bücher zum Thema "Reception capacity"

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Griffin, Patricia. Literature review: Research receptor capacity and research utilization. Ottawa, Ont: Community Health Research Unit, 2002.

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Kuhnemann, Sylvia. The development of sex differences estrogen receptor binding capacity. Ottawa: National Library of Canada, 1994.

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Varra, Lucia, Hrsg. Le case per ferie: valori, funzioni e processi per un servizio differenziato e di qualità. Florence: Firenze University Press, 2012. http://dx.doi.org/10.36253/978-88-6655-094-5.

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The research aims to analyse the concept of the 'holiday home' in Italy, a phenomenon that is not very well known and not given sufficient visibility in the tourism sector. The objective is to grasp the role and the degree of response that the holiday homes can offer in order to consolidate a genuinely social and sustainable tourism, which is the specific feature of the Associazione di Promozione Sociale Santa Lucia. The holiday homes represent an efficacious response to the emerging motivations for travel and a new sensitivity towards social and sustainable tourism. The growing opportunities for this sector call for reflection on the mission and future positioning of the holiday homes within the tourist reception panorama, with the deriving choices relating to: the offer, consisting of values more than of services; the functions fulfilled, intimately bound up with the demands of the individual and the territory; the quality of the service, which is not generic but linked to the functions and can be measured in line with objective and subjective parameters. Strategic awareness, managerial capacity and elevated professionalism at all levels are the factors of legitimisation and success of this original reception formula.
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Kemp, Sid, und Adam N. Rosenberg. CDMA Capacity and Quality Optimization (Telecom Engineering). McGraw-Hill Professional, 2003.

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CDMA Capacity and Quality Optimization (Telecom Engineering). McGraw-Hill Professional, 2003.

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6

Brill, Sara. Aristotle on the Concept of Shared Life. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780198839583.001.0001.

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Aristotle on the Concept of Shared Life studies Aristotle’s understanding of the political character of human intimacy via an examination of the zoological frame informing his political theory. It argues that the concept of shared life, i.e. the forms of intimacy that arise from the possession of logos and the capacity for choice, is central to human political partnership, and serves to locate that life within the broader context of living beings as such, where it emerges as an intensification of animal sociality. As such it challenges a long-standing approach to the role of the animal in Aristotle’s thought, and to the recent reception of Aristotle’s thinking about the political valence of life and living beings.
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Mariña, Jacqueline. Selfhood and Relationality. Herausgegeben von Joel D. S. Rasmussen, Judith Wolfe und Johannes Zachhuber. Oxford University Press, 2017. http://dx.doi.org/10.1093/oxfordhb/9780198718406.013.15.

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This chapter explores Kant’s ground-breaking revision to Descartes’ model of the mind (the self as substance) and its reception in the nineteenth century. For Kant consciousness is not a substance, but an ongoing activity having a double constitution, or two moments: first, the original activity of consciousness (original apperception), and second, the reflected self, the ‘I think’ as object of reflection. Both are essential to the possibility of an awareness of a unified experience. Such an awareness is achieved only insofar as the self is capable of reflecting on its activity of thinking. As such, the possibility of self-consciousness, or the capacity to reflect on one’s own acts of thought is essential to the constitution of the self. This chapter analyses how this understanding of self-consciousness conditioned models of the self, its relation to God, and its relation to others in the work of Schleiermacher, Fichte, Hegel, and Kierkegaard.
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Yang, Lianfen. The “Red Classic” That Never Was. Übersetzt von Ping Qiu und Richard King. Hong Kong University Press, 2018. http://dx.doi.org/10.5790/hongkong/9789888390892.003.0001.

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Hinterland (Fudi), written between 1943 and 1944 by Wang Lin, was the first novel to depict the resistance of the Chinese Communist Party against the Japanese invasion. The first edition of this novel came out in 1950, but was soon banned after being criticized for violating Mao Zedong’s 1942 “Talks at the Yan’an Forum”. The second edition, which went through a thirty-year revision by the author and was published in 1985, received only a lukewarm reception from the post-Mao-era readership, precisely because of its author’s faithful response to Mao’s “Yan’an Talks” and the embodiment of the principle of “three prominences” in the novel. Through a comparative study of the two editions of Hinterland, this chapter investigates the difficult process -- and paradoxical nature -- of the creation of a “Red Classic” work. It demonstrates how in socialist China, literary criticism discursively framed by “historical materialism”, exercised political power within revolutionary “dialectic” logics as well as demonstrating a genuine capacity to shape the mindset of a writer.
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Harrison, Stephen, Fiona Macintosh und Helen Eastman, Hrsg. Seamus Heaney and the Classics. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780198805656.001.0001.

