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2481) New Guinea
Gist
The New Guinea bioregion, located in the Australasia realm, is the world's second largest island (after Greenland) separated from Australia by the Torres Strait. New Guinea and its surrounding islands make up the northernmost grouping of islands in Melanesia.
Summary
New Guinea is a big island north of Australia. It is the second largest island in the world. Geologically and biologically it is related to Australia. It was first surveyed by Alfred Russel Wallace in the 19th century, who noted that it was, like Australia, on the eastern side of the Wallace line. That means it is closer to Australia than to Indonesia in its flora and fauna.
On the east side of New Guinea is the country Papua New Guinea. On the west side of the island are the Indonesian provinces of Papua, Central Papua, Highland Papua, South Papua, Southwest Papua, and West Papua. These provinces together are called Western New Guinea. The Indonesian "capture" of western Papua New Guinea was a modern act by dictator Suharto of Indonesia. The Australian "capture" of the eastern half was meant to make sure the peoples of this part of Indonesia were left alone.
An early BBC David Attenborough program showed that the country was wooded with many groups of humans speaking many languages. The most notable animals still alive were the birds of paradise. Of marsupials, the quolls are notable. They are small, solitary carnivores. There are six species surviving, two in New Guinea and four in Australia. Echidnas are mammals also known as spiny anteaters.
The number of people on New Guinea is unknown. Indonesia and Papua New Guinea estimated the number around 2020. They say there are about 15 million people. However, the real number could be 23 million or more.
New Guinea is important for its nature and biology. Its largest marsupial, the Diprotodon, is now extinct. Native humans live in sparsely wooded, hilly ground in small groups which speak different languages. New Guinea has over 1000 languages. This is more languages than anywhere else in the world.
Still surviving are the birds of paradise, with marsupials, including wallabies and possums, and the egg-laying monotreme, the echidna. Other than bats and some two dozen indigenous rodents, there are no pre-human indigenous placental mammals. Pigs, several additional species of rats, and the ancestor of the New Guinea singing dog were introduced with human colonization.
Details
New Guinea (also known as Papua or historically Irian) is the world's second-largest island, with an area of 785,753 sq km (303,381 sq mi). It has the third-largest remaining rainforest globally, and the highest plant biodiversity of any island. Located in Melanesia in the southwestern Pacific Ocean, the island is separated from Australia by the 150-kilometre (81-nautical-mile; 93-mile) wide Torres Strait, though both landmasses lie on the same continental shelf, and were united during episodes of low sea level in the Pleistocene glaciations as the combined landmass of Sahul. Numerous smaller islands are located to the west and east. The island's name was given by Spanish explorer Yñigo Ortiz de Retez during his maritime expedition of 1545 because of the perceived resemblance of the indigenous peoples of the island to those in the African region of Guinea.
The eastern half of the island is the major land mass of the nation of Papua New Guinea. The western half, known as Western New Guinea, forms a part of Indonesia and is organized as the provinces of Papua, Central Papua, Highland Papua, South Papua, Southwest Papua, and West Papua. The two major cities on the island are Port Moresby and Jayapura.
Names
The island has been known by various names:
The name Papua was used to refer to parts of the island before contact with the West. Its etymology is unclear; one theory states that it derived from Tidore, the language used by the Sultanate of Tidore. An expedition by the Sultan of Tidore, together with Sahmardan, the Sangaji of Patani, and the Papuan Gurabesi, managed to conquer some areas in New Guinea, which was then reorganised to form Korano Ngaruha ("Four Kings") or Raja Ampat, Papoua Gam Sio (lit. "The Papua Nine Negeri"), and Mafor Soa Raha (lit. The Mafor "Four Soa"). The name comes from the words papo ("to unite") and ua (negation), which means "not united", i.e. an outlying possession of Tidore.
Anton Ploeg reports that the word papua is often said to be derived from the Malay word papua or pua-pua, meaning "frizzly-haired", referring to the very curly hair of the island's inhabitants. However Sollewijn Gelpke in 1993 considered this unlikely as it had been used earlier, and he instead derived it from the Biak phrase sup i babwa, which means "the land below [the sunset]", and refers to the Raja Ampat Islands.
When Portuguese and Spanish explorers arrived via the Spice Islands, they also used the name Papua. However, Westerners, beginning with Spanish explorer Yñigo Ortiz de Retez in 1545, used the name New Guinea, due to the resemblance between the indigenous peoples of the island and Africans of the Guinea region. The name is one of several toponyms sharing similar etymologies, ultimately meaning "land of the blacks" or similar meanings.
The Dutch, who arrived later under Jacob Le Maire and Willem Schouten, called it Schouten island. They later used this name only to refer to islands off the north coast of Papua proper, the Schouten Islands or Biak Island. When the Dutch colonized the main island as part of the Dutch East Indies, they called it Nieuw Guinea.
The name Irian was used in the Indonesian language to refer to the island and Indonesian province, as Irian Barat (West Irian) Province and later Irian Jaya Province. The name Irian was suggested during a tribal committee meeting in Tobati, Jayapura, formed by Soegoro Atmoprasodjo under governor J. P. van Eechoed, to decide on a new name because of the negative association of Papua. Frans Kaisiepo, the committee leader, suggested the name from Mansren Koreri myths, Iri-an from the Biak language of Biak Island, meaning "hot land" (referring to the climate), but also from Iryan which means heated process as a metaphor for a land that is entering a new era. In Serui Iri-an (lit. "land-nation") means "pillar of nation", while in Merauke Iri-an (lit. "placed higher-nation") means "rising spirit" or "to rise". The name was promoted in 1945 by Marcus Kaisiepo, brother of Frans Kaisiepo. The name was politicized later by Corinus Krey, Marthen Indey, Silas Papare, and others with the Indonesian backronym Ikut Republik Indonesia Anti Nederland ("Join the Republic of Indonesia Oppose the Netherlands"). Irian was used somewhat in 1972. The name was used until 2001, when Papua was again used for the island and the province. The name Irian, which was originally favored by natives, is now considered to be a name imposed by the Indonesian government.
Geography
New Guinea is an island to the north of the Australian mainland, south of the equator. It is isolated by the Arafura Sea to the west, and the Torres Strait and Coral Sea to the east. Sometimes considered to be the easternmost island of the Indonesian archipelago, it lies north of Australia's Top End, the Gulf of Carpentaria and Cape York Peninsula, and west of the Bismarck Archipelago and the Solomon Islands archipelago. Biologically, New Guinea may also be considered part of Australia, as there is a continuity of flora and fauna between the two countries.
Politically, the western half of the island comprises six provinces of Indonesia: Papua, Central Papua, Highland Papua, South Papua, West Papua and Southwest Papua. The eastern half forms the mainland of the country of Papua New Guinea.
The shape of New Guinea is often compared to that of a bird-of-paradise (indigenous to the island), and this results in the usual names for the two extremes of the island: the Bird's Head Peninsula in the northwest (Vogelkop in Dutch, Kepala Burung in Indonesian; also known as the Doberai Peninsula), and the Bird's Tail Peninsula in the southeast (also known as the Papuan Peninsula).
A spine of east–west mountains, the New Guinea Highlands, dominates the geography of New Guinea, stretching over 1,600 km (1,000 mi) across the island, with many mountains over 4,000 m (13,100 ft). The western half of the island contains the highest mountains in Oceania, with its highest point, Puncak Jaya, reaching an elevation of 4,884 m (16,023 ft). The tree line is around 4,000 m (13,100 ft) elevation, and the tallest peaks contain equatorial glaciers—which have been retreating since at least 1936. Various other smaller mountain ranges occur both north and west of the central ranges. Except in high elevations, most areas possess a warm humid climate throughout the year, with some seasonal variation associated with the northeast monsoon season.
Another major habitat feature is the vast southern and northern lowlands. Stretching for hundreds of kilometres, these include lowland rainforests, extensive wetlands, savanna grasslands, and some of the largest expanses of mangrove forest in the world. The southern lowlands are the site of Lorentz National Park, a UNESCO World Heritage Site. The northern lowlands are drained principally by the Mamberamo River and its tributaries on the western side, and by the Sepik on the eastern side. The more extensive southern lowlands are drained by a larger number of rivers, principally the Digul in the west and the Fly in the east. The largest island offshore, Dolak, lies near the Digul estuary, separated by a strait so narrow it has been named a "creek".
New Guinea contains many of the world's ecosystem types: glacial, alpine tundra, savanna, montane and lowland rainforest, mangroves, wetlands, lake and river ecosystems, seagrasses, and some of the richest coral reefs on the planet.
The entire length of the New Guinea Highlands system passes through New Guinea as a vast watershed. The northern rivers flow into the Pacific Ocean, the southern rivers into the Arafura Sea and the Gulf of Papua. On the north side, the largest rivers are the Mamberamo, Sepik and Ramu. Mamberamo was born from the confluence of two large inland rivers. Tariku comes from the west to the east and Taritatu from the east. These rivers meander through swamps with huge internal descents and then merge. The Mamberamo thus formed reaches the ocean by breaking through the Coastal Mountains. Mamberamo River is navigable to Marine Falls. The Sepik is a much more important river. Similarly, it collects water from a spacious pool. It is 1,100 kilometers from the Victor Emanuel Range to the estuary, making it the longest river in New Guinea. The winding, muddy, sluggish river can be navigated for 500 km. Ramu is a 650 km long river. Its lower section is navigable, but its upper flow is high-falling, fast-flowing. The energy of the river is used by a power plant near the city of Kainantu.
