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1

Markey, Karen. technology Dewey decimal classification online project: Evaluation of a library schedule and index integrated into the subjectsearching capabilities of an online catalog : final report to the Council on Library Resources. Dublin, Ohio: OCLC Online Computer Library Center, 1986.

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2

Markey, Karen. concise Encyclopedia of special Education: Evaluation of a library schedule and index integrated into the subject searching capabilities of an online catalog. 2nd ed. Dublin, OH: OCLC Computer Library Center, Office of Research, 1985.

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3

Bauer, Mary Celia. Dewey Decimal Classification: 200 schedules expanded for use. Haverford, PA: Catholic Library Association, 1988.

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4

McIlwaine, Ia. The Universal Decimal Classification: A guide to its use. The Hague: UDC Consortium, 2000.

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5

McIlwaine, I. C. The Universal Decimal Classification: A guide to its use. The Hague: UDC Consortium, 2000.

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6

McIlwaine, Ia. Guide to the use of UDC: An introductory guide to the use and application of the Universal Decimal Classification. The Hague: International Federation for Information and Documentation (FID), 1993.

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7

Martin, Everaert, Musgrave Simon, and Dimitriadis Alexis 1963-, eds. The use of databases in cross-linguistic studies. Berlin: Mouton de Gruyter, 2009.

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8

Dixon, Geoffrey. The Gilbert & Sullivan sorting system: A classification scheme for use with the materials of G. & S. studies. Ayr: Rhosearn, 2001.

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9

Sun, Wanxiao. Land-use classification using high resolution satellite imagery: A new information fusion method : an application in Landau, Germany. Mainz: Geographisches Institut der Johannes Gutenberg-Universität, 2004.

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10

Dudley, Nigel. Forests and protected areas: Guidance on the use of the IUCN protected area management categories. Gland, Switzerland: IUCN--the World Conservation Union, 2006.

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11

Verón, Eliseo. Espaces du livre: Perception et usages de la classification et du classement en bibliothèque. [Paris]: Bibliothèque publique d'information, Centre Georges Pompidou, 1989.

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12

Jacobsen, Michael. A trial of additional composite standard radiographs for use with the ilo international classification of radiographs of pneumoconioses: National Institute for Occupational Safety and Health, Division of Respiratory Disease Studies, Morgantown, West Virginia, USA. [Atlanta, Ga.?]: U.S. Dept. of Health and Human Services, Public Health Service, Centers for Disease Control and Prevention, National Institute for Occupational Safety and Health, 1998.

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13

Eberhardshtayner, Yozef, Sergey Leonovich, and Valentin Dorkin. Design models of structural building materials under multiaxial stress. ru: INFRA-M Academic Publishing LLC., 2020. http://dx.doi.org/10.12737/1082947.

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The monograph presents the results of experimental and theoretical studies of the behavior of wood and concrete of various structures under biaxial and triaxial compression. It contains a systematic classification of existing models for concrete that link three-axis nonlinear elastic stresses and deformations, as well as research and subsequent evaluation of some basic models from the point of view of their possible use in the framework of spatial load analysis using FEM. It is intended for scientific and engineering workers of research and design organizations.
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14

McIlwaine, Ia, and Andrew Buxton. Guide to the Use of UDC (FID Occasional Papers). 2nd ed. International Federation for Information and Docum, 1995.

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15

Everaert, Martin, Simon Musgrave, and Alexis Dimitriadis. Use of Databases in Cross-Linguistic Studies. De Gruyter, Inc., 2009.

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16

Isbell, R. Australian Soil Classification. CSIRO Publishing, 2016. http://dx.doi.org/10.1071/9781486304646.

