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Ecosystems are more complex than conditions of routine ENM ecotoxicity evaluations

Some complex interrelationships and dependencies between species comprising ecosystems have been described.However, focused research could rationally identify species for routine evaluations; likewise, the scientific rationale behind test species should be reported.Thus, research should define an optimal suite of test species and end points to determine the ecosystem response to a given ENM. In general, biological receptors should be chosen for expected exposures stemming from realistic exposure scenarios. For example, relatively insoluble ENMs may, depending on their density, size and agglomeration state, rapidly settle out of suspension and associate with aquatic sediments. In that case, initial hazard assessment could focus on benthic, rather than pelagic, receptor organisms.Conversely, for ENMs that rapidly dissolve under environmental exposure conditions, conventional ecotoxicological exposure scenarios may be applied and receptors chosen to assess dissolution product toxicity. However, ENM dissolution rates vary, and pelagic organisms can be more sensitive than benthic organisms.Thus, both ENM compartmentalization and form must be accounted for when choosing receptors.Multiple effects measurements should be applied to answer research questions. Rapid screening assessments should be prioritized within a testing strategy . Mechanistically understanding overt toxicity is needed, which may require measuring more omics end points and choosing variables for developing mathematical models to predict toxicity at untested concentrations or conditions.Omics technologies can also identify potential modes of action that are conserved among different species. However,roll bench different scientific communities will have varying preferences in defining needs for omics level investigations.

Effects interpretation requires understanding the effective toxicant dose or other basis of impacts.For ENMs, the mass concentration basis of dosing may relate only partially to the effective applied dose, since biological effects often originate from surface interactions with receptors.Furthermore, ENMs are more complex than conventional chemicals because ENM shape, aggregation state and surface area may influence toxicity.Thus, surface area applied has been suggested as a supplemental dosing metric.However, ENM surface area in suspension/solid media is not a straightforward assessment given that ENMs may aggregate with a size distribution that is affected by the medium in which they are dispersed. In addition, coatings, either on pristine ENMs or acquired in the test media or environment, may alter toxicity.ENM amounts and forms effecting biological impacts should be understood and related to the administered dose to inform environmental risk assessment.This is the essence of dosimetry in ENM ecotoxicology. As with other exposure concerns related to hazard assessment, appropriate dose measurement depends on receptor and ENM characteristics, which are scenario dependent. For example, mammalian cells are harmed by ENMs that become internalized, yet uptake pathways depend on ENM characteristics.Then again, bacterial receptors that affect ecosystem level processes may be impacted by externally associated ENMs at the cell membrane, or even in the surrounding environment. In those cases, dosimetry relies on understanding ENM behavior in the complex media in which bacteria reside , which is scenario driven. End point observations of ENM damage will also depend on ENM processing in cells. During hazard assessments, understanding the history of biological interactions with internalized, or otherwise associated ENMs may not be feasible. Yet efforts should be made to measure and spatially associate ENM bio burden within biological receptors, and to examine the relationships of applied ENMs to apparent effective dose and to effects.Overall, it is not recommended to categorically exclude select conditions, environmental compartments, protocols, receptors, or end points, since any may be environmentally relevant.

Rather, careful experimental designs around well conceived, plausible exposure scenarios should be emphasized; also, ENM characteristics that influence biological responses under the dynamic conditions that occur in the environment and in biota should be characterized and quantified. One could imagine identifying key material environment system determinants that could be systematically varied to provide test results across relevant determinant ranges. Such ideas are not specific to ENM ecotoxicology, but could establish defensible practices for making progress in hazard assessment while the ENM industry rapidly advances.Mesocosms are “enclosed experimental systems [that] are intended to serve as miniaturized worlds for studying ecological processes.” While the distinctions between mesocosms and other experimental systems are not well delineated, mesocosms are generally larger experimental units and inherently more complex than benchtop microcosms or more simplified laboratory experiments.Mesocosms for ENM ecotoxicology are intended to increase the complexity of experimental systems, such that more realistic ENM physical compartmentalization, speciation,and uptake into biota can be achieved alongside biotic effects.Also, the intent is to realistically characterize ENM fates and interactions with environmental system components, and to reveal fluxes among compartments of the ecosystems responsive to internal system influences that are unconstrained by investigator interventions.Mesocosms have been used for testing relative biotic effects of ENM variants,and discerning ENM effects separately from effects of dissolution products .Mesocosm testing may occur following individual organism and microcosm studies . For example, to study how ENMs impact crops, one could first establish the potential for hydroponic plant population impacts,use soil microcosms to understand ENM bio availability via observing soil microbial community shifts,and then scale up to greenhouse mesocosms of soil grown crops. This sequence could provide an understanding of plant−microbe interactions,ENM transformation and uptake in plants,commercial greenhouse supplies and effects on food nutritional quality.

Still, there are relatively few published studies using mesocosms to assess ENM ecological hazards,and the design and operating variables of existing mesocosm studies are wide ranging.By contrast, wastewater associated ENMs,and their transformations,effects, and fates in wastewater treatment plants ,along with the potential for ENMs to impact WWTP processes,have been more extensively studied. Since sewage contains ENMs, WWTPs are inherent forms of mesocosms.Studies at entire WWTP scales elucidate ENM fates during wastewater treatment, including significant association with biological treatment biomass that becomes bio solids.However, only 50% of bio solids produced in the U.S. are land applied, and these bio solids are used on less than 1% of agricultural land in the U.S. . Bio solids are land applied even less in the European Union.Thus, knowledge of ENM fates in WWTPs and how final residues are disposed regionally are needed to develop plausible exposure scenarios. Concerns with mesocosms include factors that can be difficult to control and that mesocosms may respond to artifacts including “wall” or “bottle” effects.Further, mesocosms can conflate direct and indirect toxicant effects, typically do not have a full complement of control conditions, and deliver inconclusive results . Biological communities in mesocosms also lack realistic ecological interconnections, interactions, and energy flows. Nevertheless, outcomes can be improved by using carefully designed mesocosms and associated experiments.For example, combined with analyzing mesocosm samples, performing practical “functional assays” such as for heteroaggregation,allows for anticipating phenomena and later interpreting ENM transformation and compartmentalization in mesocosms.Similarly, batch physical association experiments if conducted using realistic components, and over time frames that allow for quantifiable mass transfer can assess ENM biomass association and readily suggest ENM fates in WWTPs.Still, hydrodynamic conditions are different in simplified tests versus mesocosms, which are different from those in the natural environment. Hydrodynamic conditions will impact ENM fate and transport and thus exposure concentrations at receptor boundaries. The inability to capturereal environmental hydrodynamic conditions in any experimental scale is a general shortcoming for both ecotoxicology and transport studies.Although mesocosms do not fully simulate real environments,mesocosms are useful and should be employed, albeit judiciously due to their resource intensity, within a strategy . Recommendations regarding using mesocosms for assessing ENM environmental hazards are provided in Table 2.Mesocosm studies must be designed and conducted around well conceived questions related to plausible exposure scenarios; they should use select end points, potentially including sensitive omics measurements,to answer questions or test hypotheses.Internal process and constituent characterization should be thorough and equally responsive to well conceived, realistic scenarios. Functional assays, that is, “intermediary, semi empirical measures of processes or functions within a specified system that bridge the gap between nanomaterial properties and potential outcomes in complex systems”,should precede mesocosm designs and experiments, and aid interpreting mesocosm results . Mesocosm artifacts are avoidable by following best practices for design and operation, although possible interferences of particulate material testing with assays must be evaluated.As for other hazard assessments, ENMs should be tested across the product life cycle, within a motivating exposure scenario. Similarly, suitable material controls should be used to test hypotheses regarding ENM specific effects .

The recommendations made regarding exposure conditions in assessing ENM hazard potentials for model organisms should be followed for mesocosm studies . Additionally, mesocosm designs should incorporate exposure durations, which should be sufficiently long to address population growth, reproduction, bio accumulation, trophic transfer, and possibly transgenerational effects. Sufficient measurements of ENM concentrations and time dependent properties must be made for clear interpretations. Key to successfully interpreting mesocosm studies is using validated methods for measuring ENMs in complex media. Measurements should include the size distribution, concentration and chemical composition of ENMs in the test system, including biological tissues,over time.In some cases, transformation products are inventoried thoroughly during long term field relevant exposures.Detection schemes require sample preparation to assess in situ exposures before quantitative analyses, or drying and embedding before visual confirmation by electron microscopy. The potential for artifact introduction should be recognized. Recovery methods continually develop, such as cloud point extraction for concentrating ENMs from aqueous matrices.Depending on the exposure scenario, in situ aging may be a study objective. However, it is important to define what “aging” really means and the specific application domain, since “aging” is a wide ranging term and can be used in different contexts, making comparisons impossible. At least, studies should be undertaken over sufficiently long time frames , which may include repeated ENM applications,such that appropriate aging, that is, time dependent transformation under realistic conditions, could occur. Alternatively, preaged ENMs could be used. However, preaging protocols are not yet standardized and, while some convention could allow for comparing across studies, the appropriate aging protocol would depend on the envisioned exposure scenario. Cocontaminants should be considered and potentially introduced into mesocosms, since some ENMs sorb, concentrate, and increase exposure to other contaminants.Select end points should account for ENMs as chemosensitizers.Also, mesocosm study designs should anticipate and plan for measuring secondary effects . In summary, while few mesocosms have been used in assessing ENM ecotoxicity and are also rare for conventional chemical testing, such systems potentially offer greater realism. Still, mesocosm exposure and design considerations should derive from immediate environmental applicability. The value of mesocosms to ENM ecotoxicology can increase by following recommendations including: addressing context dependent questions while using relevant end points; considering and minimizing artifacts; using realistic exposure durations; quantifying ENMs and their products; and considering ENM aging, cocontaminants, and secondary biological effects . Further, it should be acknowledged that mesocosms do not fully recreate natural environmental complexity. For example, aquatic mesocosms do not recreate actual environmental hydrodynamic, or temperature cycling, conditions. Hydrodynamics can significantly impact ENM aggregation or heteroaggregation, and fate and transport . Therefore, potential impacts on the resulting concentrations at the receptor boundaries should be considered.ENM environmental exposure conditions herein refer to where, how much, and in what forms ENMs may occur in the environment. These are central issues for ecotoxicology of ENMs because they suggest test exposure scenarios in which ENMs could impact biological receptors within environmental compartments influenced by various factors . These issues also influence outcomes of key regulatory concern: persistence, bio accumulation, and toxicity.Discharges underpin exposure scenarios,are initiated by situational contaminant releases , and are referred to as source terms. Mass balance based multimedia simulations mathematically account for released contaminants as they are transported and exchanged between environmental media, where contaminants may be transformed and may ultimately concentrate, potentially with altered compositions and structures . Far field exposure modeling approaches vary by question, the modeling purpose , the required spatial resolution , the temporal conditions , and the predictive accuracy required.Material Flow Analysis , which is a type of life cycle inventory analysis, has been advanced to track ENM flows through various use patterns into volumes released into broad environmental compartments,scaled to regional ENM concentrations that release via WWTPs to water, air, landfills, and soil.Such models estimate exposure concentrations in part via engineering assumptions and in part via heuristics.Also, such material flow analysis models depend on the underlying data which are not readily available, making it difficult to validate model results and potentially leading to inaccurate estimates.

It is easier to justify such an economic risk to the entire family when non practical considerations are in play

Certainly the only reason any Iquiteño Jewish migrant goes to Israel is because of Israel’s recruiting of Jews from the diaspora, rhetoric backed up with citizenship and financial assistance. On the other hand, Israel does so because it is important for it to be seen as a homeland for all Jews, and Iquiteño Jews across borders of time, gender, and age strongly identify as Jews who want a homeland. Furthermore, gaining their citizenship in Israel is, like citizenship anywhere else, a long, arduous, confusing, and sometimes humiliating process. As a reminder, an Iquiteño who wishes to move to Israel must register with the Iquitos synagogue as someone who has Jewish ancestry or someone who does not , take multiple years of classes in conversational Hebrew, Jewish liturgy and ritual, Israeli culture, and successfully perform their learning over a period of more years to a series of community leaders, rabbis, and semi-official migration bureaucrats before “converting,” a process which may feel hurtful to those who already identified as Jewish, all before even considering taking the first practical steps towards movement. The main difference seems to be that for Iquiteño Jews, this process occurs largely before the actual movement takes place. Furthermore, once Iquiteño Jewish migrants are in Perú, their citizenship is revealed to be partial. Because conversions in Iquitos are performed according to Conservative/Masorti standards, not Orthodox ones,round plastic pots Iquiteño Jewish migrants are still barred from institutions such as marriage as a result of their ambiguous halakhic status.