On the south side, the most significant rivers are Pulau, Digul, Fly, Kikori and Purari. The largest river in the western part of the island is Digul. It originates from the Star Mountains, which rise to an altitude of 4,700 m. The coastal plain is bordered by a swamp world hundreds of kilometers wide. Digul is the main transport route to the fertile hills and mountains within the island. The river Fly is born near the eastern branches of the Digul. It is named after one of the ships of the English Royal Fleet, which first sailed into the mouth of the river in 1845. The total length of the river is 1,050 km. Smaller boats can sail 900 km on the river. The estuary section, which decomposes into islands, is 70 km wide. The tide of the sea can have an effect of up to 300 kilometers. Strickland, a tributary of the Fly, reaches the Papuan Plain through wild gorges. Fly and Strickland together form the largest river in New Guinea. The many rivers flowing into the Gulf of Papua form a single delta complex. The rivers of the island are extremely rich in water due to the annual rainfall of 2,000–10,000 mm. According to a modest calculation, the New Guinea River carries about 1,500 {km}^{3}/a/(48,000 {m}^{3}/s) of water into the sea. Fly alone carries more water 238 {km}^{3}/a (7,500 {m}^{3}/s) than all the rivers in Australia combined.
Additional Information
New Guinea is an island of the eastern Malay Archipelago, in the western Pacific Ocean, north of Australia. It is bounded by the Pacific Ocean to the north, the Bismarck and Solomon seas to the east, the Coral Sea and Torres Strait to the south, and the Arafura Sea to the southwest. New Guinea is administratively divided into two parts: its western half comprises the Indonesian propinsi (or provinsi; provinces) of Papua and West Papua (collectively, formerly called Irian Jaya); and its eastern half comprises the major part of Papua New Guinea, an independent country since 1975.
New Guinea is the second largest island in the world, exceeded in size only by Greenland. It is about 1,500 miles (2,400 km) long (from northwest to southeast) and about 400 miles (650 km) wide at its widest (north to south) part. Area island, 317,150 square miles (821,400 square km). Pop. (2010) Papua and West Papua provinces including nearby islands, 3,593,803; (2011) Papua New Guinea excluding islands, 6,178,781.
Land
An unbroken chain of mountains with peaks above 13,000 feet (4,000 metres) in elevation extends across New Guinea from the northwest to the southeast, rising to 16,024 feet (4,884 metres) at Jaya Peak in western Papua province—the highest point in Indonesia. The summits of the chain are glaciated, and the mountains incorporate extinct volcanoes and elongated, fertile highland basins usually above 4,900 feet (1,490 metres) in elevation. To the north of the mountain chain is a deep structural trench occupied by the valleys of the Mamberamo, Sepik, Ramu, and Markham rivers. Fronting the north-central coastal plains of New Guinea is a series of fault-rimmed mountains that generally lie below 11,500 feet (3,500 metres). The mostly lowland Bomberai Peninsula and the more mountainous Doberai Peninsula constitute the extreme northwestern part of the island.
South of the central mountain chain is the Fly-Digul shelf, a vast swampy plain crossed by numerous rivers including the Fly, Bian, Digul, Mapi, Pulau, and Lorentz. To the southeast the Owen Stanley Range extends about 200 miles (320 km) and forms a wide peninsula, separating the Solomon Sea to the north from the Coral Sea to the south.
The climate of New Guinea is basically tropical, with mean annual maximum temperatures ranging between 86 and 90 °F (30 and 32 °C) in the lowlands; daytime temperatures in the highlands generally exceed 72 °F (22 °C) year-round. The southeast trade winds blow for about seven months each year, and rainfall on the southward-facing slopes of the central highlands frequently exceeds 300 inches (7,620 mm) annually. Consequently, the Fly-Digul shelf and bordering highlands are one of the world’s wettest places and also one of the least-inhabited. The central highlands receive rain throughout the year totaling between 100 and 160 inches (2,540 and 4,065 mm). Port Moresby on the southeastern coast receives only about 40 inches (1,000 mm) of rain per year.
New Guinea has a rich variety of plant life, including orchids, figs, and species of false beech. Mangrove swamps are found along the coastline almost everywhere. Farther inland mangroves are succeeded by nipa palms. Large stands of sago palms are found along the deltas and rivers of the southern coast. Primary lowland rainforest covers much of New Guinea up to about 3,300 feet (1,000 metres) above sea level. In the central highlands above 3,300 feet, stands of oak, beech, and pine are common. Wildlife includes many reptiles and such marsupials as the tree kangaroo and phalanger. Notable birds are the cassowary (a large, flightless bird), the spectacular birds of paradise, and parrots.
People
Almost the whole of New Guinea is occupied by speakers of Papuan languages, the original settlers of the island, who live mainly in the interior and southern sections. Papuan societies are characterized by leadership invested in local “big men” and by reciprocal gift giving. Ethnic composition is complex among the Papuans, who speak some 700 different languages. Constituting a small minority are communities of speakers of Austronesian (Melanesian) languages on the western, northern, and eastern coasts and on many of the affiliated offshore islands. There are also some Polynesians, Chinese, and Europeans. Several pidgins, such as Tok Pisin and Hiri Motu, are widely spoken; Indonesian (the official language of Indonesia) and English (the official language of Papua New Guinea) are also spoken. Although about two-thirds of Papua New Guinea’s population is Christian, traditional religious beliefs and rituals are still widely practiced.
Throughout most of the highland basins, much of the natural vegetation has been removed by the relatively intensive agriculture of the highlanders. The central highlands are the most densely populated part of the island. Swidden (slash-and-burn, or shifting) cultivation is practiced in the forested foothills to the north of the central highlands and in the grasslands of the Mamberamo and Sepik river basins, where the population is sparse. The north coast is also generally well populated.
Economy
Copper and gold are the main mineral resources of the island. One of the largest concentrations of copper in the world is at Tembagapura, about 25 miles (40 km) southwest of Mount Jaya in Papua. Another major deposit of copper has been developed just inside Papua New Guinea among the headwaters of the Fly River at Ok Tedi. Large amounts of gold also are produced at Ok Tedi. Petroleum is extracted in the Doberai Peninsula area of Papua and near Lake Kutubu in the central highlands of Papua New Guinea. Natural gas has been discovered in the Fly-Kikori area in Papua New Guinea.
The bulk of New Guinea’s population are subsistence farmers. Yams, taro, sago, and bananas are the lowland staple foods, and the sweet potato is the main highland food; pig husbandry is widespread. Cash crops in Papua New Guinea include coffee, cacao, copra, palm oil, tea, and rubber; skyjack tuna, prawns, and timber are also exported. Internal transport consists of a few secondary coastal roads, riverboats, and airways, with the latter becoming increasingly important.
History
New Guinea was possibly occupied as early as 50,000 years ago. By about 7000 bce sedentary agriculture with extensive swamp drainage and irrigation was practiced in the highland basins. The island, especially the western half, was known to Indonesian and Asian seafarers centuries before it was known to Europeans. The Portuguese in 1511 were the first Europeans to sight the island but made no landing until 1527.
The Dutch claimed the western half of the island in 1828 as part of the Dutch East Indies. In the 1870s Captain John Moresby of Great Britain surveyed the southeastern coast, and by 1884 the southeastern quadrant of New Guinea had been annexed by Great Britain. The German New Guinea Company took over administration of the northeast quadrant in the same year. The administration of British New Guinea was passed to Australia in 1904, and its name was changed to the Territory of Papua.
Following World War I, German New Guinea was taken over by Australia as a mandated territory of the League of Nations in 1921. After Japan temporarily occupied large parts of the island during the early years of World War II, Australia combined its administration of the Territory of Papua and the New Guinea mandate into the Territory of Papua and New Guinea. Also after the war, the western half of the island, then known as Irian Barat, was returned to Dutch control. Indonesia became independent in 1949, and a plebiscite was held in 1969 to decide Irian Barat’s future; as a result it was annexed to Indonesia. Papua New Guinea was granted independence within the British Commonwealth in 1975.
2419) Macfarlane Burnet
Gist:
Work
Our immune system protects us against attacks by microorganisms and rejects foreign tissue. Part of our immunity has a hereditary basis, but part of it is acquired and is not present in the fetus. In 1949 Macfarlane Burnet theorized that the ability to distinguish between one’s own and foreign tissue is not hereditary but is acquired during the fetus stage. The theory was substantiated when Peter Medawar succeeded in performing transplants of tissue between different mouse fetuses. The results had significance for organ transplants.
Summary
Sir Frank Macfarlane Burnet (3 September 1899 – 31 August 1985), usually known as Macfarlane or Mac Burnet, was an Australian virologist known for his contributions to immunology. He won a Nobel Prize in 1960 for predicting acquired immune tolerance. He also developed the theory of clonal selection.
Burnet received his Doctor of Medicine degree from the University of Melbourne in 1924, and his PhD from the University of London in 1928. He went on to conduct pioneering research in microbiology and immunology at the Walter and Eliza Hall Institute of Medical Research, Melbourne, and served as director of the Institute from 1944 to 1965. From 1965 until his retirement in 1978, Burnet worked at the University of Melbourne. Throughout his career he played an active role in the development of public policy for the medical sciences in Australia and was a founding member of the Australian Academy of Science (AAS), and served as its president from 1965 to 1969.
Burnet's major achievements in microbiology included discovering the causative agents of Q-fever and psittacosis; developing assays for the isolation, culture and detection of influenza virus; describing the recombination of influenza strains; demonstrating that the myxomatosis virus does not cause disease in humans. Modern methods for producing influenza vaccines are still based on Burnet's work improving virus growing processes in hen's eggs.
For his contributions to Australian science, Burnet was made the first Australian of the Year in 1960, and in 1978 a Knight of the Order of Australia. He was recognised internationally for his achievements: in addition to the Nobel, he received the Lasker Award and the Royal and Copley Medal from the Royal Society, honorary doctorates, and distinguished service honours from the Commonwealth of Nations and Japan.
Details
Sir Macfarlane Burnet (born Sept. 3, 1899, Traralgon, Australia—died Aug. 31, 1985, Melbourne) was an Australian physician, immunologist, and virologist who, with Sir Peter Medawar, was awarded the 1960 Nobel Prize for Physiology or Medicine for the discovery of acquired immunological tolerance, the concept on which tissue transplantation is founded.
Burnet received his medical degree in 1924 from the University of Melbourne and performed research (1925–27) at the Lister Institute of Preventive Medicine, London. After receiving his Ph.D. from the University of London (1928), he became assistant director of the Walter and Eliza Hall Institute of Medical Research at Royal Melbourne Hospital in 1934 and later (1944–65) was its director and professor of experimental medicine at the University of Melbourne. He was knighted in 1951.