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The Australian Soil Classification provides a framework for organising knowledge about Australian soils by allocating soils to classes via a key. Since its publication in 1996, this book has been widely adopted and formally endorsed as the official national system. It has provided a means of communication among scientists and land managers and has proven to be of particular value in land resource survey and research programs, environmental studies and education. Classification is a basic requirement of all science and needs to be periodically revised as knowledge increases. This Second Edition of The Australian Soil Classification includes updates from a working group of the National Committee on Soil and Terrain (NCST), especially in regards to new knowledge about acid sulfate soils (sulfidic materials). Modifications include expanding the classification to incorporate different kinds of sulfidic materials, the introduction of subaqueous soils as well as new Vertosol subgroups, new Hydrosol family criteria and the consistent use of the term reticulate. All soil orders except for Ferrosols and Sodosols are affected by the changes.
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17

(Editor), Alicia F. Lieberman, Serena Wieder (Editor), and Emily Fenichel (Editor), eds. The Dc 0-3 Casebook: A Guide to the Use of Zero to Three's Diagnostic Classification of Mental Health & Developmental Disorders of Infancy & Early Childhood in Assessment. Zero to Three, 1997.

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18

Lee, Christoph I. Coronary Artery Calcium Score and Risk Classification. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780190223700.003.0023.

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This chapter, found in the chest pain section of the book, provides a succinct synopsis of a key study examining the use of computed tomography (CT) coronary artery calcium score for cardiovascular risk stratification. This summary outlines the study methodology and design, major results, limitations and criticisms, related studies and additional information, and clinical implications. Researchers report that adding coronary artery calcium score to traditional risk factors produces significant improvements in classification of patients for future risk of coronary heart disease events, especially for intermediate-risk individuals who stand to benefit the most from a risk stratification strategy. In addition to outlining the most salient features of the study, a clinical vignette and imaging example are included in order to provide relevant clinical context.
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19

Sherman, Mark E., Melissa A. Troester, Katherine A. Hoadley, and William F. Anderson. Morphological and Molecular Classification of Human Cancer. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780190238667.003.0003.

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Accurate and reproducible classification of tumors is essential for clinical management, cancer surveillance, and studies of pathogenesis and etiology. Tumor classification has historically been based on the primary anatomic site or organ in which the tumor occurs and on its morphologic and histologic phenotype. While pathologic criteria are useful in predicting the average behavior of a group of tumors, histopathology alone cannot accurately predict the prognosis and treatment response of individual cancers. Traditional measures such as tumor stage and grade do not take into account molecular events that influence tumor aggressiveness or changes in the tumor composition during treatment. This chapter provides a primer on approaches that use pathology and molecular biology to classify and subclassify cancers. It describes the features of carcinomas, sarcomas, and malignant neoplasms of the immune system and blood, as well as various high-throughput genomic platforms that characterize the molecular profile of tumors.
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20

Swash, Michael. Myology. Oxford University Press, 2015. http://dx.doi.org/10.1093/med/9780199658602.003.0012.

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Diseases of muscle have become better understood by careful clinical observations, resulting in a clinically useful classification of the different groups of disorders e.g. inherited muscular dystrophies such as Duchenne muscular dystrophy, limb-girdle and metabolic myopathies, and myotonic disorders. A number of scientific approaches have determined the directions taken by this evolving classification. Understanding of the anatomy of the motor unit’s distribution in muscle transformed muscle pathology and muscle electrophysiology, and key to these pathological advances was the use of the histochemical technique for identifying myofibrillar ATPase in muscle fibres. This allowed studies of the distribution of fibre types in muscle in many different disorders. The inflammatory muscle diseases have been better understood since recent advances in immunology have characterized the underlying processes. The limb-girdle and childhood myopathies have proven to be heterogeneous, with many different, apparently causative, underlying genetic mutations.
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21

Weyker, Paul David, Christopher Allen-John Webb, and Tricia E. Brentjens. Hypovolemic Shock. Edited by Matthew D. McEvoy and Cory M. Furse. Oxford University Press, 2017. http://dx.doi.org/10.1093/med/9780190226459.003.0097.

