Friday, March 12, 2021

 

Robots can use eye contact to draw out reluctant participants in groups

KTH, ROYAL INSTITUTE OF TECHNOLOGY

Research News


Eye contact is a key to establishing a connection, and teachers use it often to encourage participation. But can a robot do this too? Can it draw a response simply by making "eye" contact, even with people who are less inclined to speak up. A recent study suggests that it can.

Researchers at KTH Royal Institute of Technology published results of experiments in which robots led a Swedish word game with individuals whose proficiency in the Nordic language was varied. They found that by redirecting its gaze to less proficient players, a robot can elicit involvement from even the most reluctant participants.

Researchers Sarah Gillet and Ronald Cumbal say the results offer evidence that robots could play a productive role in educational settings.

Calling on someone by name isn't always the best way to elicit engagement, Gillet says. "Gaze can by nature influence very dynamically how much people are participating, especially if there is this natural tendency for imbalance - due to the differences in language proficiency," she says.

"If someone is not inclined to participate for some reason, we showed that gaze is able to overcome this difference and help everyone to participate."

Cumbal says that studies have shown that robots can support group discussion, but this is the first study to examine what happens when a robot uses gaze in a group interaction that isn't balanced - when it is dominated by one or more individuals.

The experiment involved pairs of players - one fluent in Swedish and one who is learning Swedish. The players were instructed to give the robot clues in Swedish so that it could guess the correct term. The face of the robot was an animated projection on a specially designed plastic mask.



CAPTION

Two participants play a word game led by a robot, which uses its gaze to prompt less proficient players to speak up. Researchers Sarah Gillet and Ronald Cumbal say the results offer evidence that robots could play a productive role in educational settings.

CREDIT

Sarah Gillet

While it would be natural for a fluent speaker to dominate such a scenario, Cumbal says, the robot was able to prompt the participation of the less fluent player by redirecting its gaze naturally toward them and silently waiting for them to hazard an attempt.

"Robot gaze can modify group dynamics - what role people take in a situation," he says. "Our work builds on that and shows further that even when there is an imbalance in skills required for the activity, the gaze of a robot can still influence how the participants contribute."

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The study was published at the ACM/IEEE International Conference on Human-Robot Interaction '21.

Catching energy-exploration caused earthquakes before they happen

Sandia scientists use 3D-printed rocks, machine learning to detect unexpected earthquakes

DOE/SANDIA NATIONAL LABORATORIES

Research News





ALBUQUERQUE, N.M. -- Geoscientists at Sandia National Laboratories used 3D-printed rocks and an advanced, large-scale computer model of past earthquakes to understand and prevent earthquakes triggered by energy exploration.

Injecting water underground after unconventional oil and gas extraction, commonly known as fracking, geothermal energy stimulation and carbon dioxide sequestration all can trigger earthquakes. Of course, energy companies do their due diligence to check for faults -- breaks in the earth's upper crust that are prone to earthquakes -- but sometimes earthquakes, even swarms of earthquakes, strike unexpectedly.

Sandia geoscientists studied how pressure and stress from injecting water can transfer through pores in rocks down to fault lines, including previously hidden ones. They also crushed rocks with specially engineered weak points to hear the sound of different types of fault failures, which will aid in early detection of an induced earthquake.

3D-printing variability provides fundamental structural information

To study different types of fault failures, and their warning signs, Sandia geoscientist Hongkyu Yoon needed a bunch of rocks that would fracture the same way each time he applied pressure -- pressure not unlike the pressure caused by injecting water underground.

Natural rocks collected from the same location can have vastly different mineral orientation and layering, causing different weak points and fracture types.

Several years ago, Yoon started using additive manufacturing, commonly known as 3D printing, to make rocks from a gypsum-based mineral under controlled conditions, believing that these rocks would be more uniform. To print the rocks, Yoon and his team sprayed gypsum in thin layers, forming 1-by-3-by-0.5 inch rectangular blocks and cylinders.

However, as he studied the 3D-printed rocks, Yoon realized that the printing process also generated minute structural differences that affected how the rocks fractured. This piqued his interest, leading him to study how the mineral texture in 3D-printed rocks influences how they fracture.

"It turns out we can use that variability of mechanical and seismic responses of a 3D-printed fracture to our advantage to help us understand the fundamental processes of fracturing and its impact on fluid flow in rocks," Yoon said. This fluid flow and pore pressure can trigger earthquakes.