Early in his career, Burnet conducted fundamental experiments with bacteriophages, and he developed a technique—now standard laboratory practice—of culturing viruses in living chick embryos. He increased knowledge of the way influenza viruses cause infection, and he carried out or was associated with research on myxomatosis, Murray Valley encephalitis, toxic staphylococcal infection, polio, psittacosis, herpes simplex, poxviruses, and Q fever. He isolated the causal organism of Q fever, Rickettsia burnetii (Coxiella burnetii).
Although Burnet’s work in virology was important, his most significant achievements in science were made in immunology. He helped unravel the question of how the vertebrate immune system learns to distinguish between its own cells and foreign materials (antigens), such as those of infectious agents, and how during development a vertebrate becomes able to tolerate those components belonging to itself—the concept called immunological tolerance. He also developed a model, called the clonal selection theory of antibody formation, that explains how the body is able to recognize and respond to a virtually limitless number of foreign antigens. The theory states that an antigen entering the body does not induce the formation of an antibody specific to itself—as some immunologists believed—but instead it binds to one unique antibody selected from a vast repertoire of antibodies produced early in the organism’s life. Although controversial at first, this theory became the foundation of modern immunology.
Among Burnet’s publications are Viruses and Man (1953), Principles of Animal Virology (1955), The Clonal Selection Theory of Acquired Immunity (1959), Immunological Surveillance (1970), and Credo and Comment: A Scientist Reflects (1979).

Superconductivity
Gist
Superconductivity is a quantum mechanical phenomenon occurring in certain materials cooled below a specific critical temperature, characterized by exactly zero electrical resistance and the expulsion of magnetic fields (Meissner effect). It allows for lossless energy transmission and magnetic levitation. Key applications include MRI machines, particle accelerators, and maglev trains.
Superconductivity is when a material, cooled to very low temperatures, lets electricity flow through it with zero resistance, meaning no energy is lost as heat, and it also perfectly pushes away magnetic fields. Think of it like a perfect, frictionless highway for electrons, allowing current to flow forever without a power source once started, and even levitating magnets above it.
Summary
Superconductivity is a set of physical properties observed in superconductors: materials where electrical resistance vanishes and magnetic fields are expelled from the material. Unlike an ordinary metallic conductor, whose resistance decreases gradually as its temperature is lowered, even down to near absolute zero, a superconductor has a characteristic critical temperature below which the resistance drops abruptly to zero. An electric current through a loop of superconducting wire can persist indefinitely with no power source.
The superconductivity phenomenon was discovered in 1911 by Dutch physicist Heike Kamerlingh Onnes. Like ferromagnetism and atomic spectral lines, superconductivity is a phenomenon which can only be explained by quantum mechanics. It is characterized by the Meissner effect, the complete cancellation of the magnetic field in the interior of the superconductor during its transitions into the superconducting state. The occurrence of the Meissner effect indicates that superconductivity cannot be understood simply as the idealization of perfect conductivity in classical physics.
In 1986, it was discovered that some cuprate-perovskite ceramic materials have a critical temperature above 35 K (−238 °C). It was shortly found (by Ching-Wu Chu) that replacing the lanthanum with yttrium, i.e. making YBCO, raised the critical temperature to 92 K (−181 °C), which was important because liquid nitrogen could then be used as a refrigerant. Such a high transition temperature is theoretically impossible for a conventional superconductor, leading the materials to be termed high-temperature superconductors. The cheaply available coolant liquid nitrogen boils at 77 K (−196 °C) and thus the existence of superconductivity at higher temperatures than this facilitates many experiments and applications that are less practical at lower temperatures.
Details
superconductivity, complete disappearance of electrical resistance in various solids when they are cooled below a characteristic temperature. This temperature, called the transition temperature, varies for different materials but generally is below 20 K (−253 °C).
The use of superconductors in magnets is limited by the fact that strong magnetic fields above a certain critical value, depending upon the material, cause a superconductor to revert to its normal, or nonsuperconducting, state, even though the material is kept well below the transition temperature.
Suggested uses for superconducting materials include medical magnetic-imaging devices, magnetic energy-storage systems, motors, generators, transformers, computer parts, and very sensitive devices for measuring magnetic fields, voltages, or currents. The main advantages of devices made from superconductors are low power dissipation, high-speed operation, and high sensitivity.
Discovery
Superconductivity was discovered in 1911 by the Dutch physicist Heike Kamerlingh Onnes; he was awarded the Nobel Prize for Physics in 1913 for his low-temperature research. Kamerlingh Onnes found that the electrical resistivity of a mercury wire disappears suddenly when it is cooled below a temperature of about 4 K (−269 °C); absolute zero is 0 K, the temperature at which all matter loses its disorder. He soon discovered that a superconducting material can be returned to the normal (i.e., nonsuperconducting) state either by passing a sufficiently large current through it or by applying a sufficiently strong magnetic field to it.
For many years it was believed that, except for the fact that they had no electrical resistance (i.e., that they had infinite electrical conductivity), superconductors had the same properties as normal materials. This belief was shattered in 1933 by the discovery that a superconductor is highly diamagnetic; that is, it is strongly repelled by and tends to expel a magnetic field. This phenomenon, which is very strong in superconductors, is called the Meissner effect for one of the two men who discovered it. Its discovery made it possible to formulate, in 1934, a theory of the electromagnetic properties of superconductors that predicted the existence of an electromagnetic penetration depth, which was first confirmed experimentally in 1939. In 1950 it was clearly shown for the first time that a theory of superconductivity must take into account the fact that free electrons in a crystal are influenced by the vibrations of atoms that define the crystal structure, called the lattice vibrations. In 1953, in an analysis of the thermal conductivity of superconductors, it was recognized that the distribution of energies of the free electrons in a superconductor is not uniform but has a separation called the energy gap.
The theories referred to thus far served to show some of the interrelationships between observed phenomena but did not explain them as consequences of the fundamental laws of physics. For almost 50 years after Kamerlingh Onnes’s discovery, theorists were unable to develop a fundamental theory of superconductivity. Finally, in 1957 such a theory was presented by the physicists John Bardeen, Leon N. Cooper, and John Robert Schrieffer of the United States; it won for them the Nobel Prize for Physics in 1972. It is now called the BCS theory in their honour, and most later theoretical work is based on it. The BCS theory also provided a foundation for an earlier model that had been introduced by the Russian physicists Lev Davidovich Landau and Vitaly Lazarevich Ginzburg (1950). This model has been useful in understanding electromagnetic properties, including the fact that any internal magnetic flux in superconductors exists only in discrete amounts (instead of in a continuous spectrum of values), an effect called the quantization of magnetic flux. This flux quantization, which had been predicted from quantum mechanical principles, was first observed experimentally in 1961.
In 1962 the British physicist Brian D. Josephson predicted that two superconducting objects placed in electric contact would display certain remarkable electromagnetic properties. These properties have since been observed in a wide variety of experiments, demonstrating quantum mechanical effects on a macroscopic scale.
The theory of superconductivity has been tested in a wide range of experiments, involving, for example, ultrasonic absorption studies, nuclear-spin phenomena, low-frequency infrared absorption, and electron-tunneling experiments. The results of these measurements have brought understanding to many of the detailed properties of various superconductors.
Additional Information
At what most people think of as “normal” temperatures, all materials have some amount of electrical resistance. This means they resist the flow of electricity in the same way a narrow pipe resists the flow of water. Because of resistance, some energy is lost as heat when electrons move through the electronics in our devices, like computers or cell phones. For most materials, this resistance remains even if the material is cooled to very low temperatures. The exceptions are superconducting materials. Superconductivity is the property of certain materials to conduct direct current (DC) electricity without energy loss when they are cooled below a critical temperature (referred to as Tc). These materials also expel magnetic fields as they transition to the superconducting state.
Superconductivity is one of nature’s most intriguing quantum phenomena. It was discovered more than 100 years ago in mercury cooled to the temperature of liquid helium (about -452°F, only a few degrees above absolute zero). Early on, scientists could explain what occurred in superconductivity, but the why and how of superconductivity were a mystery for nearly 50 years.
In 1957, three physicists at the University of Illinois used quantum mechanics to explain the microscopic mechanism of superconductivity. They proposed a radically new theory of how negatively charged electrons, which normally repel each other, form into pairs below Tc. These paired electrons are held together by atomic-level vibrations known as phonons, and collectively the pairs can move through the material without resistance. For their discovery, these scientists received the Nobel Prize in Physics in 1972.
Following the discovery of superconductivity in mercury, the phenomenon was also observed in other materials at very low temperatures. The materials included several metals and an alloy of niobium and titanium that could easily be made into wire. Wires led to a new challenge for superconductor research. The lack of electrical resistance in superconducting wires means that they can support very high electrical currents, but above a “critical current” the electron pairs break up and superconductivity is destroyed. Technologically, wires opened whole new uses for superconductors, including wound coils to create powerful magnets. In the 1970s, scientists used superconducting magnets to generate the high magnetic fields needed for the development of magnetic resonance imaging (MRI) machines. More recently, scientists introduced superconducting magnets to guide electron beams in synchrotrons and accelerators at scientific user facilities.
In 1986, scientists discovered a new class of copper-oxide materials that exhibited superconductivity, but at much higher temperatures than the metals and metal alloys from earlier in the century. These materials are known as high-temperature superconductors. While they still must be cooled, they are superconducting at much warmer temperatures—some of them at temperatures above liquid nitrogen (-321°F). This discovery held the promise of revolutionary new technologies. It also suggested that scientists may be able to find materials that are superconducting at relatively high temperatures.
Since then, many new high-temperature superconducting materials have been discovered using educated guesses combined with trial-and-error experiments, including a class of iron-based materials. However, it also became clear that the microscopic theory that describes superconductivity in metals and metal alloys does not apply to most of these new materials, so once again the mystery of superconductivity is challenging the scientific community.