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Broadly defined, hypovolemia represents inadequate circulating plasma volume leading to decreased cardiac preload and thus decreased cardiac output and blood pressure. Many classification schemes have been proposed to categorize hypovolemia based on relative levels of decreased plasma volume. Common causes of hypovolemic shock during the perioperative period include hemorrhage and diuretic use. In general, studies support a conservative hemoglobin goal of about 7 g/dL as compared with a liberal goal of 10 g/dL in hemodynamically stable patients without active cardiac ischemia or risk factors. In patients with large volume blood loss, institutionally approved massive transfusion protocols can help provide blood products quickly. The trauma literature supports a balanced massive transfusion protocol using a 1:1:1 (plasma:platelet:red blood cell) strategy of transfusion.
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22

Burrell, James R., and John R. Hodges. Dementia. Oxford University Press, 2015. http://dx.doi.org/10.1093/med/9780199658602.003.0010.

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Cognitive neurology has exploded over the last century, and especially over the last 20 years. From the distinction of dementia as a pathological entity, rather than just ‘normal’ ageing, to more sophisticated sub-classification of dementia syndromes, much has been learned, though great challenges remain. From an incredible array of worthy research studies, ten landmark papers in the field of dementia are presented in this chapter. With regard to Alzheimer’s disease, the following are discussed: the initial description of the disease, both clinically and pathologically; the development of meaningful clinical assessment measures; the early clinical manifestations and genetic causes; the precursors to symptomatic treatment; the use of neuroimaging to identify amyloid pathology in vivo; and the staging of Alzheimer’s pathology. The clinical features and genetic causes of frontotemporal dementia, an important non-Alzheimer’s primary dementia syndrome seen especially in younger patients, are also discussed.
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23

Crous-Bou, Marta, Immaculata de Vivo, and Pagona Lagiou. Endometrial Cancer. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190676827.003.0018.

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Lifestyle factors contribute appreciably to endometrial cancer risk, with obesity accounting for over one-third of incident cases in high-income societies. Unlike cervical cancer, which is a model of viral carcinogenesis, endometrial cancer is considered a model of hormonal carcinogenesis, as use of unopposed estrogens postmenopausally and obesity are the best-established risk factors. Endometrial cancer is also the only known malignancy for which cigarette smoking has been shown to confer protection. Risk reduction conferred by current smoking, past oral contraceptive use, childbearing, and physical activity is believed to be mediated by hormones. This may also apply to the increase in risk associated with obesity, which increases peripheral production of estrogens, and with diabetes mellitus. Hence, it should be possible to prevent a substantial fraction of endometrial cancers through lifestyle modification. Pathological classification of endometrial cancer is currently evolving and studies are revealing different molecular subtypes within the same histological groups.
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24

Eleftheriou, Despina, and Paul A. Brogan. Paediatric vasculitis. Oxford University Press, 2013. http://dx.doi.org/10.1093/med/9780199642489.003.0136.

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Systemic vasculitis is characterized by blood vessel inflammation which may lead to tissue injury from vascular stenosis, occlusion, aneurysm, and/or rupture. Apart from relatively common vasculitides such as Henoch-Schönlein purpura (HSP) and Kawasaki's disease (KD), most of the primary vasculitic syndromes are rare in childhood, but are associated with significant morbidity and mortality. New classification criteria for childhood vasculitis have recently been proposed and validated. The cause of most vasculitides is unknown, although it is likely that a complex interaction between environmental factors such as infections and inherited host responses trigger the disease and determine the vasculitis phenotype. Several genetic polymorphisms in vasculitis have now been described that may be relevant in terms of disease predisposition or development of disease complications. Treatment regimens continue to improve, with the use of different immunosuppressive medications and newer therapeutic approaches such as biologic agents. We provide an overview of paediatric vasculitides focusing on HSP, KD, and polyarteritis nodosa (PAN). Key differences (where relevant) between paediatric and adult vasculitis are highlighted. In addition we discuss new emerging challenges particularly in respect to the long-term cardiovascular morbidity for children with systemic vasculitis, and emphasize the importance of future international multicentre collaborative studies to further increase and standardize the scientific base of investigating and treating childhood vasculitis.
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25

Rogers, Hannah Star. Art, Science, and the Politics of Knowledge. The MIT Press, 2022. http://dx.doi.org/10.7551/mitpress/13885.001.0001.