They will also face less ambiguous racism and xenophobia. They are in arguably within the privileged tier in the Israeli Jewish/Palestinian binary, and their citizenship is hard-won and partial compared to other European-Jewish migrants and native Israeli Jews. These difficulties often appear in the ways in which the familial patterns of Iquiteño Jewish migrants differ from those of non-Jewish Peruvian migrants. The gender pattern is different: while in previous major 21st century waves of Peruvian migration, women have overwhelmingly formed the vanguard and later brought their male relatives with them , in Iquitos the pattern is that whole families migrate at once, leaving behind only scattered adult or near-adult children and siblings. Is this a factor only of guaranteed citizenship and Israel’s financial assistance, which removes barriers that separate other families? The household strategy approach to migration suggests that sending individual members of a family helps diversify that family’s options and adding to their overall economic security. The “absorption basket” governmental aid to new citizens from the ends after twelve months from arrival, meaning new migrants cannot rely on the Israeli state for long.Similarly, Iquiteño Jewish migrants to Israel buck another common demographic trend in Peruvian migration: they take their children with them rather than leaving them to finish their educations in Peru, as can be assumed to be usual by the low proportion of Peruvian migrants under age 20. The children of Iquitos’ Jews go to good schools and expect to go to university, whether in Iquitos or, more prestigiously, in Lima. Those good schools, however, are private Catholic schools, a situation that perturbs parents who want their children to be educated in environments that value and promote Jewishness, not simply educated.

This concern for children’s Jewish education was, as discussed in the previous chapter, by far the most commonly listed reason for migration. For many parents, a Jewish education that they feel will help make their children more Jewish is worth disrupting education in an absolute sense. Education is not a neutral driver in this case, or even a blunt-force promise of opportunity; questions of identity visibly trump questions of practicality and pedagogy. From a neoclassical economics standpoint that privileges economic self-interest as the main driver of human motion, one might expect that the differences in standard of living and wages between Israel and Perú would encourage migrants to stay in Israel, rather than Iquitos. Peruvian migration in general does indeed lend some support to this thinking: return migration is relatively uncommon for Peruvians specifically and non-Jewish Latin American migration to Israel conforms to this pattern. However, Iquiteño Jews do not necessarily expect a better life in Israel in economic terms, although the shift seems clear on the surface. The majority of Iquitos’ Jewish community is lower-middle to middle class —shopkeepers, professionals, clerical and medical workers—and usually moves down the economic ladder when they move to Israel. In my 2019 interview group, nineteen of my adult subjects expressed anxiety about their work prospects in Israel, and were particularly nervous about the difficulties of learning Hebrew as adults to the level necessary to do their present jobs. One young woman, a math teacher, told me about her older sister, a family medicine doctor who, after seven years in Israel, had been able to recertify herself as a nurse. As for herself, she thought, perhaps there would be some posts for tutoring the children of other Spanish-speaking migrants until she could learn enough to earn an Israeli teaching credential.

On the Ramla Tinos Facebook page, which circulates death notices, flyers for secondhand refrigerators,hydroponic bucket and the periodic Jewish meme in Spanish to the approximately 1,800 Latin American olim who make up its followers, a typical job ad is for domestic labor in private homes or factory jobs. This is not the kind of work the majority of Iquiteño Jews do in Iquitos, and combined with the testimony of my interview subjects, suggests that life will in many ways be economically harder in Israel than in Perú, and many Iquiteños know it. It seems implausible, therefore, that neoclassical-style economic thinking, easy citizenship, or the promise of a wealthier life could explain why Iquiteño-Jewish migration follows a riskier and more permanent pattern than is usual among 21st century migrants generally and even Latin American migrants to Israel specifically. Life for recent olim from Latin America, who face racial, religious, linguistic, and legal barriers to full citizenship and economic success, is arguably more difficult in Israel than it was at home, something of which prospective migrants are aware, at least in part. I do not wish to ignore the fact that migration dynamics often become self-sustaining as time goes by. Ethnic enclaves like those that my subjects and their Israel-dwelling relatives tell me have sprung up around the central bus station in Tel Aviv, in Ramla, and in Beersheba represent social capital that softens arrivals for new migrants and provides information and formal and informal labor opportunities. Transnational social fields develop institutional frameworks and pulls of their own, and become self-sustaining. All this is true and demonstrably affects the ways in which Iquiteño Jews migrate: as discussed in the previous chapter, by the time of writing, almost everyone left in the Iquitos community has friends and family living in Israel with whom they desire to reconnect. Even so, transnational social fields can become self-sustainingly circular , so it still matters why this social field has become self sustainingly unidirectional. Moreover, it is not simply coincidental that these Jews ended up in and stayed in Israel, and treating this group as if it were not engaged in behavior that conforms to a certain set of expectations about the reciprocal roles of diaspora and homeland in favor of simplistic economic arguments is shortsighted. Discussions with Iquiteño Jews laid out in the previous chapter made clear that the majority of these potential migrants feel an intense affinity for Israel that out times outweighs their expressed love for Perú. I also described how the revitalization of Jewish life in Iquitos has from the start been shaped by individuals and organizations with a desire to see the Jewish diaspora support Israel in multiple ways up to and including permanent migration as religiously inflected olim, not simply any other migrant. The educational materials and conversion processes made available to the Jews of Iquitos suggest the similarity of the Biblical Holy Land and the modern State of Israel and reinforce the primacy of Israel for diaspora Jewish identity. They seem to have successfully created a now self-sustaining model of Jewish identity in which migration to Israel to live a “more Jewish” or “better Jewish” life is key to proving belonging and status in the community and in a perceived global community of Jews. Although this might seem a natural equivalency, it is in no way a given that the modern state of Israel should be the locus of current Jewish transnational activity.

Over the course of thousands of years of Jewish diaspora, Jewish self-rule developed in countries far from the Holy Land, belying the assumption that owning the territory of the erstwhile Kingdom of Israel was necessary. In the modern era, diaspora nationalism, which for Jews indicates not the support of the home country in the diaspora but the assertion of real, valid, solid identities as Jews in the diaspora had an enormous influence on Jewish arts and letters and political activity, including proposals for alternate Jewish homelands in places as diverse as eastern Russia and the Niagara River, New York. As Lesser and Rein argue so forcefully, hyphenated Jewish identities can and often do focus as strongly on the host national segment as on the Jewish one. As Roniger argues, the usefulness of acknowledging and acting upon transnational ties is perpetually in flux. It is not natural and obvious that the Jews of Iquitos, simply for being Jews, should have decided to engage in transnational activity with Israel specifically. If a purely economic analysis suggests that transnational activity was inevitable in a globalized world, precluding a durable community in Iquitos, it was not inevitable that Iquitos’ Jewish community should decide to focus its transnational activities to such an extent on Israel. It is possible to imagine stronger links with Argentina’s Jewish population that did not lead back to Israel, just as it is possible to imagine connections with communities in the United States that were not tied solely to migration. It is even possible to imagine a resurgence of interest in Morocco, from whence the ancestors of most of Iquitos’ Jewish population hail, far more recently than any connection to the land of Israel. It has only been made to seem as though Israel was the choice so obvious it could not be passed up through precisely the utilization of diaspora discussed at the beginning of this chapter. When respected religious officials like Rabbi Guillermo Bronstein, long-term guests like Ariel Segal, and philanthropic organizations like the Jewish Agency for Israel and the Federación Sionista del Perú all push a specific narrative of the inadequacy of diaspora and the illegitimacy of diasporic identities in which dedication to Jewish life and possession of a valid Jewish identity is shown through attachment to the state of Israel, the rhetoric combines with the economic. Iquitos’ Jewish community is a clear example of transnational practices, from commerce to migration, being guided by rhetoric that takes strict Safran-style interpretations of diaspora for its guide. Apart from simply steering migrants towards a particular destination, this blending of diaspora with transnational practice also produces different outcomes from groups in similar situations who are engaged in transnational activity without belonging to a diasporic people. Transnational social fields occur thanks to economic and practical principles; this transnational social field occurred thanks to economics and the conscious deployment by activists, states, and organizations of diaspora as more than a myth. If this situation is true for the Jews of Iquitos, it can be true for other diasporic peoples, whether they more closely resemble a Safranesque diaspora or a Berns-McGown-like one. If, as Roniger states, Jews in the diaspora can choose when and where to direct their transnational efforts after absorbing changing messages about their own and their ties’ legitimacy, so can other diaspora groups, whether or not that identity is conventionally considered strong. Homelands can shape a narrative in which being part of the diaspora makes an individual less than both a person living in the homeland and a person native to the host country, where recall and return are not only necessary performances of identity but can be acted upon in practical ways, whether through voting abroad, sending back money, or moving back home.

The Lofland-Stark conversion model has long been a fundamental way of understanding conversion sociologically

Is Israel engaged in constructing a machine in which “problematic,” marginal, questionable Jews are found, processed, and shaped into ideal settlers? Although this process is unwieldy, multipart, historical, inefficient, and only partially successful, in this chapter I argue that this immigration process does succeed in its primary goal of convincing diasporic Jews to identify with Israel, migrate, and solidify Israeli racial hierarchies. Regardless of the personal meaning of conversions to Iquiteños, they are a powerful tool for the education and selection of potential Israelis. Since some Mizrahi and Sephardi communities wield significant power within Israel, and Israel’s secular courts have loosened restrictions on the kinds of conversions that turn potential olim into viable proto-Israelis, why do Iquiteños nonetheless convert in Orthodox Ashkenazi modes3? The obvious answer is that affiliating themselves with relatively disadvantaged groups is unwise. Forward-thinking action towards assuming a more privileged position in Israel seems like a rational step to take, but how is that position of privilege communicated to Iquiteños, and what parts of the social position are received as most attractive? How is the sincere potential religiosity of conversion tied to expectations of more material gains in a way that Iquiteños understand and respond to? The overlap of personal choice and state-level manipulation may reveal much about how the diaspora relates to a modern state claiming centrality and authenticity, and vice-versa.

The second chapter takes a closer look at the transnational frameworks introduced in the first,strawberry gutter system expanding its scope to Latin American Jewry writ large, and then to the global Jewish diaspora. It argues that Jewish discourse continually constructs the meaning of diaspora internal to its community, even as sociological discourse constructs a different meaning that is more closely related to the concept of transnationalism. Each definition ignores the ways in which the modern international arena of nation states can actively use these definitions to influence behavior: using the rhetoric of diaspora to encourage transnational activities and using transnational activities to curate and control who belongs to the diaspora. This expansion to the global, theoretical level comes before the exploration of the state level because it is vital to contextualize transnationalism and diasporic rhetoric before jumping into case-by-case examples. Latin American Jews are immensely diverse and their communities and relationships within the region and within the global Diaspora are complex and long-standing. The literature that uses transnationalism to better understand the identities of Jews in Latin America tends to position them on a spectrum with a national identity and a Jewish identity at opposite ends. At one end are scholars like Judit Bokser-Liwerant , who see Jews in Latin America as Jews foremost. From this point of view, a sense of pan-Jewish ethno-religious identity unites Jews across national borders, often to the exclusion of meaningful national identities. In this understanding, Jewishness is the most important tile in Jewish individuals’ mosaics of identity,and lends itself naturally to transnational behavior. This presumed behavior and presumed identification with other Jews across and irrespective of national borders is also assumed to have something to do with the fact of being a diasporic people. On the other end of the spectrum are Jeffrey Lesser and Raanan Rein , who have both rejected what they deem the “essentializing” pan-Jewishness of a stance like Bokser Liwerant’s in favor of seeing Jews in Latin America as national citizens first. Jews are expected to look to the host nation first when assessing their own identities, rather than emphasizing their Jewishness to the exclusion of their national identity.