DOE Office of Science & Superconductivity
The DOE Office of Science, Office of Basic Energy Sciences has supported research on high-temperature superconducting materials since they were discovered. The research includes theoretical and experimental studies to unravel the mystery of superconductivity and discover new materials. Even though a complete understanding of the quantum mechanism is yet to be discovered, scientists have found ways to enhance superconductivity (increase the critical temperature and critical current) and have discovered many new families of high-temperature superconducting materials. Each new superconducting material offers scientists an opportunity to get closer to understanding how high-temperature superconductivity works and how to design new superconducting materials for advanced technological applications.
Superconductivity Facts
* Superconductivity was discovered in 1911 by Heike Kamerlingh-Onnes. For this discovery, the liquefaction of helium, and other achievements, he won the 1913 Nobel Prize in Physics.
* Five Nobel Prizes in Physics have been awarded for research in superconductivity (1913, 1972, 1973, 1987, and 2003).
* Approximately half of the elements in the periodic table display low temperature superconductivity, but applications of superconductivity often employ easier to use or less expensive alloys. For example, MRI machines use an alloy of niobium and titanium.

Colorful Quotes
1. Your purpose is to make your audience see what you saw, hear what you heard, feel what you felt. Relevant detail, couched in concrete, colorful language, is the best way to recreate the incident as it happened and to picture it for the audience. - Dale Carnegie
2. You've got to remember even the Apple regeneration started with colorful iMacs. So let us first get the colorful iMacs. I think with what we're doing with Lumia, we're at that stage. I want to do good devices that people like, and then we will go on to doing the next thing and the next thing. - Satya Nadella
3. There are large numbers of people in India below the poverty line; there are large numbers of people who lead a meager existence. They want to find a little escape from the hardships of life and come and watch something colorful and exciting and musical. Indian cinema provides that. - Amitabh Bachchan
4. I never wanted to be the great guy or the colorful guy or the interesting guy. I wanted to be the guy who won titles. - Pete Sampras
5. We really have the most beautiful planet in our solar system. None other can sustain life like we know it. None other has blue water and white clouds covering colorful landmasses filled with thriving, beautiful, living things like human beings. - Sunita Williams
6. A lot of times I watch TV and I watch film and there's so many things I'd love to talk about that I feel don't get the opportunity to be shown. Sometimes things become very stereotypical and one-sided, and I feel like it's such a colorful world. - Alicia Keys
7. There are so many colorful characters in Florida. There's a lot of money, development - not all of it good - and corruption. - John Grisham.
Q: Why did the Oreo go to the dentist?
A: Because it lost its filling.
* * *
Q: What do you call an ant dipped in chocolate?
A: Decad-ant.
* * *
Q: What happens when you try to eat 5 candy bars at once?
A: Your gonna choke alot.
* * *
Q: What does it do before it rains candy?
A: It sprinkles!
* * *
Q: What do you call dancing chocolate bar?
A: Nestle Crunk bar.
* * *
Chemical Equilibrium
Gist
Chemical equilibrium is the state in a reversible reaction where the rates of the forward and backward reactions are equal, resulting in constant concentrations of reactants and products over time. It is a dynamic process in a closed system where no net change occurs. The equilibrium constant quantifies the ratio of products to reactants.
Chemical equilibrium is the state in a reversible reaction where the rate of the forward reaction (reactants to products) equals the rate of the reverse reaction (products to reactants), resulting in constant, unchanging concentrations of both reactants and products over time, even though individual molecules are still reacting. It's a dynamic process, meaning reactions haven't stopped but are balanced, and is typically observed in a closed system, often shown with a double arrow in chemical equations.
Summary
In a chemical reaction, chemical equilibrium is the state in which both the reactants and products are present in concentrations which have no further tendency to change with time, so that there is no observable change in the properties of the system. This state results when the forward reaction proceeds at the same rate as the reverse reaction. The reaction rates of the forward and backward reactions are generally not zero, but they are equal. Thus, there are no net changes in the concentrations of the reactants and products. Such a state is known as dynamic equilibrium. It is the subject of study of equilibrium chemistry.
Historical introduction
The concept of chemical equilibrium was developed in 1803, after Berthollet found that some chemical reactions are reversible. For any reaction mixture to exist at equilibrium, the rates of the forward and backward (reverse) reactions must be equal. In the following chemical equation, arrows point both ways to indicate equilibrium.
Details
Chemical equilibrium is the condition in the course of a reversible chemical reaction in which no net change in the amounts of reactants and products occurs. A reversible chemical reaction is one in which the products, as soon as they are formed, react to produce the original reactants. At equilibrium, the two opposing reactions go on at equal rates, or velocities, and hence there is no net change in the amounts of substances involved. At this point the reaction may be considered to be completed; i.e., for some specified reaction condition, the maximum conversion of reactants to products has been attained.
Chemical equilibrium can be considered analogous to equilibrium in physical systems. For example, water in an insulated container with a temperature at the freezing point exists in both liquid and solid forms. The mass of the water does not change, but nevertheless there is physical activity with liquid water freezing onto the ice and ice melting back into liquid, with both processes occuring at the same time and at the same rate so the proportion of ice to water does not change.
The value of the equilibrium constant varies with the molar concentration, temperature, and pressure according to the principle of Le Chatelier, which states that any change in those conditions will change the equilibrium in such a way to counteract the effect of the change. For example, if the concentration of a reactant is increased, the reaction will proceed to convert the extra reactant into product until equilibrium is reached. If pressure increases, the forward reaction happens faster until a new equilibrium is reached. For increases in temperature, for an exothermic reaction (which releases heat), the equilibrium constant decreases, and the equilibrium constant increases for a endothermic reaction (which absorbs heat).
When the product and reactants are in the same phase (e.g, gas, liquid), the equilibrium is a homogeneous equilibrium. When the reactants are in different phase, such as salt (solid) dissolving in water (liquid), the equilibrium is a heterogenous equilibrium.
Solubility and equilibrium
The solubility product constant, Ksp, specifically describes the equilibrium between a solid ionic compound and its dissociated ions in a solution. For example for salt dissolving in water, the equilibrium constant Ksp does not include the concentration of the water, since water is not a product or a reactant, and thus the equilibrium constant is the concentrations of the sodium and chlorine ions divided by the concentration of the salt.
The solubility of an ionic compound is determined by various factors, including the common ion effect, which is a direct application of Le Chatelier’s principle. This principle relates to ionic equilibrium by explaining how changes in concentration, temperature, or pressure affect the equilibrium of reactions involving ions. The common ion effect occurs when an ion that is already present in a solution is added to the solution; the effect reduces the solubility of a weak electrolyte or suppresses the ionization of a weak acid or base.
For systems that are not in equilibrium, one can use the reaction quotient Q, which is calculated in the same way as the equilibrium constant K. If Q is greater than K, the reverse reaction happens, favoring the reactants until equilibrium is reached. If Q is greater than K, the forward reaction happens, favoring the products until equilibrium is reached.
Additional Information
Chemical equilibrium refers to the final mixture of a chemical reaction, where the reactants and products are done changing. In a chemical reaction, reactants are converted into products. A general belief is that all chemical reactions proceed to completion (where all reactants are converted into products). But this is not true in all cases. A lot of chemical reactions proceed only to a certain extent, i.e. the reactants are not fully converted into products and the resulting mixture contains both reactants and products. After some time, the concentration of reactants or products becomes constant and we get a state of equilibrium for the system.
Irreversible reaction
A chemical reaction which proceeds only in the forward direction so that the reactants are converted into products and products do not react with each other to reform reactants is called an irreversible reaction.
Reversible reaction
A chemical reaction in which reactants react together to form products and products formed react with each other directly to reform the original reactant back is known as a reversible reaction.
Characteristics of Chemical Equilibrium
These are some of the characteristics of chemical equilibrium:
* The chemical reaction should be reversible.
* The equilibrium can be attained only if the system is closed, i.e. the reaction should be carried out in a closed vessel.
* The opposing processes (i.e. forward and backward reactions) occur at the same rate and there is a dynamic but stable condition.
* The observable properties of the system such as concentration, pressure, color, etc. becomes constant at equilibrium and remains unchanged thereafter.
* By bringing a change in conditions such as temperature, pressure or concentration, the equilibrium point can be shifted to the right or left hand side as required. Thus the reaction can be controlled to get more yield of products.
* The equilibrium can be approached from either direction.
* A catalyst does not alter the equilibrium point. It only increases the rate of reaction. The equilibrium is attained however.

Hi,
#10719. What does the term in Biology Facultative anaerobic organism mean?
#10720. What does the term in Biology Family mean?
Hi,
#5915. What does the adjective jocose mean?
#5916. What does the noun joiner mean?
Hi,
#2554. What does the medical term Pallium (neuroanatomy) mean?
Hi,
#9839.
Hi,
#6333.
Hi,
2690.
Beaver
Gist
Beavers are famous for being "ecosystem engineers," known for building dams with sticks, mud, and rocks to create ponds, which reshapes landscapes, controls water flow, prevents erosion, and creates vital wetland habitats for many species. They are also known for their continuously growing, iron-rich orange teeth, paddle-like tails used for signaling and balance, thick waterproof fur, industrious nature (hence "busy as a beaver"), and for being the national symbol of Canada.
How strong is a beaver's bite?
When a beaver decides to bite it can unleash 180 pounds of pressure per square inch. To give you an idea of what that means… It takes about 160 pounds of pressure to break a human femur (the largest bone in your body). This is how they take down trees we would need chain saws for.
Summary
Beavers (genus Castor) are large semiaquatic rodents of the Northern Hemisphere. There are two existing species: the North American beaver (Castor canadensis) and the Eurasian beaver (C. fiber). Beavers are the second-largest living rodents, after capybaras, weighing up to 50 kg (110 lb). They have stout bodies with large heads, long chisel-like incisors, brown or gray fur, hand-like front feet, webbed back feet, and tails that are flat and scaly. The two species differ in skull and tail shape and fur color. Beavers can be found in a number of freshwater habitats, such as rivers, streams, lakes and ponds. They are herbivorous, consuming tree bark, aquatic plants, grasses and sedges.