For these experiments, Yoon and collaborators at Purdue University, a university with which Sandia has a strong partnership, made a mineral ink using calcium sulfate powder and water. The researchers, including Purdue professors Antonio Bobet and Laura Pyrak-Nolte, printed a layer of hydrated calcium sulfate, about half as thick as a sheet of paper, and then applied a water-based binder to glue the next layer to the first. The binder recrystallized some of the calcium sulfate into gypsum, the same mineral used in construction drywall.

The researchers printed the same rectangular and cylindrical gypsum-based rocks. Some rocks had the gypsum mineral layers running horizontally, while others had vertical mineral layers. The researchers also varied the direction in which they sprayed the binder, to create more variation in mineral layering.

The research team squeezed the samples until they broke. The team examined the fracture surfaces using lasers and an X-ray microscope. They noticed the fracture path depended on the direction of the mineral layers. Yoon and colleagues described this fundamental study in a paper published in the journal Scientific Reports.



CAPTION

Sandia National Laboratories geoscientist Hongkyu Yoon holds a fractured 3D-printed rock. Hongkyu squeezed 3D-printed rocks until they cracked and listened to the sound of the rocks breaking to be able to identify early signs of earthquakes.

CREDIT

Photo by Rebecca Gustaf/Sandia National Laboratories

Sound signals and machine learning to classify seismic events

Also, working with his collaborators at Purdue University, ?Yoon monitored acoustic waves coming from the printed samples as they fractured. These sound waves are signs of rapid microcracks. Then the team combined the sound data with machine-learning techniques, a type of advanced data analysis that can identify patterns in seemingly unrelated data, to detect signals of minute seismic events.

First, Yoon and his colleagues used a machine-learning technique known as a random forest algorithm to cluster the microseismic events into groups that were caused by the same types of microstructures and identify about 25 important features in the microcrack sound data. They ranked these features by significance.

Using the significant features as a guide, they created a multilayered "deep" learning algorithm -- like the algorithms that allow digital assistants to function -- and applied it to archived data collected from real-world events. The deep-learning algorithm was able to identify signals of seismic events faster and more accurately than conventional monitoring systems.

Yoon said that within five years they hope to apply many different machine-learning algorithms, like these and those with imbedded geoscience principles, to detect induced earthquakes related to fossil fuel activities in oil or gas fields. The algorithms can also be applied to detect hidden faults that might become unstable due to carbon sequestration or geothermal energy stimulation?, he said.

"One of the nice things about machine learning is the scalability," Yoon said. "We always try to apply certain concepts that were developed under laboratory conditions to large-scale problems -- that's why we do laboratory work. Once we proved those machine-learning concepts developed at the laboratory scale on archived data, it's very easy to scale it up to large-scale problems, compared to traditional methods."

Stress transfers through rock to deep faults

A hidden fault was the cause of a surprise earthquake at a geothermal stimulation site in Pohang, South Korea. In 2017, two months after the final geothermal stimulation experiment ended, a magnitude 5.5 earthquake shook the area, the second strongest quake in South Korea's recent history.

After the earthquake, geoscientists discovered a fault hidden deep between two injection wells. To understand how stresses from water injection traveled to the fault and caused the quake, Kyung Won Chang, a geoscientist at Sandia, realized he needed to consider more than the stress of water pressing on the rocks. In addition to that deformation stress, he also needed to account for how that stress transferred to the rock as the water flowed through pores in the rock itself in his complex large-scale computational model.

Chang and his colleagues described the stress transfer in a paper published in the journal Scientific Reports.

However, understanding deformation stress and transfer of stress through rock pores is not enough to understand and predict some earthquakes induced by energy-exploration activities. The architecture of different faults also needs to be considered.

Using his model, Chang analyzed a cube 6 miles long, 6 miles wide and 6 miles deep where a swarm of more than 500 earthquakes took place in Azle, Texas, from November 2013 to May 2014. The earthquakes occurred along two intersecting faults, one less than 2 miles beneath the surface and another longer and deeper. While the shallow fault was closer to the sites of wastewater injection, the first earthquakes occurred along the longer, deeper fault.

In his model, Chang found that the water injections increased the pressure on the shallow fault. At the same time, injection-induced stress transferred through the rock down to the deep fault. Because the deep fault was under more stress initially, the earthquake swarm began there. He and Yoon shared the advanced computational model and their description of the Azle earthquakes in a paper recently published in the Journal of Geophysical Research: Solid Earth.