This results in a range of hyphenations, such as Jewish-Argentinian, Jewish-Peruvian, etc. While transnational behavior may occur, the Jewish identity is usually considered to be one of the less prominent identities that an individual counts towards their identity mosaics. Lesser and Rein’s concern with the differences in Jewish life, treatment, and identification between countries is important to remember, particularly when examining shifts in local conditions that may lead Jews to consider migration. Nevertheless, it can be essentializing as well in its focus on discrete and identifiable national identities and can minimize important regional similarities or historical ties between communities. By being able to see this distinction, it also becomes possible to see how a sense of belonging to a diaspora can influence transnational behaviors. In fact, diasporic history and transnational behavior are often actively conflated to achieve political and/or economic aims, especially pan-Jewish and Zionist activism, religious philanthropy, and Jewish education. Jewish philanthropy that calls on a diasporic identity to solicit transnational donations has a long history, which includes transnational emissaries in the early modern period when nations were first developing. Iquitos experiences its own version of this border-crossing Jewish philanthropy, and has done since the turn of the century. Frequent intra diaspora migration for professional purposes has a similarly long history: traders, clergy, and activists maintain personal, business, and religious connections across national borders, alternately using the diaspora and transnationalism to justify each other..4 Often, the existence of a diaspora sets the stage for many kinds of transnational activities, which may or may not symbolically call upon the diaspora to achieve their goals. At the same time, transnational activity may make a sense of diasporic pan-Jewishness stronger and a more active part of individuals’ self-identification. Participating or not in transnational activity between nodes of the diaspora also comes into play when gauging Jewish authenticity.

The third and final chapter returns to a single country-level case study, this time in Israel through a structural examination of the great contradiction of Israeli immigration policy. Israel’s view of immigrants and potential immigrants is torn between religious and secular interests,hydroponic fodder system which prioritize Jewish purity and Jewish numbers, respectively. On the one hand, secular Zionist immigration policy requires more and more Jewish bodies in Israel to make the state more secure and overwhelm Palestinians still living there through sheer numbers and new settlements. In light of this need for numerical superiority, politicians on this side of the ideological divide are willing to expand ideas of authentic Jewishness. On the other hand, ultra-Orthodox religious factions wish to keep the answer to the question of “who is a Jew?” very narrow, because a narrow definition allows them to maintain certain special privileges above and beyond those granted to all Israeli citizens. Furthermore, the current citizenship regime and their status as European-descended Ashkenazim grants these groups the structural privilege to effectively lobby for such restrictive definitions. Both sides need each other to form an effective governing coalition, and as such, the immigration of “problematic” Jews is not halted completely. Rather, the two sides compromise such that the secular bureaus in charge of immigration and Diaspora relations will attempt to create a machine of policy and outreach that produces more desirable Jews from an Ashkenazi-normative religious perspective, that is, to make “inauthentic” Jews “authentic.” Furthermore, the fact that most Iquiteño migrants are settled in the mixed city of Ramla indicates that they serve the Israeli state in constructing a racial hierarchy. Demographic warfare is not general, but is in fact quite tactical and specific. In this case, the absorption of Iquiteño Jews into an Ashkenazi mold is not only an indicator of intra-Jewish hierarchy, it is a way of reinforcing, even creating, an Israeli racial project in which even the most “undesirable” Jews can be wielded against Palestinians. In this way, Iquiteño Jews are literally and metaphorically placed definitively apart from pale-skinned Ashkenazi, but above Palestinians. The way in which Iquiteños are asked to shape themselves also includes shaping themselves as an ethnic group against a racialized Arab Other. Driven by many transnational forces, including powerful movements within global Jewries, the Jews of Iquitos have dramatically changed their religious practices, self identifications, and migration plans, mostly with the goal of migrating to Israel for reasons that combine the practical and the spiritual. Although the Jewish community of Iquitos is very small, and grows smaller yearly due to emigration, its marginal position within Jewish hierarchies of ethnicity, religion, and nation helps reveal the messy, contested borders of contemporary Jewishness and how Jews actively change what it means to be authentically Jewish. Human identities are always a mosaic of multiple facets of greater or lesser saliency, and Jewish identities that cross or complicate those boundaries are possible and common. Iquiteño Jews fall across many of those borders.

As they do so, they bring into focus the intersections of symbolic diaspora and practical transnationalism, the historical mutability of Jewish authenticity, and the active use of these intersections and the Diaspora at large by the Israeli state as it seeks to solidify and stabilize its contemporary centrality to modern Judaism. By seeing and seeking to understand these often-ignored or hidden points of difference and conversion, scholars and activists can examine the ways in which they define their own religious and ethnic identities, make their discussions of religion and migration more respectful and nuanced, and take control of the narratives that predicate rights and safety on authenticity. And, finally, understanding the differences between transnational communities and diasporic peoples will reveal the usefulness of diasporic rhetoric to actors seeking to influence groups’ transnational activities, and therefore the changes in migration patterns, racial and ethnic formations, and self-identifications of diasporic peoples. For the Jews of Iquitos, migration to Israel is seen as a step in the pathway to becoming an authentic Jew that is as necessary as a conversion process. This blending of Israeli and Jewish identity stems from institutional influence in the early days of Iquitos’ community renaissance, but has since become self-sustaining thanks to global-level economics and individual-level transnational affective bonds. Iquiteño Jews do not see their conversions as solely an instrumentalist tool to gain a more economically privileged life in Israel, nor do they see their conversions as completely individual pursuits of spiritual fulfillment. Rather, they are motivated by both practical and spiritual concerns, which are made to converge at key points thanks to diasporic influence on transnational actions. This phenomenon challenges common narratives in the sociology of conversion that require total separation of the practical and the spiritual. It is often useful, even necessary, to make such a separation, but insisting on its essentialness makes it difficult to study cases where the two converge. These points of convergence are often important in understanding the justifications, motivations, and identifications of individuals as well as the influence of organizations and states with religious aims. Choosing to interpret these convergences as only blinkered fantasies hiding self-interested, rational motivations, quite aside from being condescending, also hides the very real power of religious belief to motivate action. In this case, the decisions made by Iquiteños occur at the crux of individual belief and global political dynamics, so recognizing both dynamics as important is key to understanding their joint influence. In the case of global Jewry and other diasporic peoples with strong religious identities, this convergence helps make the rhetoricization of diaspora an effective tool to encourage and guide transnational activity.It is a value-added process model, recognizing that while conversion is often portrayed within Christian or Christian-secular contexts like the Western university as a blinding flash of inspiration that transforms its individual subject in an instant, as in the Confessions of Saint Augustine or Kierkegaard’s The Sickness Unto Death , in most cases, conversion is a long and social process. Their model has also been heavily critiqued. Critics find that it leaves little room for converts’ own perceptions of their experience, while at the same time relying on individuals’ reportage of their “turning points” and their “seeking” behaviors. Furthermore, it is flawed in its insistence on the presence of each and every one of its purported prerequisites for conversion, in particular because each of these prerequisites are characterized purely as the answer to some inner, individual spiritual lack, leaving aside the many other tools converts have at their disposal, and which they may use alongside or indistinguishable from religious responses. That said, I feel this model accurately emphasizes the importance of affective bonding and community ritual to conversion. Phillips and Snow emphasize the importance of that affective bonding and intensive interaction, and add the important note that it is those two activities that help potential converts choose between many possible options when they convert.

Leaves collected from each forest type were used in separate experiments

In general, fully senesced leaves have as much as 75% reduced protein content compared with green leaves, primarily from the dismantling of chloroplasts, and though yellow, senescing leaves still have live cells with active mitochondria, leaves that have turned brown as a result of drying no longer contain biologically active cells . Therefore, green, senescing and fully senesced bay leaves are substrates that likely vary in their suitability for colonization by P. ramorum and stream-resident clade 6 Phytophthora species, taxa that commonly occur at high inoculum levels in northern California coastal forest streams. We have shown that there is a difference in trophic specialization between the saprotrophically competent, clade 6 Phytophthora species, such as P. gonapodyides, and P. ramorum, an aggressive pathogen on many plant species. In that study, green California bay leaves were rapidly colonized by P. ramorum in streams but were succeeded nearly completely within three weeks by clade 6 Phytophthora species. It remains uncertain, however, whether P. ramorum was displaced by more competent saprotrophs or receded from an inability to persist in tissues that it had colonized as they progressively decomposed. Additionally, as most leaf litter consists of senesced leaves, it is important to know how these differently adapted taxa can compete for and persist on biologically inactive leaf tissue. Finally, though stream resident Phytophthora species are assumed to contribute to leaf decay given their regular recovery from streams and frequent association with decomposing vegetation, experimental evidence for the kind and extent of this contribution is lacking.

Moreover, it is unknown how the introduction of an exotic and plant pathogenic species, like P. ramorum, strawberrry gutter system into a stream ecosystem might affect the decomposition of leaf litter by other organisms, such as resident Phytophthora species. Therefore we undertook a laboratory study to determine: How well P. ramorum and P. gonapodyides could use senesced leaves as a substrate in comparison to green, live leaves, whether colonization by and persistence of P. ramorum on leaves was affected by competition with P. gonapodyides, and how much each of these Phytophthora species contribute to the decay of each leaf type. To test the capacity of P. ramorum and P. gonapodyides to colonize green and senesced bay leaves, we conducted controlled environment experiments exposing leaves to an inoculum of each species alone and in combination in microcosms designed to simulate an aquatic environment. The experiment consisted of a randomized complete block design with treatments representing a complete factorial of bay leaf type , stream water addition , and Phytophthora inoculation. These 16 treatment combinations were replicated in five blocks arranged in three growth chambers. The experimental unit was a mesh packet of five leaves which were sampled at intervals over 16 weeks from microcosms. One treatment packet per sampling served for decomposition as percent biomass loss and another for colonization based on isolations on a selective medium. We repeated the experiment once, with leaf types maintained in the same microcosm in the first and in separate microcosms in the second experiment.

We conducted a separate experiment with yellow, senescing leaves collected while still attached to trees and with the cuticle intact, with P. ramorum-only and combined P. ramorum/ P. gonapodyides treatments as well as non-inoculated controls, in a completely randomized design with four reps in a single growth chamber. We collected leaves from two sites where our previous field experiments were conducted. One was a canyon through which Graham creek runs at Jack London State Park which consists of redwood forest with California bay as a dominant riparian tree, along with redwood , Douglas fir , tanoak , bigleaf maple , and less frequently, madrone. The second included canyons around Copeland Creek at Sonoma State University’s Fairfield Osborn Preserve which is characterized by mixed evergreen forest with a prevalence of California bay, white alder , big leaf maple, and occasionally, tanoak, madrone and coast live oak. At each site, we collected green, symptom-free bay leaves with a mature cuticle from trees and brown, recently shed bay leaves from beneath trees in the manner of Wood et al.. Brown leaves were collected from both sites in September 2014, allowed to air dry in the laboratory, and then stored in sealed plastic bags at room temperature until used in experiments. Green leaves were collected on 12 December 2014 from the redwood forest site and on 5 August 2015 from the mixed evergreen forest site. Yellow leaves were collected directly from trees at the mixed evergreen forest site on 7 September 2015. Green leaves were stored at 4 ◦C for up to three weeks prior to use in experiments and yellow leaves were likewise stored but deployed in experiments within one week of collection. We collected leaves primarily from riparian areas around the described creeks, though, at the mixed evergreen forest site,grow strawberry in containers we had to seek symptomless leaves to some extent from plateaus above the canyons.