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The death of Seamus Heaney in 2013 is an appropriate point to honour the Irish poet’s contribution to classical reception in modern poetry in English; this is the first volume dedicated to that subject, though occasional essays have appeared in the past. The volume comprises literary criticism by scholars of classical reception and literature in English, and has some input from critics who are also poets and from theatre practitioners on their interpretations and productions of Heaney’s versions of Greek drama; it combines well-known names with early-career contributors, and friends and collaborators of Heaney with those who admired him from afar. The papers focus on two main areas: Heaney’s fascination with Greek drama and myth, shown primarily in his two Sophoclean versions but also in his engagement with Hesiod, with Aeschylus’ Agamemnon, and with myths such as that of Antaeus, and his interest in Latin poetry, primarily in Virgil but also in Horace. A number of the papers cover the same material, but from different angles; for example, Heaney’s interest in Virgil is linked with the traditions of Irish poetry, his capacity as a translator, and his annotations in his own text of a standard translation, as well as being investigated in its long development over his poetic career, while his Greek dramas are considered as verbal poetry, as comments on Irish politics, and as stage-plays with concomitant issues of production and interpretation. Heaney’s posthumous translation of Aeneid VI comes in for considerable attention, and this will be the first volume to study this major work.
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Nisenbaum, Karin. For the Love of Metaphysics. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190680640.001.0001.

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In his Critique of Pure Reason, Kant argued that human reason is inherently conflicted, because it demands a form of unconditioned knowledge that transcends its capacity; his solution to this conflict of reason relies on the idea that reason’s quest for the unconditioned can only be realized practically. This book proposes to view the conflict of reason, and Kant’s solution to this conflict, as the central problem shaping the contours of post-Kantian German Idealism. I contend that the rise and fall of German Idealism is to be told as a story about the different interpretations, appropriations, and radicalization of Kant’s prioritizing of the practical. The first part of the book explains why Kant’s critics and followers came to understand the aim of Kant’s critical philosophy in light of the conflict of reason. I argue that F. H. Jacobi and Salomon Maimon set the stage for the reception of Kant’s critical philosophy by conceiving its aim in terms of meeting reason’s demand for unconditioned knowledge, and by understanding the conflict of reason as a conflict between thinking and acting, or knowing and willing. The manner in which the post-Kantian German Idealists radicalized Kant’s prioritizing of the practical is the central topic of the second part of the book, which focuses on works by J. G. Fichte and F. W. J. Schelling. The third part of the book clarifies why, in order to solve the conflict of reason, Schelling and Rosenzweig developed the view that human experience is grounded in three irreducible elements—God, the natural world, and human beings—which relate in three temporal dimensions: Creation, Revelation, and Redemption.
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Buchteile zum Thema "Reception capacity"

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Dinitz, Michael, und Naomi Ephraim. „Reception Capacity: Definitions, Game Theory and Hardness“. In Algorithms for Sensor Systems, 96–115. Cham: Springer International Publishing, 2019. http://dx.doi.org/10.1007/978-3-030-34405-4_6.

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Osipov, Dmitry, Alexey Frolov und Victor Zyablov. „On the Capacity of a PPM UWB Multiple-Access System with a Single User Noncoherent Reception“. In Wireless Access Flexibility, 49–57. Berlin, Heidelberg: Springer Berlin Heidelberg, 2013. http://dx.doi.org/10.1007/978-3-642-39805-6_5.

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Osipov, Dmitry. „On the Channel Capacity of an Order Statistics-Based Single-User Reception in a Multiple Access System“. In Multiple Access Communications, 101–7. Cham: Springer International Publishing, 2015. http://dx.doi.org/10.1007/978-3-319-23440-3_8.