"In general, we need multiphysics models that couple different forms of stress beyond just pore pressure and the deformation of rocks, to understand induced earthquakes and correlate them with energy activities, such as hydraulic stimulation and wastewater injection," Chang said.

Chang said he and Yoon are working together to apply and scale up machine-learning algorithms to detect previously hidden faults and identify signatures of geologic stress that could predict the magnitude of a triggered earthquake.

In the future, Chang hopes to use those stress signatures to create a map of potential hazards for induced earthquakes around the United States.

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His research effort, as well as Yoon's initial work, were funded by Sandia's Laboratory Directed Research and Development program. Yoon received funding from the Department of Energy's Office of Fossil Energy to continue his research.

Sandia National Laboratories is a multimission laboratory operated by National Technology and Engineering Solutions of Sandia LLC, a wholly owned subsidiary of Honeywell International Inc., for the U.S. Department of Energy's National Nuclear Security Administration. Sandia Labs has major research and development responsibilities in nuclear deterrence, global security, defense, energy technologies and economic competitiveness, with main facilities in Albuquerque, New Mexico, and Livermore, California.


 

Daily e-cigarette use shows 'clear benefit' in helping smokers to quit

A new study published today from King's College London highlights the 'clear benefit' of using e-cigarettes daily in order to quit smoking

KING'S COLLEGE LONDON

Research News

A new study published Tuesday 10 March, No Smoking Day, from King's College London highlights the 'clear benefit' of using e-cigarettes daily in order to quit smoking, and supports their effectiveness when compared to other methods of quitting, including nicotine replacement therapy or medication.

Although the number of people in England who smoke has continued to fall in recent years, tobacco smoking is still the leading preventable cause of premature death and disease - killing nearly 75,000 people in England in 2019.

While e-cigarettes have been around for more than a decade, evidence on their effectiveness for helping people to quit smoking is still limited. Recent studies have produced inconsistent findings or failed to measure important factors such as frequency of use or the effect of different types of e-cigarette on attempts to quit.

In their Cancer Research UK-funded study, the researchers analysed data from an online survey of more than 1,155 people, which included smokers, ex-smokers who had quit within one year prior to completing the survey, and e-cigarette users.

Five waves of data were collected between 2012 and 2017. The researchers analysed the effectiveness of e-cigarettes in aiding abstinence from smoking for at least one month at follow-up, and at least one month of abstinence between the first survey and subsequent follow-up waves.

Published today in the journal Addiction, the study found that people who used a refillable e-cigarette daily to quit smoking were over five times more likely to achieve abstinence from tobacco smoking for one month, compared to those using no quitting aids at all.

Similarly, people who used a disposable or cartridge e-cigarette daily were three times more likely to quit for one month, compared to those using no help.

Daily use of e-cigarettes was also more effective for quitting than other evidence-based methods of quitting - including nicotine replacement therapy, medication such as bupropion or varenicline, or any combination of these aids. None of these methods were associated with abstinence from smoking at follow-up, compared to using no help at all. However, in a secondary analysis, prescription medicine was associated with achieving at least one month of abstinence from smoking.

Dr Máirtín McDermott, Research Fellow at King's College London's National Addiction Centre and lead author of the study, said: "Our results show that when used daily, e-cigarettes help people to quit smoking, compared to no help at all. These findings are in line with previous research, showing that e-cigarettes are a more effective aid for quitting than nicotine replacement therapy and prescribed medication.

"It's important that we routinely measure how often people use e-cigarettes, as we've seen that more sporadic use at follow up - specifically of refillable types - was not associated with abstinence."

Dr Leonie Brose, Reader at King's College London's national Addiction Centre added: "Despite the World Health Organization's (WHO) cautious stance on e-cigarettes, studies like ours show they are still one of the most effective quitting aids available.

"The WHO is especially concerned about refillable e-cigarettes, as these could allow the user to add harmful substances or higher levels of nicotine. However, we've shown that refillable types in particular are a very effective quitting aid when used daily, and this evidence should be factored into any future guidance around their use."

King's College London is one of the top 10 UK universities in the world (QS World University Rankings, 2018/19) and among the oldest in England. King's has more than 31,000 students (including more than 12,800 postgraduates) from some 150 countries worldwide, and some 8,500 staff.