Leaf treatments were in the same microcosm for the first experiment using leaves from the redwood forest and separate in the second experiment with leaves from the mixed evergreen forest. Yellow leaves were collected from the mixed evergreen forest site only. We tested a sub-sample of 50 of each leaf type for both sites—through isolations attempted on a selective medium as described below—to verify that there were no pre-existing Phytophthora infections. Brown leaves were soaked in sterile deionized water at 4 ◦C for two days prior to these test isolations. Leaf packets were prepared for each leaf type by packing five leaves into a flat envelope of 1 mm plastic mesh approximately 20 × 20 cm so that the leaf surfaces were in minimal contact with one another and each packet was sealed by folding over the open lip and securing it with two common metal staples. We assembled microcosms simulating an aquatic decomposition environment similar to the approach described by Medeiros et al.. White plastic buckets were used in the first and yellow leaf experiments and opaque plastic containers in the second experiment. Each container was aerated through a tube terminating in an aeration stone fed by an air pump that was turned on for 30 minutes twice daily using an electric timer. Aeration intensity was moderated with the addition of adjustable valves inserted in the tubing. A dilute nutrient solution was used as the base for the water mixtures in microcosms in order to avoid osmotic stress on spores. This was achieved by adding Hoagland’s #2 salts to autoclaved Millipore®filtered water for a final concentration of 0.01× the standard concentration. To test for any effect of natural stream microbiota on Phytophthora colonization or leaf decomposition, we included an addition of auto-claved or non-sterilized stream water as a treatment factor. The final composition of water in microcosms consisted of 4 L nutrient solution and 2 L stream water in the first experiment, and 4 L nutrient solution and 1 L stream water in the second. We collected water from streams in a bucket, pouring it through several layers of cotton mesh into 4 L plastic bladders that we consolidated into larger plastic containers or used directly to transport water out of the field. Once brought to the laboratory, stream water was stored in plastic containers in a growth chamber at 12 ◦C and 12 h photoperiod for 20 and 23 days prior to deployment in the first and second experiments, respectively. After storing the water for seven days, we submerged symptomless California bay leaves collected at each site as baits in each container for two days to confirm that Phytophthora zoospores were not present.

We tested baits for infection using the isolation technique described below. No Phytophthora infections were detected from baits at this point. In the experiment with yellow leaves, we used only 4 L of a nutrient solution without stream water addition. We measured stream pH, electrical conductivity and temperature on site at the time of stream water collection and subsequently in each microcosm throughout the experiments with a portable sensor. Stream pH, EC, and water temperature were 8.55, 208 µS/cm, and 13.5 ◦C, respectively, for the redwood forest stream on the 9 December 2014 collection date, and 8.08, 363 µS/cm, and 17.7 ◦C, respectively, for the mixed evergreen forest stream on the 5 Aug 2015 collection date. To approximate natural stream pH in microcosms, we amended the mix of dilute nutrient solution and stream water in each microcosm with potassium carbonate buffer at approximately 10 mg/L and adjusted it with KOH and HCl for a target of pH 8.3. The average pH measured in microcosms periodically over the course of experiments was 7.99 , 8.33 and 8.24 in the first, second and yellow leaf experiments, respectively. The average EC was 208 , 141 , and 98 in the first, second, and yellow leaf experiments, respectivelyTo determine the rate of decomposition measured as leaf biomass loss, we weighed leaves to the hundredth decimal of a gram with an analytical balance prior to packing and we labeled the packets with aluminum tree tags secured with a plastic tie for future identification. We estimated the original dry mass of both leaf types from the average dry weight of a sub-sample of 50 fresh or air dried leaves. The average percent dry weight for green and brown leaves, respectively, was 40.9 and 94.3 for the first experiment and 53.5 and 92.6 for the second experiment. The average percent dry weight for yellow leaves was 55.0. The average estimated weight in grams for five green leaves was 0.84 and 1.13 , and that for five brown leaves, 0.91 and 0.85 for the first and second experiments, respectively. For five yellow leaves, the estimated average weight in grams was 0.98. At each sampling, leaves were retrieved from tagged leaf packets, rinsed gently with deionized tap water to remove adhering debris, oven-dried in a paper envelope or an open aluminum foil envelope at 55–60 ◦C for 48 h, and weighed as described above. The fraction of original biomass was calculated for all leaves in a packet by dividing the weight at the time of sampling by the estimated original dry biomass. To determine the level of Phytophthora colonization of leaves, at each sampling we collected a packet for each leaf type from each container to evaluate by culturing on Phytophthora-selective PARP-H medium 50 ppm and hymexazol 25 ppm. Upon retrieval, leaves were submerged and gently rubbed free of biofilm in 1% household bleach solution , surface sterilized in fresh bleach solution for three to seven minutes, rinsed with deionized tap water, and then laid out on paper towels and the excess water allowed to evaporate. Finally, leaves were wrapped in a paper towel and stored at 4 ◦C until isolations by culturing could be performed. Isolations were attempted from all leaves belonging to treatment using a ‘mosaic’ sampling approach whereby the leaf discs are removed from the petiole, midrib and flanking lobes of the leaf at approximately 1 cm distance from one another in order to collect a representative sample from the entire leaf. For experiments with green and brown leaves, isolations were initiated immediately after collection, with most samples processed within 29 days. All isolations were completed by 46 days after collection. Storage period did not alter results when included as a covariate in models for these experiments and was excluded from the final analyses. Isolations from leaves of the yellow leaf experiment were completed within nine days after collection, and all isolations from a single collection week were completed in one day. The presence of P. ramorum and P. gonapodyides was determined by microscopic examination of isolate morphologies directly from the isolation plates after four to five days and checked again periodically for three weeks. To test for active sporulation from colonized leaves in the microcosms, periodically a California bay leaf disc was floated as bait—either naked or in a roughly 35 mm2 mesh envelope—on the surface of the water in each microcosm for three to seven days, after which it was surface sterilized and isolations attempted from it on selective PARP-H medium. We conducted these tests of sporulation four times during the first and yellow leaf experiments, and three times during the second experiment. Additionally, we tested for sporulation periodically for up to eight weeks after all leaves had been removed from microcosms to determine if Phytophthora spores could persist in the absence of a substrate.

Ethiprole was obtained from the Shanghai Pesticide Research Institute

The data presented clearly demonstrate the efficacy of CWs for treatment of water containing current pollutants that either resist treatment in WWTPs or are directly discharged into surface water via runoff. There are several types and variations of CWs that have been utilized to facilitate treatment of a wide array of contaminants in an abundance of applications. The two major types of treatment wetlands are surface flow CWs and subsurface flow CWs. An example of a surface flow CW is shown in Figure 1.3. Surface flow CWs may contain floating plants, submerged plants, emergent plants, or some combination of the three, and possess areas of open water. Subsurface flow CWs may employ horizontal flow or vertical flow; the former usually consists of a vegetated gravel bed with water flowing horizontally below the bed surface from inlet to outlet while the latter involves water treatment as it percolates through the plant root zone of a vegetated sand or gravel bed. Hybrid CWs are typically composed of a surface flow CW and subsurface flow CW operated in series. Recently, unit process CWs have been implemented in an effort to isolate the ideal conditions necessary to treat particular pollutants in independent ponds, with the goal being to operate distinct ponds in series to treat multiple contaminant classes within the same treatment chain. Examples of unit process CWs are open water cells, macrophyte-dominated wetland cells, and bivalve filtration wetland cells. An example of a unit process open water CW is depicted in Figure 1.4. CW treatment is usually the result of a combination of abiotic degradation,flood tray microbial degradation, sorption, and phytoremediation, depending on the specific contaminant and the design of the CW cell. 

There has been some research focused on the treatment of fiproles and pyrethroids by CWs in urban and agricultural settings. A recent study of a treatment wetland receiving treated effluent from a WWTP found that the CW removed 44% of fipronil and 47% of total fiproles. Another study of an agricultural drainage wetland observed removal rates of 52-94% for pyrethroids. It is clear that CWs have the potential to remove urban insecticides such as fiproles and pyrethroids from surface water, but the precise mechanisms and ideal conditions for their treatment remain unclear. Wetlands are among the most biologically productive ecosystems onEarth, allowing them to transform many ubiquitous pollutants at relatively low cost. For these reasons, CWs present an ideal option for the treatment of fiproles and pyrethroids in surface water. Stormwater and wastewater effluent are contaminating urban streams with toxicologically relevant concentrations of urban-use insecticides. It is essential to study novel water treatment strategies to improve the quality of surface water that has been polluted by storm water and wastewater discharge. Alternatively, identifying sources of urban insecticides and modifying their application practices may serve to reduce the mass loadings of these compounds in surface runoff. If water quality is not improved, sensitive aquatic organisms will continue to encounter adverse effects, potentially causing detrimental effects on ecosystem services and local food webs. Furthermore, water reuse initiatives may uncover as-yet-unknown human health consequences presented by use of recycled water containing insecticides. More information is needed to develop strategies to reduce insecticide concentrations being deposited into surface water via storm water and wastewater treatment.

It is imperative to understand the urban sources of insecticide contamination to reduce runoff transport of these contaminants by altering application practices. Furthermore, CWs hold a great deal of promise for reducing urban insecticide concentrations in storm water, wastewater, and surface water. It is vital to assess the removal efficacy of fiproles and pyrethroids passing through CW treatment systems. Pursuing these goals will assist in the development of improved mitigation and treatment practices for water contaminated with urban pollutants. Urban-use insecticides are primarily applied to eliminate structural pests such as ants, termites, roaches, and spiders. Extensive outdoor urban pesticide use is a cause for concern since surface runoff of these biologically active compounds into urban waterways following rainfall or irrigation has the potential to exert adverse effects in non-target aquatic organisms. The high incidence of impervious surfaces in urban environments, which may account for 50-90% of residential and commercial surface areas, prevents infiltration of water into soil and facilitates runoff and offsite transport of pollutants such as pesticide residues to urban streams. Perpetual urban expansion is projected to triple the global urban land area between the early 2000s and 2030 , exacerbating the issue of urban pesticide runoff and contamination to surface water. Fipronil is a moderately hydrophobic phenylpyrazole insecticide applied for a multitude of urban pest control purposes by licensed applicators. Applications include perimeter and underground injection treatments to manage ants and termites, veterinary flea and tick treatments, insect control baits, and landscape maintenance. After application, fipronil degrades primarily into fipronil desulfinyl, fipronil sulfide, and fipronil sulfone following photolysis, reduction, and oxidation, respectively. According to the Pesticide Use Reporting database, over 24,000 kg a.i. of fipronil were applied in 2016 in California, where use is confined to urban areas. Consequently, fipronil and its degradation products are frequently detected in surface water, such as in regions like California.

In a study of runoff discharge collected from residential storm drain outfalls in Southern and Northern California, median total fiprole concentrations were found to be 204-441 ng L-1 and 13.8-20.4 ng L-1, respectively, and 90th percentile total fiprole concentrations were 338-1169 ng L-1 and 62.6-65.3 ng L-1, respectively. In a recent study surveying urban creeks, rivers, and storm drain outfalls, fipronil sulfide, fipronil sulfone, fipronil desulfinyl,ebb and flow tray and fipronil were detected in 8%, 63%, 65%, and 75% of samples, respectively. The presence of fiproles in surface water is significant, since these compounds have been shown to exert toxic effects in a variety of non-target aquatic organisms with an LC50 of 140-320 ng L-1 for Palaemonetes pugio, Neomysis americana, and Simulium vittutum, and an EC50 of 32.5 ng L-1 and 7-10 ng L-1 for Chironomus dilutus. Therefore, in regions such as California, fiproles are ubiquitously present at toxicologically relevant levels in urban surface water ecosystems. However, little is presently known about the principal sources of fiproles in urban surface runoff, which hampers watershed-scale risk assessment as well as the development of effective strategies for mitigation. In the context of this study, runoff sources are defined as environmental matrices that contribute fiprole residues to surface runoff following known pesticide application. Primary objectives of this study were to characterize the affinity of fiproles for common urban matrices, to investigate persistence of fiproles in urban compartments, and to identify potential sources of fiproles in urban runoff. Bench sorption experiments were conducted for fiproles in urban dust, soil, and concrete. In addition, runoff water, urban dust, soil, and concrete wipe samples were collected from multiple fipronil-treated homes in Southern California from July-December 2016. This study represents the first systematic investigation of potential runoff sources of fiproles in urban residential environments. Results may be used to direct mitigation efforts of these compounds and to guide future pollution prevention initiatives for similar contaminants in urban watersheds. Fipronil , fipronil desulfinyl , fipronil sulfide , and fipronil sulfone were obtained from the United States Environmental Protection Agency’s National Pesticide Standard Repository.Isotopically labeled fipronil was purchased from Cambridge Isotope Laboratories. Solvents and other chemicals were of pesticide or GC-MS grade.