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Lopashov, G. V. „Regenerative Capacity of Retinal Cells and the Maintenance of Their Differentiation“. In Ciba Foundation Symposium 160 - Regeneration of Vertebrate Sensory Receptor Cells, 209–32. Chichester, UK: John Wiley & Sons, Ltd., 2007. http://dx.doi.org/10.1002/9780470514122.ch11.

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Neagu, Monica, und Carolina Constantin. „Signal Transduction in Immune Cells and Protein Kinases“. In Advances in Experimental Medicine and Biology, 133–49. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-49844-3_5.

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AbstractImmune response relies upon several intracellular signaling events. Among the protein kinases involved in these pathways, members of the protein kinase C (PKC) family are prominent molecules because they have the capacity to acutely and reversibly modulate effector protein functions, controlling both spatial distribution and dynamic properties of the signals. Different PKC isoforms are involved in distinct signaling pathways, with selective functions in a cell-specific manner.In innate system, Toll-like receptor signaling is the main molecular event triggering effector functions. Various isoforms of PKC can be common to different TLRs, while some of them are specific for a certain type of TLR. Protein kinases involvement in innate immune cells are presented within the chapter emphasizing their coordination in many aspects of immune cell function and, as important players in immune regulation.In adaptive immunity T-cell receptor and B-cell receptor signaling are the main intracellular pathways involved in seminal immune specific cellular events. Activation through TCR and BCR can have common intracellular pathways while others can be specific for the type of receptor involved or for the specific function triggered. Various PKC isoforms involvement in TCR and BCR Intracellular signaling will be presented as positive and negative regulators of the immune response events triggered in adaptive immunity.
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Nelson, David L. „Activation and Functional Capacity of Neonatal T Cells: Analysis of Interleukin-2 and Interleukin-2 Receptor Responsiveness“. In Immunology of the Neonate, 100–111. Berlin, Heidelberg: Springer Berlin Heidelberg, 1987. http://dx.doi.org/10.1007/978-3-642-71094-0_11.

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Evavold, Brian D., und Paul M. Allen. „Dissection of the Hb(64–76) Determinant Reveals That the T Cell Receptor May Have the Capacity to Differentially Signal“. In Advances in Experimental Medicine and Biology, 17–21. Boston, MA: Springer US, 1992. http://dx.doi.org/10.1007/978-1-4615-3396-2_3.

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Tulp, Martin Th M. „The use of Receptor Binding, a Very Specific, High Capacity Screening Method, in the Identification of Biologically Active Components from Natural Sources“. In Bioassay Methods in Natural Product Research and Drug Development, 53–65. Dordrecht: Springer Netherlands, 1999. http://dx.doi.org/10.1007/978-94-011-4810-8_5.

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Presta, Marco, Marco Rusnati, Jeanette A. M. Maier, Chiara Urbinati, Massimo Statuto, Anna Gualandris, Ambra Pozzi und Giovanni Ragnotti. „Basic Fibroblast Growth Factor and Endothelial Cells: Receptor Interaction, Signal Transduction, Cellular Response-Dissociation of the Mitogenic Activity of bFGF from its Plasminogen Activator-Inducing Capacity“. In Angiogenesis in Health and Disease, 79–89. Boston, MA: Springer US, 1992. http://dx.doi.org/10.1007/978-1-4615-3358-0_7.

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Markussen, Jan, Lauge Schäffer und Mogens Christensen. „Oligomerization in vitro of the extracellular domain of the insulin receptor by non-covalent interactions is accompanied by increased binding affinity, decreased binding capacity and curvilinear Scatchard plots“. In Peptides, 125–29. Dordrecht: Springer Netherlands, 1993. http://dx.doi.org/10.1007/978-94-010-9066-7_36.

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Konferenzberichte zum Thema "Reception capacity"

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Buachidze, Zakaria, Gocha Nozadze und Archil Chirakadze. „Methods of increasing interference immunity and reception capacity of FOLS“. In Fundamental Problems of Optoelectronics and Microelectronics, herausgegeben von Yuri N. Kulchin und Oleg B. Vitrik. SPIE, 2003. http://dx.doi.org/10.1117/12.501842.

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Mahdavifar, Hessam, und Ahmad Beirami. „Diffusion channel with Poisson reception process: capacity results and applications“. In 2015 IEEE International Symposium on Information Theory (ISIT). IEEE, 2015. http://dx.doi.org/10.1109/isit.2015.7282797.