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How the tools of STS can be used to understand art and science and the practices of these knowledge-making communities. In Art, Science, and the Politics of Knowledge, Hannah Star Rogers suggests that art and science are not as different from each other as we might assume. She shows how the tools of science and technology studies (STS) can be applied to artistic practice, offering new ways of thinking about people and objects that have largely fallen outside the scope of STS research. Arguing that the categories of art and science are labels with specific powers to order social worlds—and that art and science are best understood as networks that produce knowledge—Rogers shows, through a series of cases, the similarities and overlapping practices of these knowledge communities. The cases, which range from nineteenth-century artisans to contemporary bioartists, illustrate how art can provide the basis for a new subdiscipline called art, science, and technology studies (ASTS), offering hybrid tools for investigating art–science collaborations. Rogers's subjects include the work of father and son glassblowers, the Blaschkas, whose glass models, produced in the nineteenth century for use in biological classification, are now displayed as works of art; the physics photographs of documentary photographer Berenice Abbott; and a bioart lab that produces work functioning as both artwork and scientific output. Finally, Rogers, an STS scholar and contemporary art–science curator, draws on her own work to consider the concept of curation as a form of critical analysis.
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26

Kulak, Dariusz. Wieloaspektowa metoda oceny stanu gleb leśnych po przeprowadzeniu procesów pozyskania drewna. Publishing House of the University of Agriculture in Krakow, 2017. http://dx.doi.org/10.15576/978-83-66602-28-1.

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Presented reasearch aimed to develop and analyse the suitability of the CART models for prediction of the extent and probability of occurrence of damage to outer soil layers caused by timber harvesting performed under varied conditions. Having employed these models, the author identified certain methods of logging works and conditions, under which they should be performed to minimise the risk of damaging forest soils. The analyses presented in this work covered the condition of soils upon completion of logging works, which was investigated in 48 stands located in central and south-eastern Poland. In the stands selected for these studies a few felling treatments were carried out, including early thinning, late thinning and final felling. Logging works were performed with use of the most popular technologies in Poland. Trees were cut down with chainsaws and timber was extracted by means of various skidding methods: with horses, semi-suspended skidding with the use of cable yarding systems, farm tractors equipped with cable winches or tractors of a skidder type, and forwarding employing farm tractors with trailers loaded mechanically by cranes or manually. The analyses also included mechanised forest operation with the use of a harvester and a forwarder. The information about the extent of damage to soil, in a form of wheel-ruts and furrows, gathered in the course of soil condition inventory served for construction of regression tree models using the CART method (Classification and Regression Trees), based on which the area, depth and the volume of soil damage under analysis, wheel-ruts and furrows, were determined, and the total degree of all soil disturbances was assessed. The CART classification trees were used for modelling the probability of occurrence of wheel-ruts and furrows, or any other type of soil damage. Qualitative independent variables assumed by the author for developing the models included several characteristics describing the conditions under which the logging works were performed, mensuration data of the stands and the treatments conducted there. These characteristics covered in particular: the season of the year when logging works were performed, the system of timber harvesting employed, the manner of timber skidding, the means engaged in the process of timber harvesting and skidding, habitat type, crown closure, and cutting category. Moreover, the author took into consideration an impact of the quantitative independent variables on the extent and probability of occurrence of soil disturbance. These variables included the following: the measuring row number specifying a distance between the particular soil damage and communication tracks, the age of a stand, the soil moisture content, the intensity of a particular cutting treatment expressed by units of harvested timber volume per one hectare of the stand, and the mean angle of terrain inclination. The CART models developed in these studies not only allowed the author to identify the conditions, under which the soil damage of a given degree is most likely to emerge, or determine the probability of its occurrence, but also, thanks to a graphical presentation of the nature and strength of relationships between the variables employed in the model construction, they facilitated a recognition of rules and relationships between these variables and the area, depth, volume and probability of occurrence of forest soil damage of a particular type. Moreover, the CART trees served for developing the so-called decision-making rules, which are especially useful in organising logging works. These rules allow the organisers of timber harvest to plan the management-related actions and operations with the use of available technical means and under conditions enabling their execution in such manner as to minimise the harm to forest soils. Furthermore, employing the CART trees for modelling soil disturbance made it possible to evaluate particular independent variables in terms of their impact on the values of dependent variables describing the recorded disturbance to outer soil layers. Thanks to this the author was able to identify, amongst the variables used in modelling the properties of soil damage, these particular ones that had the greatest impact on values of these properties, and determine the strength of this impact. Detailed results depended on the form of soil disturbance and the particular characteristics subject to analysis, however the variables with the strongest influence on the extent and probability of occurrence of soil damage, under the conditions encountered in the investigated stands, enclosed the following: the season of the year when logging works were performed, the volume-based cutting intensity of the felling treatments conducted, technical means used for completion of logging works, the soil moisture content during timber harvest, the manner of timber skidding, dragged, semi-suspended or forwarding, and finally a distance between the soil damage and transportation ducts. The CART models proved to be very useful in designing timber harvesting technologies that could minimise the risk of forest soil damage in terms of both, the extent of factual disturbance and the probability of its occurrence. Another valuable advantage of this kind of modelling is an opportunity to evaluate an impact of particular variables on the extent and probability of occurrence of damage to outer soil layers. This allows the investigator to identify, amongst all of the variables describing timber harvesting processes, those crucial ones, from which any optimisation process should start, in order to minimise the negative impact of forest management practices on soil condition.
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27