Small concrete cubes used in the sorption isotherm experiment were made in the laboratory via a process described elsewhere. Sorption isotherms were constructed over a period of five days by mixing concrete cube, urban dust, or the sandy loam soil samples in aqueous solutions simultaneously spiked with all four fiproles at 5, 20, 50, 100, 200, or 500 μg L-1. NaN3 was amended at 200 mg L-1 in the solution to suppress microbial activity and CaCl2 was added at 100 mg L-1 to adjust the solution’s ionic strength. Samples were prepared by adding 10 mL of the solution to a 40 mL amber glass vial containing one concrete cube, 2 g of dust , or 2 g of soil and mixing on a horizontal shaker at 120 rpm for 5 d. No statistically significant fiprole losses occurred over the course of the incubation. Sample vials were centrifuged at 1500 rpm for 30 min to separate the aqueous and solid phases. Aqueous phases were collected and extracted with 10 mL hexane by mixing on a horizontal shaker at 200 rpm for 30 min a total of two times. Solid phase samples were mixed with 1 g NaCl and 4 g anhydrous Na2SO4 and then extracted with 10 mL of 8:2 acetone:hexane by mixing at 200 rpm for 30 min a total of two times. The solvent extract of the aqueous or solid phases was evaporated to dryness under a gentle stream of nitrogen at 40 °C, and the condensed extracts from solid phase samples were subject to clean up using Florisil cartridges according to the procedure listed in the supporting information. Cleaned extracts were evaporated to dryness at 40 °C under a stream of nitrogen, and all extracts were reconstituted in 1.0 mL hexane before analysis. Five homes in Riverside, CA, received standard perimeter spray treatments of a professional fipronil formulation diluted from a suspension concentrate per the label instructions in July 2016, and the treatment was similar to the conventional treatment described in Greenberg et al.. Pre-treatment runoff concentrations of fiproles revealed low-level background contamination of all four compounds. However, these concentrations were two to three orders of magnitude lower than 1 d runoff concentrations and were similar to 153 d runoff concentrations. Therefore, this background contamination likely did not impact the conclusions presented in this study. Fiproles in runoff, soil, urban dust, and concrete were monitored at five time points during July-December 2016. Weather during this period was very warm and dry until light rainfall occurred in December prior to the collection of the final set of samples. The results reported herein were likely not impacted by this rainfall since the final samples still contained fiproles at concentrations similar to those measured at the previous time point. Runoff samples, one from each home at each time point , were collected by building a temporary water berm approximately 6 m away from the home’s garage door. Berm dimensions and composition were described in detail in Greenberg et al.. Each driveway was rinsed with a hose to generate a volume of runoff sufficient for the collection of a 1 L water sample in an amber glass bottle. Sample bottles were transported to the laboratory on ice within 3 h and stored at 4 °C until extraction. Extraction of runoff water samples was adapted from the methods in Gan et al.. Briefly, water samples were combined with 30 mL NaCl and liquid-liquid extraction was performed with 60 mL dichloromethane a total of three times. Extracts were then evaporated using a Büchi RE121 Rotovapor , solvent exchanged into 9:1 hexane:acetone , and cleaned up by loading into a Florisil cartridge preconditioned with hexane and eluting with 9:1 hexane:acetone. Cleaned extracts were evaporated to dryness under a gentle stream of nitrogen at 40 °C and reconstituted in 1.0 mL hexane. At each house and sampling time point, the following urban solid samples were simultaneously collected: one soil sample from the home perimeter, two dust samples from paved surfaces, and two concrete wipe samples from concrete walkways near the driveway. Soil samples from the 0-3 cm depth were collected into 40 mL amber glass vials. Total organic carbon content for the home soil samples was determined to be 3.80% using the aforementioned method. Urban dust samples were collected using a method similar to Richards et al.. Briefly, dust was sampled using a handheld vacuum fitted with a metal housing and mesh containing a Whatman GF/A glass fiber filter paper. The area to be vacuumed was marked off using a 0.5 m2 frame. If additional dust was needed to obtain a sufficiently large sample, the frame was moved to an adjacent region of the concrete surface for vacuuming. Filter papers were subsequently removed from the vacuum and stored in 40 mL amber glass vials. The total organic carbon content of the urban dust samples was measured to be 6.54% utilizing the previously described method. 

There are multiple technologies involved in the entire water treatment process

The LACER study used a two-tiered framework to investigate total employment, with tier one industries being directly related to water industry, and tier two being industries that are impacted by water, such as landscaping, architects, or wholesale chemicals. To understand an industry’s regional intensity, economic geographers often use locational quotients of sectoral employment. Various government agencies compile economic data and use the North American Industry Classification System to classify business establishments according to sector, or type of economic activity. An industry locational quotient compares the number of people employed in an industry in a region with the national employment average. A location quotient of “one” will mean that a region has exactly the same number of people as the nation as a whole. A high location quotient means that the region has many more people employed than the national average. For example, Hollywood is Southern California’s most famous industry cluster as the nations employment in the motion picture and video production industry—NAICS code 51211—generates a location quotient of a 12.8, meaning that the region has 12.8 times the national average for employment in the industry . In 2010 nationally, there were 197,627 employed in the motion picture and video production center. The Los Angeles MSA alone had 101,439 employed in the local MSA . An MSA is a Metropolitan Statistical Area, which is in this case spans from Santa Ana to Los Angeles. In comparison to motion pictures,blueberry grow pot the highest concentration in water related fields is 2.5 in electronics manufacturing, and plastics materials wholesaling respectively.

Neither of those are very central to the water industry, although electronics manufacturing does include control instruments used in the water industry . Even the next highest, fluid power and hose fitting, is only tangentially related to water as most manufactured parts are used in motor assembly. The region does, however, have a very strong presence in sewage treatment facilities, and plastics product manufacturing, which are both important to water technologies. My investigation of the Los Angeles CSA excludes the San Diego Region, where presumably the industry is just as strong, if not stronger. For example, an estimated 3,000 people work for companies in the San Diego area supplying equipment or logistical support just for desalination plants alone . The San Diego desalination industry earns an estimated $350 million in annual revenues . The global water reuse industry really took off around the year 2000, with global capacity nearly quadrupling by the year 2010. The industry analyst group, Global Water Intelligence, forecasts that reuse capacity will double again by 2016 and grow nearly 20% annually . Globally, half of all reused water is used for outdoor purposes: agriculture , landscaping , and environmental restoration . Industry follows with 20% of reused water, followed by various non potable uses . Less than 3% is used for drinking water . In sheer volume, the United States is the global leader, reusing 14% of its wastewater. Followed by China who also reuses roughly 14%, but only half the quantity. However in percentage of use, Kuwait and Israel dwarf the world, reusing 91% and 85% respectively. They are followed by Singapore , Egypt , Australia . Like the water industry itself, the water reuse industry is a difficult one to narrowly define. Obviously, the industry has a very close overlap with the wastewater treatment industry.

In addition to the water and wastewater utilities, there are the various service providers and the miscellaneous material suppliers , and also the speciality suppliers of specific physical and biological wastewater treatment equipment. In today’s world where many utilities are often privately run, there are also firms that operate the treatment plants, such as Berlinwasser International, CH2M Hill OMI, Metito, Suez Environment, United Utilities and Veolia Water. In this investigation of the innovation systems I have chosen to focus on the engineering firms involved in the building wastewater treatment complexes and the specific manufactures and suppliers of the advanced wastewater treatment systems necessary for urban water reuse. For it is these firms that are at the forefront of water reuse innovation.Here I wish to discuss the most important ones which take place in the advanced processes of the tertiary and quaternary treatment stages which are necessary for water reuse. These are the heart of the water purification process and the firms which manufacture these materials will be global winners as the industry grows. In order to identify these firms, I have loosely classified them under the following three categories: advanced membrane manufacturers, advanced disinfection manufacturers, and advanced wastewater supply firms . The major technologies involved in advanced membranes are Microfiltration, Reverse Osmosis, Nanofiltration, and Ultrafiltration. Microfiltration is a separation process that uses polypropylene hollow fibers—essentially tiny straws—to filter the water. Reverse Osmosis membranes are made of semi-permeable plastic polymer and water is forced through under high pressure. Nanofiltiration is similar in that it relies on osmosis but uses even smaller filters than microfiltration. Electrodialysis is an electrically-driven technique that can be used at the tertiary stage and is often employed in desalination plants.

Disinfection tools, such as high-intensity ultraviolet light, and chemical methods, like hydrogen peroxide, disinfect and destroy any trace organic compounds that may have passed through the reverse osmosis membranes. Engineers who may read this report will likely be disappointed at these gross simplifications, and omissions of other important technologies relevant to the water reuse process. They might also note that there are many more exciting emerging technologies currently being researched at labs throughout the world. It is highly likely that some of these emerging technologies will revolutionize the industry, but I am interested in the odds that those technologies might be developed here in California. The following table identifies the leading global water reuse technology manufacturers and suppliers. As one might expect in a highly urbanized dry region with large endowments of physical and human capital, Southern California has a fairly vibrant water technology industry. Over half of the 30 leading reuse technology suppliers,hydroponic bucket have a direct local presence in the state and many more have formed partnerships with local firms or distributors. Industry analysts have estimated that there are over 3,000 people working in the southern California region that supply or support water reuse or desalination equipment. The industry brings in over $350 million in annual revenues . At least six of the major firms—Siemens Water Technologies , Trajan Ultraviolet , Hydronautics, and Xylem, Pall Corporation, and Koch Membranes—have facilities within the state. Interestingly though, Hydronautics, is the only major firm with headquarters in the state, located in Oceanside. Advanced disinfection technology leader, Trajan Technologies, also operates the local Aquafine Corporation. Trojan purchased local US Peroxide, LLC of Laguna Niguel, California in 2003 . The ITT corporation spinoff, Xylem—named for the plant tissue water transport system—specializes in fluid technologies and also operates multiple facilities in Southern California. Most notably, the global behemoth Siemens Water Technologies was actually a local firm until relatively recently. The company that became US Filter was founded in El Monte, California in 1953 . US Filter was one of the first major water industry conglomerates, acquiring over 60 companies before being purchased by French giant Vivendi. In 1997, US Filter became the United States’ first billion-dollar firm specialized in water and wastewater treatment systems . At the time, Fortune magazine ranked USF among the 100 fastest-growing companies in the world, with compound annual revenue growth of 66% between 1991-96. In turn, it was sold to Siemens in 2004 . The headquarters was then moved to Pennsylvania. The company still has major operations in California, but it is noteworthy that the firm’s major new global water research and development facility is being developed in Singapore, rather than California . Many of the largest global technology conglomerates—including Siemens Water Technologies, but also GE Water, Veolia, and most obviously the new $3.2 Billion water focused firm Xylem, have made water reuse central to their business future. The name Xylem literally means the part of the plant that draws water from the ground. Some analysts speculate that trusted global brands like GE or Siemens will reassure the public that water reuse is a safe technology . These firms will also likely lower the cost of water reuse technologies which will further accelerate the growth of the market. Several engineering firms, notably CDM and MWH Global, have also focused their operations on becoming the market niche leaders. Both firms were involved in the construction of GWRS. The international market is highly fragmented with many speciality contractor/consultants in addition to large numbers of local firms. Most large service firms rely on armies of local subcontractors to actually do most of the construction . There are a relatively small number of global leading firms which tend to dominate the large, or particularly complicated infrastructure projects, such as England’s Chunnel, or Boston’s Big Dig.