Beavers build dams and lodges using tree branches, vegetation, rocks and mud; they chew down trees for building material. Dams restrict water flow, forming ponds, and lodges (usually built in ponds) serve as shelters. Their infrastructure creates wetlands used by many other species, and because of their effect on other organisms in the ecosystem, beavers are considered a keystone species. Adult males and females live in monogamous pairs with their offspring. After their first year, the young help their parents repair dams and lodges; older siblings may also help raise newly born offspring. Beavers hold territories and mark them using scent mounds made of mud, debris, and castoreum—a liquid substance excreted through the beaver's urethra-based castor sacs. Beavers can also recognize their kin by their anal gland secretions and are more likely to tolerate them as neighbors.
Historically, beavers have been hunted for their fur, meat, and castoreum. Castoreum has been used in medicine, perfume, and food flavoring; beaver pelts have been a major driver of the fur trade. Before protections began in the 19th and early 20th centuries, overhunting had nearly exterminated both species. Their populations have since rebounded, and they are listed as species of least concern by the IUCN Red List of mammals. In human culture, the beaver symbolizes industriousness, especially in connection with construction; it is the national animal of Canada.
Details
A beaver, (genus Castor), is either of two species of amphibious rodents native to North America, Europe, and Asia. Beavers are the largest rodents in North America and Eurasia and the second largest rodents worldwide. Their bodies extend up to 80 cm (31 inches) long and generally weigh 16–30 kg (35–66 pounds); however, beavers continue to grow throughout their life, and the heaviest beavers can weigh more than 50 kg (110 pounds). The distinctive tail is scaly, flat, and paddle-shaped and measures up to 45 cm (about 18 inches) long and 13 cm (5 inches) wide. Living in streams, rivers, marshes, and ponds and on the shorelines of large lakes, beavers construct dams of branches, stones, and mud, forming ponds that often cover many hectares. Ecologists often refer to beavers as “ecosystem engineers” because of their ability to alter the landscapes in which they live.
Beavers have short legs and a stout body with a small, broad, and blunt head. Massive chisel-shaped incisor teeth have orange outer enamel because iron has replaced calcium, and this makes them stronger than most rodent incisors. Upon submergence, folds of skin (valves) close the nostrils and the stubby rounded ears, and the eyes are protected by a membrane that keeps water out (nictitating membrane). The fur-lined lips close behind the incisors, blocking water from the mouth and lungs and allowing the animal to cut, peel, and carry branches underwater. Small front feet with five clawed digits dexterously manipulate food. The hind feet are quite large, and the five digits are connected by webbing, which makes them useful as paddles for propulsion underwater. Claws of the second hind digits are split and have serrated edges used for grooming the fur.
Fur consists of a grayish to brown layer of short, fine, and dense underfur that keeps water from reaching the skin. Over this layer are long, coarse, glossy guard hairs ranging in colour from yellowish brown through reddish brown to black; underparts of the animal are paler. Both sexes possess castor glands that exude a musky secretion (castoreum), which is deposited on mud or rocks to mark territorial boundaries. Anal glands secrete oil through skin pores to hair roots. From there it is distributed with the front feet and grooming claws over the whole body to keep the fur sleek, oily, and water-repellent.
Beavers are colonial and primarily nocturnal. Their characteristically dome-shaped island lodges are built of branches plastered with mud. In marshes, lakes, and small rivers, beavers may instead construct bank lodges, and in large rivers and lakes they excavate bank dens with an underwater entrance beneath tree roots or overhanging ledges. Each lodge is occupied by an extended family group of up to eight individuals: an adult pair, young of the year (kits), and yearlings from the previous litter. Lodges are usually 3 metres (10 feet) high and 6 metres (20 feet) across the base but can be as large as 5 metres (16 feet) high and 12 metres (39 feet) wide. One or more tunnel entrances open below the water’s surface and lead into a spacious central chamber above water level; the floor is covered with vegetation. An entry tunnel leads to the nest chamber above the waterline. In winter the moist walls freeze, adding insulation and making the lodge impenetrable to predators.
Beavers often construct a dam a short distance downstream from the lodge to deter predators. The dam impedes the flow of the stream and increases the depth of the water that surrounds the lodge. Dams also create additional wetland habitat for fish and waterfowl and contain or impede the downstream movement of oil spilled into rivers. Despite the environmental services these dams provide, land owners and farmers often regard beavers as nuisance animals because beavers sometimes destroy ornamental trees, devour crops, or flood roads and fields with water impounded behind their dams.
During winter beavers store some fat at the base of their tail, but they maintain body temperature primarily by huddling in the insulated lodge and being less active. They leave the lodge only to feed on branches cached beneath the ice. Slow swimmers, beavers can remain submerged for up to 15 minutes and propel themselves primarily with the webbed hind feet while the front feet are held tight against the body. On land they walk or run with a waddling gait. Their diet consists of the soft cambium layer beneath bark, as well as the buds, leaves, and twigs of certain trees (willows and aspens are preferred). Pond vegetation and bankside plants are also eaten. Herbaceous vegetation is consumed mostly during summer and woody matter during winter. Shrubs, saplings, and trees are felled by beavers, cut into portable lengths, and dragged along mud slides or floated through beaver-made canals to the lodge. Edible branches are cached underwater and anchored in mud near the lodge entrance, where they are to be eaten all winter when the beavers cannot break through the ice to cut fresh branches.
Beavers are monogamous, mating between January and March in the north and November or December in the south. One litter per year of one to nine (usually four) kits is born in the spring after a gestation of 105 days. Beavers communicate by postures, vocalization, scent marking, and tail slapping. When alarmed on land, they retreat to water and warn others by slapping the surface of the water with their tails, producing a loud, startling noise. Eagles, large hawks, and most large mammalian carnivores prey on beavers.
American beavers (Castor canadensis) occur throughout forested parts of North America to northern Mexico, including the southwestern United States and northern Florida. Beavers were at the heart of the fur trade during colonial times and contributed significantly to the westward settlement and development of North America and Canada. As the animal was trapped out in the east, trappers moved progressively westward, and settlers followed. Nearly extirpated by 1900 through excessive trapping for their luxuriant coat, they have reclaimed, either by natural movement or human reintroduction, much of their former natural range, and regulated trapping continues, particularly in Canada. American beavers have been introduced into Finland, where they are flourishing; by the 21st century the geographic range of this population had expanded into the Russian republic of Karelia.
Eurasian beavers (Castor fiber) were once found throughout temperate and boreal forests of the region (including Britain) except for the Mediterranean area and Japan. By the early 20th century this range had contracted, and at the beginning of the 21st century indigenous populations survived only in the Elbe and Rhône river drainages, southern Norway, France, Mongolia, China, and parts of Russia, especially northwestern Siberia and the Altai region. Efforts to reestablish the Eurasian species began in Sweden in the early 1920s. Since that time, Eurasian beavers have been reintroduced throughout Europe, western Siberia, western China, Mongolia, the Kamchatka Peninsula, and near the Amur River in the Russian Far East.
Beavers make up the family Castoridae (suborder Sciuromorpha, order Rodentia). With no close living relatives (the mountain beaver belongs to a separate family), modern beavers are remnants of a rich evolutionary history of 24 extinct genera extending back to the Late Eocene Age of Asia and the Early Oligocene of Europe and North America. Most were terrestrial burrowers, such as Palaeocastor, which is known by fossils from Late Oligocene–Early Miocene sediments of western Nebraska and eastern Wyoming. They probably lived in upland grasslands in large colonies, excavated extensive burrow systems, and grazed on the surface, their entire lifestyle being much like that of modern prairie dogs. The largest rodent that ever lived in North America was the amphibious giant beaver (Castoroides) of the Pleistocene Epoch. Fossils indicate that it had a body length of two metres (six feet) and was about the size of a black bear.
Additional Information
Beavers are famously busy, and they turn their talents to reengineering the landscape as few other animals can. When sites are available, beavers burrow in the banks of rivers and lakes. But they also transform less suitable habitats by building dams. Felling and gnawing trees with their strong teeth and powerful jaws, they create massive log, branch, and mud structures to block streams and turn fields and forests into the large ponds that beavers love.
Beaver Lodges
Domelike beaver homes, called lodges, are also constructed of branches and mud. They are often strategically located in the middle of ponds and can only be reached by underwater entrances. These dwellings are home to extended families of monogamous parents, young kits, and the yearlings born the previous spring.
Beavers are among the largest of rodents. They are herbivores and prefer to eat leaves, bark, twigs, roots, and aquatic plants.
Aquatic Adaptations
These large rodents move with an ungainly waddle on land but are graceful in the water, where they use their large, webbed rear feet like swimming fins, and their paddle-shaped tails like rudders. These attributes allow beavers to swim at speeds of up to five miles an hour. They can remain underwater for 15 minutes without surfacing, and have a set of transparent eyelids that function much like goggles. Their fur is naturally oily and waterproof.
There are two species of beavers, which are found in the forests of North America, Europe, and Asia. These animals are active all winter, swimming and foraging in their ponds even when a layer of ice covers the surface.
2418) Willard Libby
Gist:
Work
Carbon is a fundamental component in all living material. In nature there are two variants, or isotopes: carbon-12, which is stable, and carbon-14, which is radioactive. Carbon-14 forms in the atmosphere when acted upon by cosmic radiation and then deteriorates. When an organism dies and the supply of carbon from the atmosphere ceases, the content of carbon-14 declines through radioactive decay at a fixed rate. In 1949 Willard Libby developed a method for applying this to determine the age of fossils and archeological relics.
Summary
Willard Frank Libby (December 17, 1908 – September 8, 1980) was an American physical chemist noted for his role in the 1949 development of radiocarbon dating, a process which revolutionized archaeology and palaeontology. For his contributions to the team that developed this process, Libby was awarded the Nobel Prize in Chemistry in 1960.
A 1931 chemistry graduate of the University of California, Berkeley, from which he received his doctorate in 1933, he studied radioactive elements and developed sensitive Geiger counters to measure weak natural and artificial radioactivity. During World War II he worked in the Manhattan Project's Substitute Alloy Materials (SAM) Laboratories at Columbia University, developing the gaseous diffusion process for uranium enrichment.