Fikfak, Alenka, Saja Kosanović, Miha Konjar, and Enrico Anguillari, eds. SUSTAINABILITY AND RESILIENCE: socio-spatial perspective. TU Delft Bouwkunde, 2018. http://dx.doi.org/10.47982/bookrxiv.23.

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Sustainability and resilience have become indispensable parts of the contemporary debate over the built environment. Although recognised as imperatives, the complexity and the variety of interpretations of sustainability and resilience have raised the necessity to again rethink their notion in the context of the built environment and to reframe the state-of-the-art body of knowledge. The book Sustainability and Resilience: Socio-Spatial Perspective so begins with the exploration of the broadest conceptual frame-of-reference of issues related to sustainability, and the re-establishment of the connection between the built environment and the conditions that are vital to its functioning, primarily in relation to energy, land use, climate, and economy. Subsequent discussion on resilience as a term, approach, and philosophy aims to conceptualise an interpretation of key resilience concepts, explain relationships and links among them, and propose the classification of resilience as applicable to the context of urban studies. By studying the processes of transition of the built environment, the book then reveals a coherent formula of ‘thinking sustainability + resilience’ aimed at improving the ability to respond to disruptions and hazards while enhancing human and environmental welfare. The necessity to integrate the two approaches is further accented as a result of a deliberative discourse on the notions of ‘social sustainability’, ‘sustainable community’, and ‘socio-cultural resilience’. The potential of measuring sustainable development and urban sustainability on the basis of defined social, human, and, additionally, natural and economic values is presented though an overview of different wellknown indicators and the identification of a currently relevant tangible framework of sustainable development. Correspondingly, the role of policies and governance is demonstrated on the case of climate-proof cities. In this way, the consideration of approaches to sustainability and resilience of the urban environment is rounded, and the focus of the book is shifted towards an urban/rural dichotomy and the sustainability prospects of identified forms-in-between, and, subsequently, towards the exploration of values, challenges, and the socio-cultural role in achieving sustainability for rural areas. In the final chapters, the book offers several peculiarised socio-spatial perspectives, from defining the path towards more resilient communities and sustainable spaces based on a shared wellbeing, to proposing the approach to define community resilience as an intentional action that aims to respond to, and influence, the course of social and economic change, to deliberating the notion of a ’healthy place’ and questioning its optimal scale in the built environment. The study of sustainability and resilience in this book is concluded by drawing a parallel between environmental, economic, and social determinants of the built environment and the determinants that are relevant to human health and well-being.
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28