The Institute of Psychiatry, Psychology & Neuroscience (IoPPN) which is the premier centre for mental health and related neurosciences research in Europe. It produces more highly cited outputs (top 1% citations) on mental health than any other centre (SciVal 2019) and on this metric we have risen from 16th (2014) to 4th (2019) in the world for highly cited neuroscience outputs. World-leading research from the IoPPN has made, and continues to make, an impact on how we understand, prevent and treat mental illness and other conditions that affect the brain. https://www.kcl.ac.uk/ioppn @KingsIoPPN

New technology could increase health inequities

Making sure that everyone gets the benefits of new approaches to managing and treating disease

NORWEGIAN UNIVERSITY OF SCIENCE AND TECHNOLOGY

Research News

People are different. New technology is good for patients and the healthcare system. But it could also expand the already significant health disparities in Norway and other countries.

"Women and men with higher education in Norway live five to six years longer than people with that only have lower secondary school education," says Emil Øversveen, a postdoctoral fellow at the Norwegian University of Science and Technology's (NTNU) Department of Sociology and Political Science.

He is affiliated with CHAIN, the Centre for Global Health Inequalities Research. The centre works to reduce social health inequalities worldwide.

Both Norwegian and international research shows that people with low occupational status, low income and less education have poorer health and live shorter lives than people higher up in the social hierarchy.

Øversveen has looked at whether new technology might be further increasing health disparities. His study compares differences between countries and between people within various countries.

"Vaccines are a health technology, too. The new knowledge can be used to understand why the COVID-19 vaccine is being unequally distributed around the world," says Øversveen.

We see that wealthy players like the USA, England and the EU countries are securing vaccines for themselves. These countries and people are buying their way to the front of the queue.

Norway has greater internal health inequities than many other European countries. These health discrepancies crop up in all age groups, including among children and young people.

The survey indicates that the differences have increased over time. Men's life expectancy between districts in Oslo has now grown to an eight-year difference.

In general, new health technology offers more opportunities for better treatment of patients and a more efficient health care system.

"For example, our smartwatch can send reports about our health directly to our doctor, and we can follow statistics and get recommendations on medication dosages on a phone app," Øversveen says.

These options are great for the folks who can benefit from them. But in practice, not everyone in Norway has equal access to the latest technology.

Øversveen has investigated how patients with diabetes use medical technology. At the same time, he has looked at how doctors and nurses decide who has access to the technology.

"Based on my qualitative research, I see that this patient group generally experiences that diabetes technology is difficult to access in the Norwegian health care system," says Øversveen.

But the technology isn't equally difficult for everyone. Patients' social characteristics and status play an important role when healthcare professionals prioritize who should be allowed to use the technology.

"The resourceful patients learn how they can 'buy their way in' as qualified, active and competent patients who 'deserve' the expensive technology," Øversveen says.

His work shows how the development, distribution and use of medical technology can contribute to creating and maintaining social health inequities in the public health care system.

"This is new and important knowledge about a large and global societal problem," says Øversveen.

Social inequalities in health care access exist in many countries, if not all. The study shows systematic links between health status and social position, causing a lot of people to lose out.

"Social health inequities are unfair and represent a loss for individuals, families and society," says Øversveen.

CHAIN is an interdisciplinary centre at NTNU that studies global health inequalities.

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As cases spread across US last year, pattern emerged suggesting link between governors' party affiliation and COVID-19 case and death numbers

Starting in early summer last year, analysis finds that states with Republican governors had higher case and death rates

JOHNS HOPKINS UNIVERSITY BLOOMBERG SCHOOL OF PUBLIC HEALTH

Research News

The per-capita rates of new COVID-19 cases and COVID-19 deaths were higher in states with Democrat governors in the first months of the pandemic last year, but became much higher in states with Republican governors by mid-summer and through 2020, possibly reflecting COVID-19 policy differences between GOP- and Democrat-led states, according to a study led by researchers at the Johns Hopkins Bloomberg School of Public Health and the Medical University of South Carolina.

For their study, the researchers analyzed data on SARS-CoV-2-positive nasal swab tests, COVID-19 diagnoses, and COVID-19 fatalities, for the 50 U.S. states and the District of Columbia. After adjusting for confounding factors such as state population density, they found that Republican-governed states began to have consistently higher rates of positive swab tests in May, of COVID-19 diagnoses in June, and of COVID-19 mortality in July.

The results, published online March 10 in the American Journal of Preventive Medicine, suggest that policy differences between Republican- and Democrat-governed states, including mitigation measures such as mask mandates and social distancing requirements, may have led to systematic differences in COVID-19's impact on public health, the researchers say.