After the war, Libby accepted a professorship at the University of Chicago's Institute for Nuclear Studies, where he developed the technique for dating organic compounds using carbon-14. He also discovered that tritium similarly could be used for dating water, and therefore wine. In 1950, he became a member of the General Advisory Committee (GAC) of the Atomic Energy Commission (AEC). He was appointed a commissioner in 1954, becoming its sole scientist. He sided with Edward Teller on pursuing a crash program to develop the hydrogen bomb, participated in the Atoms for Peace program, and defended the administration's atmospheric nuclear testing.
Libby resigned from the AEC in 1959 to become professor of chemistry at University of California, Los Angeles (UCLA), a position he held until his retirement in 1976. In 1962, he became the director of the University of California statewide Institute of Geophysics and Planetary Physics (IGPP). He started the first Environmental Engineering program at UCLA in 1972, and as a member of the California Air Resources Board, he worked to develop and improve California's air pollution standards.
Details
Willard Frank Libby (born Dec. 17, 1908, Grand Valley, Colo., U.S.—died Sept. 8, 1980, Los Angeles, Calif.) was an American chemist whose technique of carbon-14 (or radiocarbon) dating provided an extremely valuable tool for archaeologists, anthropologists, and earth scientists. For this development he was honoured with the Nobel Prize for Chemistry in 1960.
Libby, the son of farmer Ora Edward Libby and his wife, Eva May (née Rivers), attended the University of California at Berkeley, where he received a bachelor’s degree (1931) and a doctorate (1933). After graduation, he joined the faculty at Berkeley, where he rose through the ranks from instructor (1933) to assistant professor (1938) to associate professor (1945). In 1940 he married Leonor Hickey, by whom he had twin daughters. In 1966 he was divorced and married Leona Woods Marshall, a staff member at the RAND Corporation of Santa Monica, Calif.
In 1941 Libby received a Guggenheim fellowship to work at Princeton University in New Jersey, but his work was interrupted by the entry of the United States into World War II. He was sent on leave to the Columbia War Research Division of Columbia University in New York City, where he worked with Nobel chemistry laureate Harold C. Urey until 1945. Libby became professor of chemistry at the Institute for Nuclear Studies (now the Enrico Fermi Institute for Nuclear Studies) and the department of chemistry at the University of Chicago (1945–59). He was appointed by Pres. Dwight D. Eisenhower to the U.S. Atomic Energy Commission (1955–59). From 1959 Libby was a professor of chemistry at the University of California, Los Angeles, and director of its Institute of Geophysics and Planetary Physics (from 1962) until his death. He was the recipient of numerous honours, awards, and honourary degrees.
During the late 1950s, Libby and physicist Edward Teller, both committed to the Cold War and both prominent advocates of nuclear weapons testing, opposed Nobel chemistry and peace laureate Linus Pauling’s petition for a ban on nuclear weapons. To prove the survivability of nuclear war, Libby built a fallout shelter at his house, an event that was widely publicized. The shelter and house burned down several weeks later, however, which caused physicist and nuclear testing critic Leo Szilard to joke, “This proves not only that there is a God but that he has a sense of humor.”
While associated with the Manhattan Project (1941–45), Libby helped develop a method for separating uranium isotopes by gaseous diffusion, an essential step in the creation of the atomic bomb. In 1946 he showed that cosmic rays in the upper atmosphere produce traces of tritium, the heaviest isotope of hydrogen, which can be used as a tracer for atmospheric water. By measuring tritium concentrations, he developed a method for dating well water and wine, as well as for measuring circulation patterns of water and the mixing of ocean waters.
Because it had been known since 1939 that cosmic rays create showers of neutrons on striking atoms in the atmosphere, and because the atmosphere contains about 78 percent nitrogen, which absorbs neutrons to decay into the radioactive isotope carbon-14, Libby concluded that traces of carbon-14 should always exist in atmospheric carbon dioxide. Also, because carbon dioxide is continuously absorbed by plants and becomes part of their tissues, plants should contain traces of carbon-14. Since animals consume plants, animals should likewise contain traces of carbon-14. After a plant or other organism dies, no additional carbon-14 should be incorporated into its tissues, while that which is already present should decay at a constant rate. The half-life of carbon-14 was determined by its codiscoverer, chemist Martin D. Kamen, to be 5,730 years, which, compared with the age of the Earth, is a short time but one long enough for the production and decay of carbon-14 to reach equilibrium. In his Nobel presentation speech, Swedish chemist Arne Westgren summarized Libby’s method: “Because the activity of the carbon atoms decreases at a known rate, it should be possible, by measuring the remaining activity, to determine the time elapsed since death, if this occurred during the period between approximately 500 and 30,000 years ago.”
Libby verified the accuracy of his method by applying it to samples of fir and redwood trees whose ages had already been found by counting their annual rings and to artifacts, such as wood from the funerary boat of Pharaoh Sesostris III, whose ages were already known. By measuring the radioactivity of plant and animal material obtained globally from the North Pole to the South Pole, he showed that the carbon-14 produced by cosmic-ray bombardment varied little with latitude. On March 4, 1947, Libby and his students obtained the first age determination using the carbon-14 dating technique. He also dated linen wrappings from the Dead Sea Scrolls, bread from Pompeii buried in the eruption of Vesuvius (ad 79), charcoal from a Stonehenge campsite, and corncobs from a New Mexico cave, and he showed that the last North American ice age ended about 10,000 years ago, not 25,000 years ago as previously believed by geologists. The most publicized and controversial case of radiocarbon dating is probably that of the Shroud of Turin, which believers claim once covered the body of Jesus Christ but which Libby’s method applied by others shows to be from a period between 1260 and 1390. In nominating Libby for the Nobel Prize, one scientist stated, “Seldom has a single discovery in chemistry had such an impact on the thinking in so many fields of human endeavour. Seldom has a single discovery generated such wide public interest.”

Thyroid / Thyroid Disease
Gist
Is thyroid a serious problem?
Yes, thyroid problems can be serious if left untreated, potentially causing heart issues, infertility, bone problems, and even life-threatening conditions like myxedema coma, but they are often manageable with timely diagnosis and consistent treatment, allowing for a normal life. The severity depends on the type (underactive hypothyroidism or overactive hyperthyroidism) and whether it's addressed, as complications can affect heart rate, weight, mood, and energy levels.
To "reduce thyroid" (meaning manage thyroid health), focus on a balanced diet with selenium (nuts, seafood) and zinc, manage stress through yoga/meditation, exercise regularly, get enough sleep, avoid smoking and processed foods, and take prescribed medication if needed, always consulting a doctor for diagnosis and treatment of conditions like hypothyroidism or hyperthyroidism. Medical treatments vary from medications (levothyroxine for underactive, anti-thyroid drugs for overactive) to radioiodine therapy or surgery, depending on the specific disorder.
Summary
The thyroid, or thyroid gland, is an endocrine gland in vertebrates. In humans, it is a butterfly-shaped gland located in the neck below the Adam's apple. It consists of two connected lobes. The lower two thirds of the lobes are connected by a thin band of tissue called the isthmus (pl.: isthmi). Microscopically, the functional unit of the thyroid gland is the spherical thyroid follicle, lined with follicular cells (thyrocytes), and occasional parafollicular cells that surround a lumen containing colloid.
The thyroid gland secretes three hormones: the two thyroid hormones – triiodothyronine (T3) and thyroxine (T4) – and a peptide hormone, calcitonin. The thyroid hormones influence the metabolic rate and protein synthesis and growth and development in children. Calcitonin plays a role in calcium homeostasis.
Secretion of the two thyroid hormones is regulated by thyroid-stimulating hormone (TSH), which is secreted from the anterior pituitary gland. TSH is regulated by thyrotropin-releasing hormone (TRH), which is produced by the hypothalamus.
Thyroid disorders include hyperthyroidism, hypothyroidism, thyroid inflammation (thyroiditis), thyroid enlargement (goitre), thyroid nodules, and thyroid cancer. Hyperthyroidism is characterized by excessive secretion of thyroid hormones: the most common cause is the autoimmune disorder Graves' disease. Hypothyroidism is characterized by a deficient secretion of thyroid hormones: the most common cause is iodine deficiency. In iodine-deficient regions, hypothyroidism (due to iodine deficiency) is the leading cause of preventable intellectual disability in children. In iodine-sufficient regions, the most common cause of hypothyroidism is the autoimmune disorder Hashimoto's thyroiditis.
Details
The thyroid gland is a vital endocrine (hormone-producing) gland. It plays a major role in the metabolism, growth and development of the human body. It helps to regulate many body functions by constantly releasing a steady amount of thyroid hormones into the bloodstream. If the body needs more energy in certain situations – for instance, if it is growing or cold, or during pregnancy – the thyroid gland produces more hormones.
Location and structure of the thyroid gland
The thyroid gland is found at the front of the neck, under the voice box. It is butterfly-shaped: The two lobes on either side lie against and around the windpipe (trachea), and are connected at the front by a narrow strip of tissue known as the isthmus.
The thyroid typically weighs between 20 and 60 grams. It is surrounded by two fibrous capsules. The outer capsule is connected to the voice box muscles and many important blood vessels and nerves. There is loose connective tissue between the inner and the outer capsule, so the thyroid can move and change its position when we swallow.
The thyroid tissue consists of many individual lobules that are each enclosed in a thin layer of connective tissue. These lobules contain a great number of small sacs – called follicles – which store thyroid hormones in the form of little droplets.
What hormones does the thyroid make?
The thyroid gland produces three hormones:
* Triiodothyronine (T3)
* Tetraiodothyronine (T4), also called thyroxine
* Calcitonin
Only T3 and T4 are considered proper thyroid hormones. Calcitonin is made by C-cells. It is involved in calcium and bone metabolism.
Iodine is an important substance that is needed to make the thyroid hormones T3 and T4. Our bodies can’t produce this trace element, so we need to get enough of it in our diet. Iodine is absorbed into our bloodstream from food in our bowel. It is then carried to the thyroid gland, where it is used to make thyroid hormones.