Stańczykiewicz, Arkadiusz. Prawdopodobieństwo wystąpienia szkód w odnowieniach podokapowych wskutek pozyskiwania drewna oraz model ich szacowania. Publishing House of the University of Agriculture in Krakow, 2018. http://dx.doi.org/10.15576/978-83-66602-34-2.

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An analysis of the existing literature on the issue of damage to regeneration caused by timber harvesting, revealed that a great majority of results reported in those publications was obtained through laborious and time-consuming field research conducted in two stages. Field research methods for gathering data, employed by various authors, differed in terms of the manner of establishing trial plots, the accuracy of counting and evaluating the number of saplings growing on the investigated sites, classification systems used for distinguishing particular groups of regeneration based on quantitative (diameter at breast height, tree height) and qualitative features (biosocial position within the certain layer and the entire stand), classification systems used for identifying types of damage caused by cutting and felling, as well as transporting operations, and finally the duration of observation intervals and time spent on gathering data on the response of damaged saplings from both, the individual and collective perspectives. Obviously, the most reliable manner of gathering such data would be to count all damaged elements of the environment being a subject of interest of particular investigators at the certain point of time. However, due to time and work consumption of this approach, which is besides very costly, any research should be designed in such a manner as to reduce the above-mentioned factors. This paper aimed to (1) analyse the probability of occurrence of damage to regeneration depending on the form of timber assortments dragged from the felling site to the skidding routes, and timber harvesting technology employed in logging works, and (2) identify a method ensuring that gathered data is sufficient for performing reliable evaluation of share of damage to regeneration at acceptable accuracy level, without necessity to establish trial plots before commencing harvesting works. The scope of these studies enclosed a comparison between two motor-manual methods of timber harvesting in thinned stands, with dragging of timber in the first stage of skidding from the stand to landings. According to one of these methods, a classical one, operations of felling and delimbing of trees were carried out by sawmen at the felling site. Timber obtained using different methods was skidded by carters and horses, and operators of a light-duty cable winch, driven by the chainsaw’s engine, as well as operators of cable winches combined with farm tractors. In the latter, alternative method, sawmen performed only cutting and felling of trees. Delimbing and cross-cutting of trunks, dragged from the felling sites, was carried out by operators of processors combined with farm tractors, worked on skidding routes. The research was conducted in the years 2002–2010 in stands within the age classes II–IV mostly, located in the territories of Regional Directorates of State Forests in Krakow and Katowice, and in the Forest Experimental Unit in Krynica-Zdrój. In the course of a preliminary stage of investigations 102 trial plots were established in stands within early and late tinning treatments. As a result of the field research carried out in two stages, more than 3.25 thsd. circular sites were established and marked, on the surface of which over 25 thsd. saplings constituting the regeneration layer were inventoried. Based on the results of investigations and analyses it was revealed that regardless of the category of thinning treatment, the highest probability of occurrence of destroying P(ZN) to regeneration (0.24–0.44) should be expected when the first stage of timber skidding is performed using cable winches. Slightly lower values of probability (0.17–0.33) should be expected in stands where timber is skidded by horses, while in respect to processor-based skidding technology the probability of destroying occurrence oscillates between 0.12 and 0.27, depending on the particular layer of regeneration. P(ZN) values, very close to those of skidding technology engaging processors, were recorded for skidding performed using the light-duty cable winch driven by the chainsaw’s engine (0.16–0.27). The highest probability of damage P(USZK) to regeneration (0.16–0.31) can be expected when processors are used in the first stage of timber skidding. Slightly lower values of probability (0.14–0.23) were obtained when skidding was performed with the use of cable winches, whereas engaging horses for hauling of trunks results in probability of damage occnrrence oscillating between 0.05–0.20, depending on the particular layer of regeneration. With regard to the probability of occurrence of both, destroying and damage