These market leading firms—and their employment base—tend to be concentrated in North America and Europe. However, with the rapid rise of the rest of the world, one can expect to see a growing diversity with more competition coming from abroad. Indeed, local firms in East Asia, the Middle East, and Latin America are already taking the largest share of their domestic projects, and are beginning to compete for projects in the US and Europe as well. California in particular, has a very high concentration of engineering firms. It would be an interesting scholarly investigation to document the creation agglomeration. It likely reflects the region’s early strength in major construction projects in mining, water, and petroleum industries. And of course, the region was an early home to major transportation networks such as railroads, ports, and the world famous freeway networks. The explosion of the defense industry in California coincided with the rise of the US global military domination—and California firms accompanied the military abroad to build major infrastructure projects. Of the five American firms that dominate the list, all have a strong history in California. For example, CH2M Hill became famous for its work on a Lake Tahoe wastewater project , and Fluor Corporation was founded in California before moving to Texas along with the oil industry . Interesting, neither of California’s largest global firms, Bechtel or URS Corporation are strong in water infrastructure projects, with Bechtel claiming zero revenue from either water supply or wastewater projects, and URS claiming less than $90 million in water related revenue—a far cry from the firm that made its name building the Hoover Dam . When looking at the largest water supply and infrastructure firms in the world, one may find that California continues to play a huge role. Seven of the top ten firms in water infrastructure have a presence in California, and nine of the largest wastewater infrastructure firms have offices in the state. In fact, the two largest wastewater firms, Los Angeles-based AECOM and Colorado’s MWH Global, have major offices in the state. MWH Global is a firm that has dedicated itself to the water infrastructure industry, with water and wastewater projects making up 43% and 41% of all revenue, respectively—over 80% of all firm work. This is very notable as MWH Global has a major water testing laboratory facility, MWH Laboratories, based in Monrovia in Southern California. The facility employs over 100 people and is the largest potable and recycled water focused laboratory in the country . Of particular importance to water reuse plant construction are AECOM, Arcadis, Black & Veatch, CDM, CH2M Hill, TetraTech, and MWH . AECOM and Tetra Tech are both based in Southern California while CDM, CH2M Hill, Black & Veatch, and MWH all have strong representation in the state. MWH Global has a major water testing laboratory in the state . Additionally, many slightly smaller local firms such as Brown and Caldwell or Parsons Corporation are still very important players in the water engineering market . Globally, water reuse projects are generally contracted and built using a design-build model where the project is owned and operated by the municipality . However, innovative financing agreements and Build-Own Operate , and Design-Build-Operate where the building firm own the facility, are growing in popularity . This will have implications for the engineering market as it would favor large multinationals that have operations expertise, such as Suez or United Utilities.

Metropolitan is the largest distributor of treated drinking water in the United States

Many water special districts receive property taxes in order to support their operations, while others are funded primarily through user fees. Some special districts can also issue local general obligation bonds backed by property tax levies in order to fund capital investments . In some areas of California, there are also private utilities that provide these services. Private water companies are closely regulated by the Public Utilities Commission to ensure responsible behavior . For example, strict requirements of justification must be met before they are allowed to raise their prices . The sheer number of water policy authorities greatly complicates the state’s recent efforts at integrated water management. In recent decades CADWR has made strides in moving to regional water management. Today much of the water resource management is divided among 9 sub regions which are defined by the natural geography rather then political borders . In 2002, the legislature created the Integrated Regional Water Management Program to promote inter agency cooperation . Under IRWM, local agencies together submit to the state a regional water management plan that comprehensively addresses water issues—including water supply reliability, water use efficiency, storm water, groundwater, flood control, etc. These projects then become eligible for funds from water bonds. IRWM is jointly managed by the Department of Water Resources and the State Water Resources Control Board . Many IRWM projects have been funded by the successive water bonds approved since 2002.

Although the program has been hailed as a step towards integrated water management,hydroponic gutter my interviews indicated that agencies have found its implementation to be difficult. One project manager complained about its complexity and the uncertainty of funding. Regardless, people agreed that it has led to some improvement in inter agency cooperation . In the Western United States, water agencies have historically been the central agents in water management. The journalist Robert Gottlieb and geographer Margaret Fitzsimmons, have together written a history of California agencies arguing that the relatively undemocratic water agencies have often served as a “hidden government” directing the growth of the state from behind the scenes . Gottlieb and Fitzsimmons focus on the Metropolitan Water District of Southern California , the regional water wholesaler that is responsible for more than half the regions water supply. MWD is a special district regional wholesaler that delivers water to 26 member public water agencies—14 cities, 11 municipal water districts and one county water authority. These agencies in turn serve more than 300 cities and numerous unincorporated communities in the six counties of Los Angeles, Orange, Riverside, San Bernardino, San Diego and Ventura . MWD was established by an act of the California legislature in 1927 and incorporated in 1928 . MWD’s stated mission is to: “provide its service area with adequate and reliable supplies of high quality water to meet present and future needs in an environmentally and economically responsible way” . In a region with world famous water agencies such as the Los Angeles city owned Department of Water and Power , MWD is the major water agency of Southern California.

The district imports water from the Colorado River and Northern California—through contract with the State’s DWR—to supplement local supplies. MWD’s 2013 annual budget is projected to be $1.78 billion . It owns and operates an extensive system of water infrastructure including 16 hydroelectric facilities, nine reservoirs, five water treatment plants—four of which are among the 10 largest plants worldwide— and nearly 1,000 miles of large diameter pipes . MWD contracts with thousands of firms to build, manage, and supply this vast infrastructure . Metropolitan is governed by a 37-member board of directors representing the 26 member agencies. The board operates under a weighted voting system, with voting share determined by assessed property valuation . MWD’s existence has allowed growth throughout the region regardless of local water conditions. New developments simply have to hook up to the MWD system and purchase water imported from the Colorado River or northern California. The MWD’s model has been remarkably successful in procuring water and promoting regional growth. Since MWD’s founding, its service area has exploded from 625 square miles to approximately 5,100 square miles . However, it is not without significant challenges. In particular, late comers to the MWD cooperative, such as San Diego County Water Authority , have grave concerns about their water security, as they are last in line should significant shortages ever occur. San Diego received as much as 95% of its total water supply from MWD as late as the early 1990s . To alleviate this risk SDCWA has recently bypassed MWD to purchase water directly from Imperial valley farmers in order to diversify its water supplies. However, SDCWA must use MWD’s infrastructure in order to “wheel”, or move, the water, and MWD charges for this separately—at a price that SDCWA objects. This has led to several clashes between MWD and SDCWA in the past and is a major source of simmering tension today. In fact, in April of 2012, SDCWA filed a lawsuit to stop the MWD from raising its water rates, arguing that San Diego is being unfairly penalized by the increase. SDCWA not only claims discrimination, but claims it is being conspired against by other agencies . SDCWA has begun a very loud public campaign against MWD.

The water economist, David Zetland, wrote his dissertation on the earlier 1995 dispute between SDCWA and MWD’s other member agencies. Zetland points out that MWD’s cooperative structure is not conducive to settling disputes among members, since conflicts over policies are determined by median votes which are heavily weighed towards early members . Zetland argues that MWD’s structure was much more effective in its early history when water was abundant and costs were subsidized for most members,hydroponic nft channel but today as the region faces potentially declining supply, it is no longer effective as water is growing more expensive and therefore should be priced to reflect its true current costs. Furthermore, Zetland found that despite MWD’s great successes in promoting regional growth it has been remarkably inefficient in its allocation of water . MWD charges the same price for delivery anywhere, regardless of delivery costs. It mixes fixed and variable costs into one price, and sets that price a year ahead of time without knowledge of the future water supply conditions. This inevitably leads to some inefficiencies as some regions get water for bargain rates compared to the costs of extracting it, while others pay much more dearly. However, this cooperative structure has also succeeded in promoting regional growth, as developers were ensured of a guaranteed water supply at a stable price regardless of conditions. In recent decades, MWD has begun revising its role from strictly procuring additional supplies to also helping member agencies develop increased local water resources through water conservation, recycling, and water storage. In addition to management expertise, it provides financial incentives to its member agencies for local investments in water management projects and programs. MWD has also established groundwater banking partnerships and water transfer arrangements in order to secure additional supplies . Through a partnership with the Bureau of Reclamation, the MWD administers an Innovation Conservation Program . ICP has annual research grants for technologies and innovative management approaches that promote water conservation . Additionally, MWD has several business outreach programs designed to educate businesses about contracting and supply opportunities . Recently, after recommendations from the Blue Ribbon Committee, MWD has slightly expanded its role to include fostering local regional economic development and spur technological innovation through the introduction of a “Managing Your Innovation” program. The program has several goals, to research and promote innovative solutions to water issues, to help innovators commercialize their products, and to build regional networks in order to promote knowledge spillovers . Managing Your Innovation hosts quarterly events, bringing inventors together with entrepreneurs, financial experts, and government agencies. The program is a much smaller version of other successful innovation initiates that have worked elsewhere to promote innovation, such as Singapore’s SWA. However, the tiny scale of these programs—simply a few annual meetings in thecase of Managing Your Innovation—demonstrates that local business development is not a major priority of local water agencies.

My interviews strongly collaborated this finding, despite the laments of MWD employees who were actively working to improve the local business climate. They agreed that it was not a primary goal of the organization. One entrepreneur with a lauded efficiency product who was interviewed complained of the difficulty reaching the right people They pointed to the sheer number of local agencies and the task of tracking down the appropriate people to speak with, and that many were unwilling to take chances on newer products, or really any chances at all. They also noted the dated websites of MWD and other regional agencies . There are several additional points one should take away from this brief discussion of California’s water governance. First, water prices are often subsidized. For example, water end-users in Southern California often do not pay for the Federal or State agencies that are working to procure their water, nor do they regularly pay for the infrastructure that moves the water—although maintenance costs and new infrastructure are generally covered. Even projects where local agencies built and financed the initial infrastructure, such as LADWP’s Los Angeles Aqueduct, those capital costs were paid long ago, resulting in current prices that are far below replacement costs. This is a major dampener to developing new sources, or new technologies to more efficiently use our current supplies. Next, even with regional cooperative organizations such as MWD and state efforts to coordinate diverse entities such as the IRWM program, the incredibly complicated water market leads to a multitude of water pricing regimes. Some water districts have a protected groundwater supply that is cheap to pump, and thus, might charge very cheap prices. Others might not have groundwater at all, or groundwater which is heavily polluted, and they are under court order to clean the water resulting in very high local prices. This results in vastly divergent water prices which makes it difficult for entrepreneurs to make return on investment decisions, and thus, limited potential investment in new technology . Some local agencies have implemented effective tiered pricing regimes that effectively promote conservation and efficiency, while many others have not. Agencies in politically progressive areas tended to be the most advanced in this regard . An additional point needs to be made about water agencies in general, and that is that they are paid by volume of water produced. Therefore, they have little incentive to invest in conservation measures, or in new technology which may make them more efficient, since every reduction in water use will result in a reduction of revenue. During the energy crisis of the 1970’s, the State of California recognized the perverse incentives that these “irony of conservations” gave energy firms. Therefore, the state began the process of “decoupling” natural gas and energy revenues from volume of sales in order to increase investment in conservation and efficiency . This has widely been credited with spurring California’s renewable energy and clean technology industries. . Numerous critics, such as Ingram and Fraser , have argued that water agencies are intrinsically path dependent on heavy infrastructural solutions at the cost of ignoring other viable solutions. Path dependency refers to the limiting of options that naturally occur as a result of previous decisions. Today, our water agencies already have invested in water infrastructure and are staffed by professional engineers trained to support the infrastructure. They are managed by leaders who are both straddled with the long term repayment of capital costs and under pressure by current vested interests in continuing business as usual. Therefore, it is not surprising that water agency leaders are most likely to make new decisions that utilize that infrastructure rather than promote innovative solutions. There is a large volume of critical literature that chronicles the process of institutionalizing the paths that serve to benefit the long term interests of certain participants. For example, the aforementioned Gottlieb and Fitzsimmons collaboration that pointed to political benefits for land developers. In practice, this often results in the adoption of technological solutions, usually heavy water infrastructures, over alternatives.

RIS tries to identify why some regions economies are developing more than others

Through policy, infrastructural investments, and demand management, government can either nurture or choke off the growth of a cluster . All elements are crucial to a successful cluster however it is often easiest for governments to manage demand, raising taxes or creating preferential treatment policies is faster and easier to do than building an industry or a research institution. In the case of Southern California’s Water industry, providing water to a populous semi-arid urban region establishes sophisticated demand. In meeting these demands, local water technology firms could prosper; however, the organizational structure of the markets might inhibit this advantage. Porter has explicitly argued that environmental conditions—and the legislative controls to fix them—can serve as the impetus that initially spurs innovative industries . It is important to recognize that traditional industrial economic clusters are not intrinsically centers of innovation, static or mature industries that no longer innovate will also often agglomerate doe to the cost saving benefits agglomeration economies. These industrial nodes will still give a region a competitive advantage, but they are often in lower value goods such as industrial products or mature manufactured goods where the opportunity cost of potential economic gains from further innovation is outweighed by the benefits of lower cost inputs—materials and labor.. Under freer trade regimes it tends to be these types of cost saving agglomerations are the most easily outsourced to cheapest global locations .