How do the thyroid hormones work?
The more active T3 and T4 become in the body, the more the basal metabolic rate goes up (the amount of energy your body needs while at rest). They make all of the cells in the body work harder. This has the following effects, for example:
* Body temperature rises
* The heart beat becomes stronger and the pulse faster
* Food is used up more quickly because energy stored in the liver and muscles is broken down
* The brain matures (in children)
* Growth is promoted (in children)
* Activation of the nervous system leads to higher levels of attention and quicker reflexes
How is the production of hormones regulated?
Sometimes our bodies need more thyroid hormones, and sometimes they need less. To make the exact right amount of hormones, the thyroid gland needs the help of another gland: the pituitary gland. It is part of the brain and it regulates many of the processes inside our body. One of the things it does is to use the hormone TSH to control the amount of hormones the thyroid gland releases into the bloodstream.
Most of the thyroid hormones in the bloodstream are bound to proteins, which makes them inactive. If the body needs more hormones, T3 and T4 can be released from these proteins in the blood and do their job.
Thyroid problems and diseases
An overactive thyroid makes too many hormones (hyperthyroidism). An underactive thyroid doesn’t make enough hormones (hypothyroidism). Both of these imbalances can lead to many different symptoms.
The thyroid gland may get bigger too. Sometimes the whole thyroid gland becomes enlarged (diffuse goiter), and sometimes individual lumps called nodules grow in the gland (nodular goiter).
Various tests can be used to diagnose medical conditions affecting the thyroid.
Additional Information
Thyroid disease is an umbrella term for conditions that affect how your thyroid functions. Hypothyroidism and hyperthyroidism are the two main types of thyroid disease. But they each have multiple possible causes. Thyroid diseases are treatable — usually with medication.
Overview:
What is thyroid disease?
Thyroid disease is a general term for a medical condition that keeps your thyroid from making the right amount of hormones. It can affect people of all ages.
Your thyroid is a small, butterfly-shaped gland located at the front of your neck under your skin. It’s a part of your endocrine system and controls many of your body’s important functions by producing and releasing thyroid hormones, like thyroxine (T4) and triiodothyronine (T3).
Your thyroid’s main job is to control the speed of your metabolism (metabolic rate). This is the process of how your body transforms the food you consume into energy. All the cells in your body need energy to function. When your thyroid isn’t working properly, it can impact your entire body.
Types of thyroid disease
The two main types of thyroid disease are hypothyroidism (underactive thyroid) and hyperthyroidism (overactive thyroid). But they each have several conditions that can cause them.
Conditions that can cause hypothyroidism include:
* Hashimoto’s disease: This is a lifelong (chronic) autoimmune condition that can cause an underactive thyroid. It’s the most common cause of hypothyroidism in countries with widely available iodized salt and other iodine-enriched foods.
* Iodine deficiency: Your thyroid needs iodine to make thyroid hormone, so a lack of the mineral in your diet can lead to hypothyroidism. It’s the most common cause of hypothyroidism in countries that don’t have iodized salt widely available. It often causes goiter (enlarged thyroid).
* Congenital hypothyroidism: Sometimes, babies are born with a missing or underactive thyroid. “Congenital” means “present from birth.” About 1 in every 2,000 to 4,000 babies have congenital hypothyroidism.
Conditions that can cause hyperthyroidism include:
* Graves’ disease: This is a chronic autoimmune condition that causes an overactive thyroid. It’s the most common cause of hyperthyroidism.
* Thyroid nodules: These are abnormal lumps on your thyroid gland. If the nodules are hyperfunctioning, they can lead to hyperthyroidism.
* Excessive iodine: When you have too much iodine in your body, your thyroid makes more thyroid hormones than you need. You may develop excessive iodine by taking certain medications, like amiodarone (a heart medication).
Conditions that can cause both hypothyroidism and hyperthyroidism at different times include:
* Thyroiditis: This is inflammation (swelling) of your thyroid gland. It typically causes temporary hyperthyroidism at first and then temporary or chronic hypothyroidism.
* Postpartum thyroiditis: This is a relatively rare condition that affects some birthing parents after pregnancy. An estimated 5% of people may experience this in the year after giving birth. It typically causes hyperthyroidism first, followed by hypothyroidism. It’s usually temporary.
How common is thyroid disease?
Thyroid disease is very common. About 20 million people in the United States have some type of thyroid condition.
Symptoms and Causes:
What are the symptoms of thyroid disease?
There are a variety of symptoms you could experience if you have thyroid disease. Unfortunately, symptoms of a thyroid condition are often very similar to the signs of other medical conditions and stages of life. This can make it difficult to know if your symptoms are related to a thyroid issue or something else entirely.
For the most part, the symptoms of thyroid disease can be divided into two groups — those related to having too much thyroid hormone (hyperthyroidism) and those related to having too little thyroid hormone (hypothyroidism). The symptoms are often “opposites” between the two conditions. This is because hyperthyroidism speeds up your metabolism, and hypothyroidism slows down your metabolism.
Symptoms of hypothyroidism include:
* Slower-than-usual heart rate.
* Feeling tired (fatigue).
* Unexplained weight gain.
* Feeling sensitive to cold.
* Dry skin and dry and coarse hair.
* Depressed mood.
* Heavy menstrual periods (menorrhagia).
Symptoms of hyperthyroidism include:
* Faster-than-usual heart rate (tachycardia).
* Difficulty sleeping.
* Unexplained weight loss.
* Feeling sensitive to heat.
* Clammy or sweaty skin.
* Feeling anxious, irritable or nervous.
* Irregular menstrual cycles or a lack of periods (amenorrhea).
Both conditions can cause an enlarged thyroid (goiter), but it’s more common in hyperthyroidism.
What are the risk factors for thyroid disease?
You may be at a higher risk of developing a thyroid condition if you:
* Are female. Females are five to eight times more likely to have a thyroid condition.
* Have a family history of thyroid disease.
* Have Turner syndrome.
* Take a medication that’s high in iodine.
* Live in a country or area that doesn’t have iodized table salt, which can lead to iodine deficiency.
* Are older than 60, especially if you’re female.
* Have received radiation therapy to your head and/or neck.
Having an autoimmune disease also increases your risk, especially if you have:
* Pernicious anemia.
* Type 1 diabetes.
* Celiac disease.
* Addison’s disease (primary adrenal insufficiency).
* Lupus.
* Rheumatoid arthritis.
* Sjögren’s syndrome.

2480) Boric Acid
Gist
What is boric acid? Boric acid and its sodium borate salts are pesticides that we can find in nature and many products. Borax is one of the most common products. Boric acid and its sodium salts each combine boron with other elements in a different way.
Boric acid is a versatile compound used in medicine (antiseptic for minor issues, treating yeast infections), pest control (insecticide for ants, roaches), cosmetics, and numerous industrial applications, including fireproofing wood, manufacturing glass/ceramics, controlling nuclear fission, and as a component in lubricants and cleaners, valued for its anti-fungal, anti-bacterial, and preservative properties.
Summary
Boric acid, more specifically orthoboric acid, is a compound of boron, oxygen, and hydrogen with formula B(OH)3. It may also be called hydrogen orthoborate, trihydroxidoboron or boracic acid. It is usually encountered as colorless crystals or a white powder, that dissolves in water, and occurs in nature as the mineral sassolite. It is a weak acid that yields various borate anions and salts, and can react with alcohols to form borate esters.
Boric acid is often used as an antiseptic, insecticide, flame retardant, neutron absorber, or precursor to other boron compounds.
The term "boric acid" is also used generically for any oxyacid of boron, such as metaboric acid HBO2 and tetraboric acid H2B4O7.
Details
Boric acid exists in natural deposits as a mineral, sassolite. It is also found in hot mineral water sources. The minerals are extracted with sulfuric acid and crystalline boric acid is separated. Borates have been used since antiquity for cleaning and as food preservatives among other things. Boric acid was first registered for use in the United States as an insecticide in 1948. It has also been used as an antiseptic and was found in numerous commercial products.
Uses
Boric acid is used as a fireproofing agent for wood, as a preservative, and as an antiseptic. It is used in the manufacture of glass, pottery, enamels, glazes, cosmetics, cements, porcelain, leather, carpets, hats, soaps, artificial gems, and in tanning, printing, dyeing, painting, and photography. It is a constituent of nickel plating baths and electric condensers, and it is used for impregnating wicks and hardening steel. In laboratory procedures, boric acid is used in the preparation of buffer solutions.
Boric acid is also used as a fungicide and as an insecticide powder. Domestic use may include its application as an insecticide for crawling insects such as roaches. In medicine, it had been widely used as a disinfectant and a constituent of baby powders, antiseptics, diaper rash ointments, eye washes, gargles, and a variety of other consumer products for its mild antiseptic property. Its routine medical use, however, has fallen out of favor because of its relatively weak antiseptic action and its potential for toxicity,
although it may still be used to treat recurrent vulvovaginitis.
Additional Information:
What is Boric Acid?
Boric acid or H3BO3 is a water-soluble acidic compound that consists of Hydrogen, Boron, and Oxygen. It is a Lewis acid of Boron that is weak and monobasic in nature. Other names for Boric acid include Hydrogen Borate or Orthoboric acid. Its molar mass is 61.83 g/mol. According to the pH scale, Boric acid consists of a pH of 5.1, thus indicating that it is a weak monobasic acid.
What Are The Uses Of Boric Acid?
There are various uses of Boric acid. It is helpful as an antiseptic for minor cuts and/or burns. It is used as an anti-fungal ointment or powder and removes any foul odor of the feet by applying it inside stockings. It is also used for treating vaginal infections. Boric acid plays an effective role in pesticides and is effective against pests like rats, houseflies, math, etc. It can also be used to remove odors and dirt from kitchens and bathrooms.