P(ZNUSZK) to regeneration (0.33–0.54), the highest values can be expected when cable winches are engaged in the first stage of skidding. Little lower (0.30–0.43) was the probability of their occurrence if processor-based technology of skidding was employed, while in respect to horse skidding these values oscillated between 0.27–0.41, depending on the layer of regeneration. The lowest values of probability of occurrence of damage P(USZK), and destroying and damage treated collectively P(ZNUSZK), within all layers of regeneration, were recorded in stands where thinning treatments were performed using the light-duty cable winch driven by the chainsaw’s engine. The models evaluated and respective equations, developed based on those models, for evaluating the number of destroyed saplings ZNha (tab. 40, 42, 44, 46, 48) could be used for determining the share of damage expressed as a percentage, upon conducting only one field research at the investigated felling sites, once the timber harvesting and skidding would have been completed. As revealed by the results of analyses, evaluation of statistically significant regression models was possible for all layers of regeneration (tab. 39, 41, 43, 45, 47). Nevertheless, the smallest part of these models that could be considered positively verified, were those for the natural young regeneration, although almost a half of them revealed to be significant. Within the medium-sized regeneration over three-fourths of all models could be considered positively verified, four of which explained more than 50% of variability. Within the high-sized regeneration almost two-thirds of evaluated regression models were statistically significant, five of which were verified positively, moreover, one of them explained more than 50% of variability. The most promising results were those obtained for the advance growth. Nearly 90% of the evaluated models revealed to be statistically significant, ten of which could be considered positively verified. Furthermore, four statistically significant models explained over 50% of general variability. With regard to the entire regeneration more than 80% of evaluated models were statistically significant. However, due to insignificant coefficients of regression, eight of them could be considered positively verified. At this point it should be stressed that in respect to logging technology employing the light-duty cable winch FKS it was impossible to evaluate statistically significant models of regression. Whereas, in the case of processor-based logging technology, firstly regarding the advance growth, and then the entire regeneration, all of the evaluated statistically significant models could be considered positively verified, in terms of both, all of the stands, and particular categories of thinning treatments individually. This latter case also revealed the highest degree of matching of evaluated models (R2 popr 0.73–0.76 for advance growth and 0.78–0.94 for the entire regeneration). A significant impact of the kind of form of hauled timber on the probability of damage occurrence P(USZK), mainly in early thinning treatments, could have been reflected in the results obtained for all stands (early and late thinning treated collectively). Moreover, due to an insignificant impact of the form of hauled timber and logging technology employed, on the probability of occurrence of damage in late thinned stands, and a significant impact of the above-mentioned variables on early thinned stands, it should be assumed that for performing an evaluation of destroying and damage caused by timber harvesting the both thinning treatment categories should be analysed separately. Furthermore, when evaluating the probability of occurrence of destroying and damage caused by timber harvesting, the layers of natural young regeneration and advance growth should be analysed separately. As proved by the results presented in this paper, varying values of probability computed for each of the layers of regeneration seem to indicate that when investigating damage to regeneration caused by timber harvesting, it would be reasonable and recommended to perform a separate analysis of damage to the highest saplings as well, namely individuals with diameter at breast height close to 7 cm. In respect to studies on damage to regeneration caused by logging technologies mentioned above, the evaluation of number of destroyed saplings within the advance growth can be carried out using the proportions of damaged and undamaged saplings per 1 ha of the stand. The numbers evaluated in this manner can be used to calculate the damage share expressed in relative values (percentage of damaged saplings compared with the entire number of saplings before commencing the logging works). However, one should keep in mind that this is true only if the field research have been carried out based on the methodology described in this paper.
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