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Karande, Shirish, Zheng Wang, Hamid R. Sadjadpour und J. J. Garcia-Luna-Aceves. „Capacity of wireless ad-hoc networks under multipacket transmission and reception“. In 2008 42nd Asilomar Conference on Signals, Systems and Computers. IEEE, 2008. http://dx.doi.org/10.1109/acssc.2008.5074807.

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Gorbatyy, Ivan, und Alexander Tymchenko. „Method for Calculation of the Reception Capacity of Leased Telecommunication Channel“. In 2006 International Conference - Modern Problems of Radio Engineering, Telecommunications, and Computer Science. IEEE, 2006. http://dx.doi.org/10.1109/tcset.2006.4404592.

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Wang, Z., H. R. Sadjadpour und J. J. Garcia-Luna-Aceves. „Broadcast throughput Capacity of Wireless Ad Hoc Networks with Multipacket Reception“. In 2008 IEEE International Conference on Communications. IEEE, 2008. http://dx.doi.org/10.1109/icc.2008.428.

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Akeju, Adetokunbo, und Felix Agunu. „Slugging in Multiphase Pipeline Systems and Capacity Evaluation of Downstream Reception Facilities“. In SPE Nigeria Annual International Conference and Exhibition. Society of Petroleum Engineers, 2018. http://dx.doi.org/10.2118/193478-ms.

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Harchowdhury, Anindya, Binay Kumar Sarkar, Kalyan Bandyopadhyay und Amitabha Bhattacharya. „Reception capacity enhancement of satellite-based AIS for different classes of ships“. In 2013 IEEE Conference on Information & Communication Technologies (ICT). IEEE, 2013. http://dx.doi.org/10.1109/cict.2013.6558267.

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Wang, Zheng, Hamid Sadjadpour und Jose Joaquin Garcia-Luna-Aceves. „The capacity and energy efficiency of wireless ad hocnetworks with multi-packet reception“. In the 9th ACM international symposium. New York, New York, USA: ACM Press, 2008. http://dx.doi.org/10.1145/1374618.1374644.

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Chan, Douglas S., und Toby Berger. „Upper bound for the capacity of multiple access protocols on multipacket reception channels“. In 2012 IEEE International Symposium on Information Theory - ISIT. IEEE, 2012. http://dx.doi.org/10.1109/isit.2012.6283545.

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Zheng Wang, Hamid R. Sadjadpour und J. J. Garcia-Luna-Aceves. „Closing the capacity gap in wireless ad hoc networks using multi-packet reception“. In 2008 Information Theory and Applications Workshop (ITA). IEEE, 2008. http://dx.doi.org/10.1109/ita.2008.4601063.

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Berichte der Organisationen zum Thema "Reception capacity"

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Mayes, Robyn, Bree Hurst und Amelia Hine. PREDICT: Principles of Good Mining Checklist. Queensland University of Technology, Juli 2021. http://dx.doi.org/10.5204/rep.eprints.212047.

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CONTEXT: Social Licence to Operate (SLO) encompasses the broad socio-political understanding on the part of multiple stakeholders that a mining operation’s social and environmental impacts and measures are legitimate and acceptable. The multiple and variously interacting stakeholder groups— local communities, environmental actors, Indigenous communities, regulators, local governments, industry peak bodies, financiers, affiliated businesses—have the proven capacity to confer and/or disrupt a mining operation’s SLO. The presence or absence of a SLO can have significant consequences not only for stakeholder groups, including the mining operation, but also for the shared development of a good mining future. Conceptualisation of what is ‘good mining’ is central to future planning and decisions around development, adoption and reception of new technologies and sustainable mining futures. CHECKLIST PURPOSE This first of its kind tool seeks to facilitate genuine multistakeholder interactions and development of a dynamic shared SLO to advance good mining.
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Fukuta, Hidekatsu, Hiromi Hagiwara und Takeshi Kamiya. Effects of angiotensin-receptor neprilysin inhibitor on exercise capacity, quality of life, and cardiac function in heart failure with preserved ejection fraction: a protocol for meta-analysis. INPLASY - International Platform of Registered Systematic Review and Meta-analysis Protocols, Juli 2021. http://dx.doi.org/10.37766/inplasy2021.7.0076.

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