Colored Quotes
1. I often think that the night is more alive and more richly colored than the day. - Vincent Van Gogh
2. Memory is deceptive because it is colored by today's events. - Albert Einstein
3. A soldier will fight long and hard for a bit of colored ribbon. - Napoleon Bonaparte
4. Lying in bed would be an altogether perfect and supreme experience if only one had a colored pencil long enough to draw on the ceiling. - Gilbert K. Chesterton
5. No one has been barred on account of his race from fighting or dying for America, there are no white or colored signs on the foxholes or graveyards of battle. - John F. Kennedy
6. Race prejudice is not only a shadow over the colored it is a shadow over all of us, and the shadow is darkest over those who feel it least and allow its evil effects to go on. - Pearl S. Buck
7. The sea was our main entertainment. When company came, we set them before it on rugs, with thermoses and sandwiches and colored umbrellas, as if the water - blue, green, gray, navy or silver as it might be - were enough to watch. - Sylvia Plath
8. I have always been fascinated with precious stones, especially colored ones, and knew that I would eventually join the family business and be a jewelry designer some day. - Neelam Kothari.
Q: What kind of chocolate do they sell at the airport?
A: Plane Chocolate!
* * *
Q: What kind of candy makes fun of you?
A: Tootsie Trolls.
* * *
Q: What is an astronauts favorite chocolate?
A: A Marsbar!
* * *
Q: What is the opposite of Chocolate?
A: Chocoearly.
* * *
Q: What is a French cat's favorite dessert?
A: Chocolate mousse!
* * *
Hi,
#2553. What does the medical term Hyperuricemia mean?
Hi,
#5913. What does the noun mayhem mean?
#5914. What does the noun maze mean?
Hi,
#10717. What does the term in Biology Extinction mean?
#10718. What does the term in Biology Extranuclear inheritance mean?
Hi,
#9838.
Hi,
#6332.
Hi,
2689.
Glacier
Gist
A glacier is a large, persistent body of dense ice that forms on land over centuries as snow accumulates, compresses, and recrystallizes, moving slowly downhill under its own weight. Covering about 10% of Earth's land, these "rivers of ice" store ~69% of the world's freshwater and are critical indicators of climate change.
A glacier is a large, persistent body of dense ice that forms on land from compacted snow and moves slowly downhill under its own weight and gravity, essentially acting as a "river of ice" that carves landscapes as it flows. They form in areas where snow accumulation exceeds melting over many years, compressing into solid glacial ice, and are crucial indicators of climate change, holding vast amounts of freshwater.
Summary
A glacier is a persistent body of dense ice, a form of rock, that is constantly moving downhill under its own weight. A glacier forms where the accumulation of snow exceeds its ablation over many years, often centuries. It acquires distinguishing features, such as crevasses and seracs, as it slowly flows and deforms under stresses induced by its weight. As it moves, it abrades rock and debris from its substrate to create landforms such as cirques, moraines, or fjords. Although a glacier may flow into a body of water, it forms only on land and is distinct from the much thinner sea ice and lake ice that form on the surface of bodies of water.
On Earth, 99% of glacial ice is contained within vast ice sheets (also known as "continental glaciers") in the polar regions, but glaciers may be found in mountain ranges on every continent other than the Australian mainland, including Oceania's high-latitude oceanic island countries such as New Zealand. Between latitudes 35°N and 35°S, glaciers occur only in the Himalayas, Andes, and a few high mountains in East Africa, Mexico, New Guinea and on Zard-Kuh in Iran. With more than 7,000 known glaciers, Pakistan has more glacial ice than any other country outside the polar regions. Glaciers cover about 10% of Earth's land surface. Continental glaciers cover nearly 13 million {km}^{2} (5 million sq mi) or about 98% of Antarctica's 13.2 million sq km (5.1 million sq mi), with an average thickness of ice 2,100 m (7,000 ft). Greenland and Patagonia also have huge expanses of continental glaciers. The volume of glaciers, not including the ice sheets of Antarctica and Greenland, has been estimated at 170,000 {km}^{3}.
Glacial ice is the largest reservoir of fresh water on Earth, holding with ice sheets about 69% of the world's freshwater. Many glaciers from temperate, alpine and seasonal polar climates store water as ice during the colder seasons and release it later in the form of meltwater as warmer summer temperatures cause the glacier to melt, creating a water source that is especially important for plants, animals and human uses when other sources may be scant. However, within high-altitude and Antarctic environments, the seasonal temperature difference is often not sufficient to release meltwater.
Since glacial mass is affected by long-term climatic changes, e.g., precipitation, mean temperature, and cloud cover, glacial mass changes are considered among the most sensitive indicators of climate change and are a major source of variations in sea level.
A large piece of compressed ice, or a glacier, appears blue, as large quantities of water appear blue, because water molecules absorb other colors more efficiently than blue. The other reason for the blue color of glaciers is the lack of air bubbles. Air bubbles, which give a white color to ice, are squeezed out by pressure increasing the created ice's density.
Details
A glacier is any large mass of perennial ice that originates on land by the recrystallization of snow or other forms of solid precipitation and that shows evidence of past or present flow.
Exact limits for the terms large, perennial, and flow cannot be set. Except in size, a small snow patch that persists for more than one season is hydrologically indistinguishable from a true glacier. One international group has recommended that all persisting snow and ice masses larger than 0.1 square kilometre (about 0.04 square mile) be counted as glaciers.
General observations:
Main types of glaciers
Glaciers are classifiable in three main groups: (1) glaciers that extend in continuous sheets, moving outward in all directions, are called ice sheets if they are the size of Antarctica or Greenland and ice caps if they are smaller; (2) glaciers confined within a path that directs the ice movement are called mountain glaciers; and (3) glaciers that spread out on level ground or on the ocean at the foot of glaciated regions are called piedmont glaciers or ice shelves, respectively. Glaciers in the third group are not independent and are treated here in terms of their sources: ice shelves with ice sheets, piedmont glaciers with mountain glaciers. A complex of mountain glaciers burying much of a mountain range is called an ice field.
Distribution of glaciers
A most interesting aspect of recent geological time (some 30 million years ago to the present) has been the recurrent expansion and contraction of the world’s ice cover. These glacial fluctuations influenced geological, climatological, and biological environments and affected the evolution and development of early humans. Almost all of Canada, the northern third of the United States, much of Europe, all of Scandinavia, and large parts of northern Siberia were engulfed by ice during the major glacial stages. At times during the Pleistocene Epoch (from 2.6 million to 11,700 years ago), glacial ice covered 30 percent of the world’s land area; at other times the ice cover may have shrunk to less than its present extent. It may not be improper, then, to state that the world is still in an ice age. Because the term glacial generally implies ice-age events or Pleistocene time, in this discussion “glacier” is used as an adjective whenever reference is to ice of the present day.
Glacier ice today stores about three-fourths of all the fresh water in the world. Glacier ice covers about 11 percent of the world’s land area and would cause a world sea-level rise of about 90 metres (300 feet) if all existing ice melted. Glaciers occur in all parts of the world and at almost all latitudes. In Ecuador, Kenya, Uganda, and Irian Jaya (New Guinea), glaciers even occur at or near the Equator, albeit at high altitudes.
Glaciers and climate
The cause of the fluctuation of the world’s glacier cover is still not completely understood. Periodic changes in the heat received from the Sun, caused by fluctuations in the Earth’s orbit, are known to correlate with major fluctuations of ice sheet advance and retreat on long time scales. Large ice sheets themselves, however, contain several “instability mechanisms” that may have contributed to the larger changes in world climate. One of these mechanisms is due to the very high albedo, or reflectivity of dry snow to solar radiation. No other material of widespread distribution on the Earth even approaches the albedo of snow. Thus, as an ice sheet expands it causes an ever larger share of the Sun’s radiation to be reflected back into space, less is absorbed on the Earth, and the world’s climate becomes cooler. Another instability mechanism is implied by the fact that the thicker and more extensive an ice sheet is, the more snowfall it will receive in the form of orographic precipitation (precipitation resulting from the higher altitude of its surface and attendant lower temperature). A third instability mechanism has been suggested by studies of the West Antarctic Ice Sheet. Portions of an ice sheet called ice streams may periodically move rapidly outward, perhaps because of the buildup of a thick layer of wet, deformable material under the ice. Although the ultimate causes of ice ages are not known with certainty, scientists agree that the world’s ice cover and climate are in a state of delicate balance.
Only the largest ice masses directly influence global climate, but all ice sheets and glaciers respond to changes in local climate—particularly changes in air temperature or precipitation. The fluctuations of these glaciers in the past can be inferred by features they have left on the landscape. By studying these features, researchers can infer earlier climatic fluctuations.
Additional Information
Glaciers are large, thick masses of ice that form on land when fallen snow gets compressed into ice over many centuries.
Glaciers are massive bodies of slowly moving ice. Glaciers form on land, and they are made up of fallen snow that gets compressed into ice over many centuries. They move slowly downward from the pull of gravity.
Most of the world’s glaciers exist in the polar regions, in areas like Greenland, the Canadian Arctic, and Antarctica. Glaciers also can be found closer to the Equator in some mountain regions. The Andes Mountain range in South America contains some of the world’s largest tropical glaciers. About 2 percent of all the water on Earth is frozen in glaciers.
Glaciers can range in age from a couple hundred to thousands of years old. Most glaciers today are remnants of the massive ice sheets that covered Earth during the Ice Age. The Ice Age ended more than 10,000 years ago. During Earth’s history, there have been colder periods—when glaciers formed—and warmer periods—when glaciers melted.
Scientists who study glaciers are called glaciologists. Glaciologists began studying glaciers during the 19th century in order to look for clues about past ice ages. Today, glaciologists study glaciers for clues about global warming. Old photographs and paintings show that glaciers have melted away from mountain regions over time. Indeed, glaciers worldwide have been shrinking—and even disappearing—at an accelerated rate for the past several decades.
Among the scientists studying the changes in glaciers is Erin Christine Pettit, a glaciologist at the University of Alaska Fairbanks. Pettit observes and measures the flow, fracture, and retreat of glaciers. She uses this information to study how much water enters the oceans from melting glaciers. Melting glaciers are one factor contributing to the global sea-level rise.