In rapidly growing technological industries that require constant innovation, economic geographers have documented significant benefits from competition and knowledge spillovers. In fact clustering appears particularly critical to industries that are rapidly evolving . Complex industries those that require industry R&D,ebb and flow table university research and skilled labor as critical inputs . There is a lively academic debate as to what the initial impetus behind innovative clusters formation . Theories such as Porter’s would point to factor endowments for explanations. While others have narrowed this somewhat and looked to individual agents or networks for explanation. For example Feldman and Francis have studied entrepreneurs in the Internet and biotechnology clusters in washington D.C. They argue that individual entrepreneurs are generally the key agents behind innovative agglomerations . Thriving centers of innovation usually have industrial agglomerations as their base, but they also have strong regional institutional assets such as world-class research universities, multiple financing options, or established networks of entrepreneurs . Additionally, these regions have large numbers of highly capitalized firms competing with one another to develop the ‘next big thing.‘ The presence of human capital is particularly important. Ausdrestch and Feldman write that entrepreneurs tend to “originate in locations with strong knowledge assets” and note that these areas also correlate with the highest economic growth. The combination of human capital, research capacity, and inter-firm competition in close proximity strongly promotes innovation. Scholarship has also found a strong correlation with regional R&D expenditures and innovation, with expenditures made by private companies having a larger role then universities . Regions with higher private R&D expenditures tend to have more innovation in larger firms, while regions with higher university expenditures tend to have more innovative small firms .

Zucker and Darby found a strong correlation of start-ups with researchers, but in their case they found that the presence of certain “star scientists,” are the most important element. Regardless of the mechanisms it is clear that Jacobs’ insights into externalities and economic agent diversity seem to be valid. The most popular example of a thriving innovative cluster is modern Silicon Valley, which owes its origin to the presence of a simple cluster of small tech firms loosely centered on Stanford University and eventually growing into the global technology center that it is today . Today the region continues to have a vast diversity of entrepreneurial firms, both large and small. A healthy ecosystem with both universities and large and small firms all investing in R&D seems to yield the strongest innovation systems. Knowledge spillovers have ample opportunities to occur in these systems. In fact these regions are growing even more innovative. For example Sonn & Storper, found that United State’s regional production of patents is growing even more concentrated in certain innovative regions. Michael Storper has argued that regions with strong “relational assets,” or untraded inter dependencies, are the regions where innovation is most likely to occur. Relational assets include local tacit knowledge, face-to-face interchange, social habits and norms, institutions . Storper and Venables have developed the idea of “buzz” in order to try and understand what is going on in these regions. It is clear that something is happening at the regional level and that spillovers are happening, however, the individual mechanisms are unclear. Critics argue that nebulous terms such as ‘relational assets’ are “fuzzy”—in the words of development scholar Ann Markensen . All agree that further scholarship into the individual mechanisms of knowledge transmission is needed . Innovation Systems scholarship attempts to circumvent these difficult to study interactions while seeking to understand the larger context in which innovation happens.

Schumpeter was one of the first innovation scholars to recognize that innovations often clustered around certain industries or time periods . He speculated that these clusters affected business cycles and could generate waves throughout the economy . Seeking to understand how innovations create dynamic interactions between geographical and sectoral clusters and temporal economic waves led scholars to turn to systems theories for explanation. The fact that learning is key to innovation and learning occurs through dynamic relationships and networks only further serves to reinforce the need to seek out dynamic explanations to understand how innovation happens . Systems engineers define a system as “a set of interrelated components working toward a common objective.” They are made up of components, relationships, and attributes . Components are the operating parts of a system, relationships are the linkages between them,flood table and attributes are the properties of each. In mechanical systems components might be the physical parts that make up a machine. In social systems components are generally actors such as firms, individuals, or organizations, but they can also be institutions such as patent laws. To develop theories of systems innovations scholars looked to evolutionary theory for insights into learning and combined these with institutional theories as a basis for systems theories of innovation. Evolutionary theory – with its focus on dynamics and the process of transformation – provides an analytical framework to understand change. Systems approaches emphasize that learning is both an individual and a collective act. This means that learning will occur not only within firms, or individual institutions, but potentially anywhere in the system . Thus an innovation system can be defined as all institutions and economic structures that affect technological change: competing firms, organizations, universities, research centers, government agencies, legal and financial institutions etc. Furthermore each of these will be characterized by “specific learning processes, competencies, beliefs, objectives, organizational structures and behaviors” . It almost goes without saying that the development of an innovation system occurs over decades . There are several different approaches to the study of innovation systems but in general they are defined by either geography, notably National Innovation Systems , Regional Innovation Systems , or by technology, principally the Sectoral Innovation Systems .

Other scholars have refined their approaches through the use of a narrower lens. For example Carlsson and Stankiewicz have pioneered a technological systems approach, a dynamic approach which attempts to follow a technology rather then a sector, or geographical region. Others such as Håkansson have also focused on technologies but linked to their studies on industrial networks. These systems approaches share similar goals but have different boundaries and often employ differing methodologies. Edquist and Johnson , Lundvall and Nelson have all pursued the study of national systems of innovation , but have placed emphasis on different aspects of the systems. For example, Nelson’s fifteen-country analysis identified research and development investment as a critical component of successful NIS . Nelson emphasizes that the economic incentives for innovation have to be present while sources of research and development financing must also exist . Porter’s studies on the competitiveness of industrial agglomerations are also often placed in the NIS literature—although his focus tends to be more on economic performance rather then pure innovation . Porter and Nelson share a focus on market demand as the critical component to shaping innovation investment . In contrast, Edquest and Johnson have often focused their NIS analysis on a nation’s institutional makeup . In their comparative studies of the European industrial regions, most notably a cross comparison of Badden Wurttemburg Germany and Wales, Cooke and Morgan found that Porter’s diamond model of interconnected heterogeneous firms failed to explain why one region succeeded while others failed . Research into identifying the causal factors behind such studies later became the genesis for a more narrow regional systems approach . The RIS approach places a much stronger focus on cultural factors that build trust and social network relationships . This approach closely aligns with the learning regions and relational assets scholarship . It also aligns with the general understanding that urban regions are the critical key nodes in today’s world . An RIS approach recognizes that regions are subservient to the National system which sets research priorities and legal institutions, but believes regions have some sway in those decisions ; the more decentralized a national system is, the more sway powerful regions will have.RIS approaches emphasize five principal concepts: region, innovation, network, learning, and interaction . A region in an RIS is not necessarily politically bounded but is defined by a shared trust and collective order Innovation looks for measurements of innovation, or the successful commercialization of knowledge. Networks seek to identify cooperation-based networks and analyzes knowledge flows, including external knowledge flows. Learning seeks to identify if tacit learning is occurring and if organizations are incorporating that knowledge successfully. Interaction aims to measure if there are opportunities for learning from each other and external groups. A region can be said to become a regional innovation system when it forms a dynamic cluster of firms learning through interaction with one another to innovate. Like Cooke and Morgan’s aforementioned study much of the RIS scholarship has been dedicated to comparisons among ostensibly economically similar regions but seeks to explain differences leading to innovation or economic performance gaps . Some of the mos relevant to this study have looked at why Europe has traditionally lagged behind the United States in innovation. For example Crescenzi et. al, found institutional and cultural barriers that prevent interactions, and thus learning, and are preventing effective market integration. But perhaps most notably Cooke , a key pioneer in the RIS field who has authored numerous comprehensive studies of Europe, identifies Europe’s over-reliance on the state for many of the functions of an innovation system which in the United States are often undertaken by private entities. He believes that incentives for innovative success are better aligned with the profit motive. By studying the functions of innovation systems it is hoped to gain an understanding of how similar results and technological innovation, can come about in vastly different institutional environments. A function can be carried out by a particular set of actors in one innovation system through a uniquely specific form, while the same function might be carried out in a different form by an entirely different actor in a similar system but in a different place or time . Management scholar Carlsson identifies three elements that all systems frameworks should address. First, it is necessary to specify the components of the system and their boundaries. Second, the relationships between the components need to be analyzed. Finally, the characteristics of the components need to be understood to determine the systems performance . The basic components are Malerba’s five building blocks discussed above: actors and networks, knowledge and technologies, and institutions . When it comes to understanding how to analyze these components several comprehensive attempts to identify measurable functions have been made . For example, in a paper titled simply “Functions in Innovation Systems,” Johnson conducted a thorough literature review to derive eight basic functions that all innovation systems share.

The salts mass was later pushed deeper due to high rainfall

The trees were managed and fertilized following current commercial practices, although the amounts of applied fertilizer varied. The soils of the site are alkaline , with red sandy loam from the surface to 90-cm depth, and loam below . The total organic carbon content is very low in the first 30 cm, and below 0.25% in the remainder of the root zone. The climate is characterized as dry, with warm to hot summers and mild winters. The total rainfall during the experimental period from 21 August 2006 to 20 August 2007 was 187 mm , which was slightly below average for the area. Potential evapotranspiration is normally high and equal to 1400 mm per year. Mild frost conditions occur during the winter months. Weather data were collected from an automated weather station located within the research station.The HYDRUS-2D software package was used to simulate the transient two-dimensional movement of water and solutes in the soil. This program numerically solves the Richards’ equation for variably-saturated water flow, and advection–dispersion equations for both heat and solute transport. The model additionally allows specification of root water uptake, which affects the spatial distribution of water, salts and nitrate between irrigation cycles. The solute transport equation considers the advective–dispersive transport in the liquid phase, as well as diffusion in the gaseous phase. The theoretical part of the model is described in detail in the technical manual and in Šimu˚ nek et al. .The water contents measured weekly by EnviroSCAN at different depths at a horizontal distance of 10 cm from the dripper,berry pots and corresponding values simulated by HYDRUS-2D during the entire growing season are illustrated in Fig. 5.

The measured water contents remained similar at 10 and 80 cm cm, fluctuated between 0.1 and 0.2 cm3 cm 3 at 25 and 50 cm, and stayed higher than 0.2 cm3 cm 3 at 110 cm soil depths throughout the growing season, indicating a favourable moisture regime in the crop root zone. However, the simulated water contents were lower than the measured values during the initial period at a depth of 10 cm and during the mid period at a depth of 110 cm. The simulated values matched the measured values more closely at soil depths of 25 and 50 cm, which is the most active root zone for water and nutrient uptake for citrus . However, the profile average water distribution matched well. The MAE between weekly measured and simulated moisture content values across all locations varied from 0.01 to 0.04 cm3 cm 3 , indicating a good agreement between the two sets of values . Slightly higher temporal MAE values during the mid-season agreed well with the variation shown in Fig. 5. Similarly, the MAE values at 10, 25, 50, 80, and 110 cm soil depths at a 10 cm lateral distance from the dripper also revealed that the variation between measured and simulated water contents remained between 0.02 and 0.04 cm3 cm 3 . However, the differences were slightly higher at 10 cm depth as compared to greater depths . Higher variations at the surface depth are to be expected because this part of the soil profile is influenced by soil evaporation, which peaks in day time and is low at night time, while the assumption of a constant atmospheric boundary flux for daily time steps in the model deviated from the actual transient conditions existing at the surface boundary. Other studies also showed a similar magnitude of variations between measured and predicted water contents.Comparison of simulated electrical conductivities of soil solution with weekly measured values at different depths are shown in Fig. 6.