"Governors' party affiliation may have contributed to a range of policy decisions that, together, influenced the spread of the virus," says study senior author Sara Benjamin-Neelon, PhD, professor in the Bloomberg School's Department of Health, Behavior and Society. "These findings underscore the need for state policy actions that are guided by public health considerations rather than by partisan politics."

The analysis covered March 15 to December 15, 2020, and included the number of SARS-CoV-2 tests, positive tests, COVID-19 case diagnoses, and COVID-19 fatalities. The researchers used a sophisticated statistical tool called a Bayesian negative binomial model to estimate, for each day in the nine-month study window, the relative risks or chances of getting tested, testing positive, getting COVID-19, or dying of COVID-19, for people in 26 GOP-governed vs. 25 Democrat-governed states. Washington, D.C. was treated as Democrat-governed.

The researchers were aware that many other factors, including the natural progression of the pandemic from early waves in urban areas, such as New York City and Seattle, to later waves in rural areas, might have contributed to differences between Republican- and Democrat-led states. However, they attempted to correct for these confounding factors in their analysis.

Their findings, even when factoring in these confounders, revealed a clear pattern in which Democrat-led states were hardest-hit early in the pandemic, but after a few months Republican-led states on average began to have more positive tests, COVID-19 cases, and more COVID-19 deaths. The transition occurred for testing-positivity on May 30, for COVID-19 case diagnoses on June 3, and for COVID-19 deaths on July 4. The differences between the two groups of states peaked in the period from late June to early August--for example, on August 5 the relative risk of dying of COVID-19 was 1.8 times higher in GOP-led states.

Testing rates were similar for the two sets of states until late September when Republican-led states began to have lower testing rates.

Other studies have found evidence that Republican governors in 2020 were broadly less strict than their Democrat counterparts in setting policies on mask-wearing, social distancing, and other pandemic-related measures. The researchers say that those studies, along with the links they found between Republican governorship and greater COVID-19 impact, are consistent with the idea that the political polarization of the COVID-19 response has contributed to less effective COVID-19 policies and worse case-related statistics in some states.

"Despite a more coordinated federal response this year, governors still play a key role in the pandemic response," says Benjamin-Neelon. "As we're seeing, several states have lifted mask requirements even though we have yet to make substantial progress in controlling the spread of the virus."

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Brian Neelon, PhD, professor in the Department of Public Health Sciences at the Medical University of South Carolina, is the paper's lead author.

"Associations between governor political affiliation and COVID-19 cases, deaths, and testing in the United States" was written by Brian Neelon, Fedelis Mutiso, Noel Mueller, John Pearce, and Sara Benjamin-Neelon.

Manure improves soil and microbe community

AMERICAN SOCIETY OF AGRONOMY

Research News

IMAGE

IMAGE: SOME OF THE RESEARCH PASTURES INCLUDED WARM-SEASON OLD WORLD BLUESTEM GRASS (LEFT) MIXED WITH LEGUMES INCLUDING ALFALFA (PURPLE BLOOMS, CENTER) AND YELLOW SWEETCLOVER (YELLOW BLOOMS, LOWER LEFT). THE LEGUMES PROVIDE... view more 

CREDIT: LINDSEY SLAUGHTER

In the dry air and soil of Texas' Southern High Plains, improving soil health can be tough. We usually think of healthy soil as moist and loose with lots of organic matter. But this can be hard to achieve in this arid area of Texas.

Lindsey Slaughter, a member of the Soil Science Society of America, set out with her fellow researchers to test a solution that kills two birds with one stone. They put excess cow manure on these soils to see if they could make them healthier.

The team recently published their research in the Soil Science Society of America Journal.

"We know that planting perennial grasslands for cattle production can help protect and restore soil in semi-arid lands that are likely to erode and degrade from intense farming," Slaughter says. "But producers need additional ways to increase soil carbon and nutrient stores."

What makes a healthy or unhealthy soil?

Slaughter describes soil health as the ability of a living soil ecosystem to perform a variety of important functions. These include cycling nutrients, storing and purifying water, helping plants and animals, and more.

This "living" part is made up of various microorganisms that help a soil be healthy. They, for example, help break down materials like manure so that it and its nutrients become part of the soil.

"Improving the soil's ability to perform these roles and support plant and animal life is our target for soil health," Slaughter says. "Adding the manure can provide a boost of material that can be incorporated into soil organic matter. This helps provide a stronger foundation for more microbial activity and nutrient cycling."

This is why in their study they applied a low one-time amount of manure to two types of pastures to look into this. The pastures they put the manure on had either grass only that was fertilized occasionally or were a mix of grass and legumes that was not fertilize



CAPTION

The researchers used excess cattle manure from local producers. Here a donor deposits composted cattle manure prior to spreading it over the field sites.

CREDIT

Paul Green

Manure helps, but results take time

Overall, they did find that manure helped increase soil organic carbon and the number of microbes in the soil. These are two important characteristics of a healthy soil.

It took almost a year and a half to see these changes, although they say this is not totally surprising.

"This tells us that it can take a long time for even a little added compost to become incorporated into the soil organic matter of semi-arid grasslands, but it definitely helps," Slaughter explains.

"We think this is mostly due to the dry climate at our study site," says Slaughter. "We commonly get little rainfall per year. The microbial community was not able to work quickly or efficiently to decompose the manure without water."

Their results also showed that the pastures receiving fertilizer responded better to the manure. They believe this is because the nitrogen in the fertilizer helped the microbes decompose the manure better.

"Microbes help directly with releasing nutrients from organic material in a form that plants can use, as well as decomposing those residues to build soil organic matter," Slaughter says. "A lot of work has been done on how this can help improve cropping systems. However, we wanted to also test this on forage pastures."

Slaughter adds that the next steps in this work include whether more manure or multiple applications would get faster results. In addition, they hope to investigate if irrigation or fertilizer would help incorporate the manure faster.

"We need more research along these lines to help us design strategies that quickly and effectively increase soil health and productivity in these grasslands," she says. "This helps farmers save money on nutrients and amendments while building soil organic matter and nutrient cycling capacity. This also saves them water and protects against soil degradation."

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Lindsey Slaughter is an assistant professor at Texas Tech University. Funding for this work was provided by the Southern Sustainable Agriculture Research and Education and the USDA's National Institute of Food and Agriculture. Funding and student support was also provided by the Department of Plant and Soil Science in the College of Agricultural Sciences and Natural Resources at Texas Tech University.


CAPTION

Farm manager Paul Green of Texas Tech University anchors tarps in the pasture just before compost was spread onto the fields. This created treatment areas in each field where compost application was excluded.

CREDIT

Phil Brown

'Lost' ocean nanoplastic might be getting trapped on coasts

AMERICAN CHEMICAL SOCIETY

Research News

As plastic debris weathers in aquatic environments, it can shed tiny nanoplastics. Although scientists have a good understanding of how these particles form, they still don't have a good grasp of where all the fragments end up. Now, researchers reporting in ACS' Environmental Science & Technology have shown experimentally that most nanoplastics in estuarine waters can clump, forming larger clusters that either settle or stick to solid objects, instead of floating on into the ocean.

There is a huge discrepancy between the millions of tons of plastic waste entering rivers and streams and the amount researchers have found in the oceans. As large pieces of plastic break apart into successively smaller fragments on their transit to the sea, some eventually wear down to nano-sized particles. Previous studies have shown that these nanoplastics congregate in well-mixed, stagnant salty water. Yet, these results do not apply when the particles encounter dynamic changes in salt content, such as estuaries, where rivers carrying freshwater meet tidal saltwater. So, Hervé Tabuteau, Julien Gigault and colleagues wanted to perform laboratory experiments with micro-sized chambers mimicking the conditions measured in an estuary to show how nanoplastics interact and aggregate in this type of environment.

To determine how nanoplastics move in estuarine waters, the team developed a lab-on-a-chip device. They introduced crushed 400-nm-wide polystyrene beads and freshwater into one side of the device, while injecting saltwater through another inlet. At the opposite end of the 1.7-cm-long device, the researchers collected the output. The team tested different flow rates, replicating the salt gradient and water movement they measured in an estuary on the French Caribbean island of Guadeloupe. Nanoplastic aggregates up to 10-μm wide were detected within the zone of highest salt concentration in the flow chamber, regardless of how fast the water was moving. At the highest flow rate, only 12% of the nanoplastics were collected in the outlets; the remaining particles either clumped together and sank in the flow chamber or formed floating aggregates that stuck to the chamber's sides. The researchers say their results show estuaries and other coastal environments may filter out nanoplastics before they can enter the ocean.

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The authors acknowledge funding from the French Agency for Research.

The abstract that accompanies this paper can be found here.

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