Despite of low irrigation water salinity and low initial soil salinity , the measured ECsw increased in the soil with the onset of irrigation at all depths, except at 150 cm where the increase in salinity occurred only after December 2006. Subsequently, a decreasing trend was observed in ECsw later in the season. The higher amount of irrigation compared to ETC. and an significant amount of precipitation during this period resulted in a reduction in soil solution salinity. On the other hand, the model over-predicted ECsw at a depth of 25 cm from October to December 2006 and under-predicted it at a depth of 100 cm during the same period. However, at a depth of 150 cm, simulated values remained constant till January 2007, indicating a delayed response. The increase in simulated ECsw values was delayed at 100 and 150 cm depths as compared to measured values. Both set of values matched well at a depth of 50 cm and the profile average of ECsw also showed a close match. It is significant to note that irrigation with good quality water in our study led to the development of significant levels of measured ECsw . However, the ECsw values remained below the threshold of salinity tolerance of orange throughout the season . The MAEs between weekly measured and simulated ECsw in the soil ranged from 0.08 to 0.76 dS m 1 , which are acceptable for a complex and highly dynamic soil system, with the exception of a few divergent values obtained between mid October and December . The disagreement in ECsw values during this period was correlated with corresponding fluctuations and low values of water contents, especially at soil depths of 10 and 25 cm and this variability was transferred tothe ECsw values. Differences between measured and simulated ECsw values at 50 cm depth were relatively higher than at other depths . The mean MAE at 25, 100, and 150 cm depths ranged from 0.19 to 0.36 dS m 1, showing a good agreement with the measured values at these depths. The spatial distribution of ECsw in the soil profile at various dates is depicted in Fig. 7. It can be seen that salts remained restricted to roughly the upper 50 cm of the soil profile until December.

The downward movement of salts continued in February and March , because in March the amount of irrigation was higher than ETC. . It is pertinent to note here that the ECsw distribution under the dripper remained lower as compared to the adjoining soil at all times,hydroponic grow system because a continuous water application in this region pushes the salts towards the outer boundary of the wetting front. The drainage flux during and after March transported salts vertically downwards, thereby making the soil directly beneath the dripper relatively salt free by the end of the season. Applying additional water at the end of the season could be a strategy to create a salt free root zone which may encourage vigorous root development, and assist the plant growth in the ensuing season.Comparison of weekly measured and daily simulated nitrate– nitrogen concentrations at different depths in the soil profile is illustrated in Fig. 8. Over-prediction was observed at a depth of 25 cm from October to November 2006, which coincided with similar over-prediction for salinity. Similarly, both measured and simulated values matched well at a depth of 50 cm, while a delayed response in predicted nitrate contents was observed at lower depths. However, a fairly good correspondence was observed between profile averaged NO3 –N contents. The temporal MAE values for NO3 –N ranged from 0.1 to 1.97 mmol L 1 . Similar differences between measured and HYDRUS-2D simulated values were also reported in another study involving simulations of nitrogen under field cropped conditions. Additionally, MAE at a 25 cm depth had a higher value L 1 ) than at greater depths L 1 ). A similar match of nitrate distributions has been reported in other studies as well . The reason for differences in ECsw and NO3 –N values may be partially due to the fact that model reports point values, whereas the Solu SAMPLER draws in solution from a sampling area of a certain volume, the size of which depends on the soil hydraulic properties, the soil water content, and the applied suction within the ceramic cup . Hence the measured parameters considered in modelling may not represent the inherent spatial variability of the soil. In addition, while a homogeneous soil environment is assumed by the model, the field site could be far more heterogeneous and anisotropic. Also, the model simulations considered only a 2D movement of nitrogen and the nitrification process, while more complex nitrate processes were not taken into account. Ramos et al. documented numerous factors influencing the correspondence between measurements and simulations of water contents and solute concentrations in the soil under drip irrigation conditions and these factors are relevant also for the present investigation. These factors, including those mentioned above, may modify the error in the simulated NO3 –N values. The simulated movement of nitrate–nitrogen in the soil under a mandarin tree at various dates is shown in Fig. 9.

Nitrate fertigation increased the nitrogen content in the soil with time, as is evident from an increasing size of the concentration plume below the dripper as the season progressed. This indicates that the plant was not able to take up all nitrogen added through fertigation, and thus nitrogen built up in the soil over time, leading to a maximum concentration values in January . Ultimately, nitrogen started moving downwards after late January, when there was high rainfall and total water additions exceeded ETC. Alva et al. also detected greater variations in NO3 –N concentrations in the 0–15 cm depth horizon, as compared to greater depths in a field experiment involving citrus. The seasonal NO3 –N concentrations in the domain varied from 0.01–7.03 mmol L 1 . Hutton et al. reported higher mobilization of nitrate at a shallower depth under drip irrigation of grapevine, and seasonal root zone nitrate concentrations ranging between 0 and 11.07 mmol L 1 in the Murrumbidgee Irrigation Areas in Australia. As the season continued and plant uptake was reduced, excess water further mobilised nitrate–nitrogen out of the root zone, as is evident from 27/04/07 and beyond . At the end of the crop season, little nitrogen remained in the soil system, and what did remain was well beyond the reach of the plants. This nitrogen is expected to continue leaching downwards over time and become a potential source of nitrate–nitrogen loading to the ground water.High levels of nitrate–nitrogen below the crop root zone are undesirable, as some recharge to groundwater aquifers can occur, in addition to flow into downstream rivers, which are used for drinking water and irrigation. These findings are consistent with other studies , in which high nitrate concentrations in drainage water under drip and furrow fertigated irrigation systems have been reported.The seasonal water balance was computed from cumulative fluxes calculated by HYDRUS-2D. Estimated water balance components above and below the soil surface under a mandarin tree are presented in Table 4. It can be seen that in a highly precise drip irrigation system, a large amount of applied water drained out of the root zone, even though the amount of irrigation applied was based on estimated ETC. This drainage corresponded to 33.5% of applied water, and occurred because highly permeable light textured soils, such as those found in this study, are prone to deep drainage whenever the water application exceeds ETC. The drainage amount in our study falls within the range of recharge fluxes to groundwater reported by Kurtzman et al. under citrus orchards in a semiarid Mediterranean climate. Mandarin root water uptake amounted to 307.3 mm, which constitutes about 49% of applied water. Root water uptake slightly increased when the model was run without considering solute stress , which is not a significant difference. It further substantiates the results obtained for seasonal ECsw in Fig. 6, where salinity remained below threshold over the season. Evaporation accounted for 17.7% of the total water applied through irrigation and rainfall. The modelling study overestimated the sink components of the water balance by 4.79 mm . There were major differences between water input and output from January 2007 onwards . During this period, irrigation and precipitation significantly exceeded tree water uptake , which eventually resulted in deep drainage from March 2007 onwards. Therefore, current irrigation scheduling requires adjustment during this period. This illustrates how simulations were helpful in evaluating the overall water dynamics in soil under the mandarin tree. The nitrogen balance is presented in Table 5.

This implies that flagellar motility is important for growth on this rough porous surface

The powder wash was chosen for use in all the experiments requiring BRF extract.Intriguingly, while comparing different methods for bacterial inoculation on agar plates, it was observed that production of this surfactant increased dramatically when the strain was grown on the porous surface of hydrated filter paper discs placed on agar plates. This was true both when the bacteria were directly applied with a toothpick as a single spot on the paper surface, and somewhat less so when inoculated as a larger patch from an aqueous cell suspension. A variety of additional materials other than cellulose such as cotton and polyester fabrics were tested for their stimulation of apparent surfactant production, and all induced production as long as the material was wettable. The rough surface induction of surfactant production led us to the hypothesis that the surfactant might contribute to the colonization of natural surfaces and thus prompted further investigation. Of the six mutants identified as being completely blocked in biosurfactant production three of the insertions were into the global regulatory genes gacS, ompR, and fleQ, and thus were deemed to be not specifically responsible for surfactant biosynthesis. GacS is a global regulator of secondary metabolites and extracelullar enzymes , while an OmpR homolog has recently been hypothesized to be a membrane stress sensor in P. aeruginosa , and FleQ is the initial regulatory element of flagellar biosynthesis. Of the remaining genes influencing biosurfactant production, neither Psyr_0215 which is predicted to have general base excision repair activity,arandanos planta nor Psyr_4446 which is an osmotically induced outer membrane lipoprotein, are likely candidates for contributing to surfactant synthesis.

On the other hand, a predicted acyltransferase, Psyr_3129, having 48.5% identity to rhlA and 49% identity to phaG in P. aeruginosa PAO1, seemed likely to be involved directly in surfactant biosynthesis. RhlA is responsible for production of 3-alkanoic acids , the precursor to rhamnolipids in P. aeruginosa, and is independently recognized as a biosurfactant that promotes swarming motility. PhaG is involved in polyhydroxyalkanoic acid synthesis, which is a carbon and energy storage molecule. Both enzymes divert hydroxydecanoic acids from fatty acid de novo synthesis, and exhibit similar and sometimes overlapping polymerization functions. Because the transposon insertion was in the promoter region immediately upstream of Psyr_3129, we confirmed that a knockout of this gene also blocked surfactant production by constructing a chromosomal deletion of Psyr_3129 in the ∆syfA background of P. syringae. This double mutant was also incapable of swarming ability. To ensure that disruption of brfA and not genomic changes elsewhere was responsible for abrogating biosurfactant production, we complemented this gene in trans. Expression of brfA under the control of the constitutive npt2 promoter in plasmid p519n-gfp, where gfp was replaced with brfA, proved to be lethal to P. syringae. However, when brfA was inserted into pMF54 , to form plasmid pBRF2 where brfA is driven by an IPTG-inducible trc promoter, this plasmid produced viable transformants. Curiously, when this plasmid is introduced into a ∆syfA/brfA double mutant, biosurfactant was produced abundantly without IPTG addition , emphasizing the leaky nature of this plasmid. Addition of IPTG did not result in surfactant production beyond that observed in uninduced cells. Thus, either BrfA synthesizes the surfactant or is essential for its expression. Significantly, rhlA from P. aeruginosa has been shown to be sufficient for HAA production in E. coli , as well as an rhlA homolog in Serratia sp. ATCC 39006 which produces an unidentified biosurfactant. 

We thus tested if our potential rhlA homolog was sufficient to confer biosurfactant production in E. coli. E. coli DH5α harboring plasmid pBRF2 produced a large amount of surfactant. It is important to note that although production of this surfactant in a ∆syfA strain of P. syringae is readily detected with the atomized oil assay, it was not detectable with other assays such as the drop collapse assay or by direct chemical detection. This suggested that either the molecule had properties such as low water solubility that prevented its detection with assays such as water drop collapse, or that it was made in relatively low amounts that are not easily detected by assays with lower sensitivity. However, a ∆syfA strain carrying pBRF2 for constitutive BrfA expression was observed to cause a drop collapse , thus we presume that low rates of production in native strains explain its lack of detection in a ∆syfA strain with a drop collapse assay. Using a modified protocol for HAA extraction , we extracted BRF from plate-grown cultures of ∆syfA. The resulting powder yielded an opaque solution in water, indicative of a surfactant with low water solubility exhibiting aggregate formation. This concentrated surfactant lowered the surface tension of water to 29 dyn/cm when measured in a pendant drop assay, confirming its potent surfactant activity. It remains to be determined what the chemical structure of BRF is, and if it is HAA. An insertion into the transcription factor fleQ, which is involved in the initiation of flagellar assembly results in a total loss of surfactant production. Disruption of flgC, a Class III flagellar assembly gene that is involved in formation of the basal body rod in P. aeruginosa , also resulted in a large reduction in the surfactant halo. The identification of these two mutants led us to hypothesize that assembly of the flagellar base structure is important for production of BRF. Surprisingly, an insertion in fliC, a Class IV structural gene encoding the actual flagellin protein, resulted in enhanced surfactant production.

Furthermore, insertions in fgt1 and fgt2, two genes involved in flagellar glycosylation that have been shown in P. syringae pv. tabaci 6605 to be important for flagellar function , both also result in up-regulation of surfactant production. This suggested that once the flagellar base is assembled and flagellin synthesis is initiated, mutations which hinder flagellar assembly or functionality serve to up-regulate the production of BRF. Curiously, even though an insertion in fgt1 only impaired flagellar swimming motility while an insertion in fgt2 did not appear to confer any flagellar impairment , these mutations both stimulated surfactant production to a similar extent as a loss of flagellin itself. We remain uncertain how these mutations lead to up regulating surfactant production. To further support our hypothesis that expression of BRF is dependent on flagellar assembly itself and not merely coincidentally with expression of certain flagellar genes,square nursery pots we constructed targeted knockouts in additional flagellar genes involved at different stages of flagellar assembly. A directed knockout mutant of fleQ was deficient in surfactant production, confirming our earlier observations of an insertional mutant of this gene. Although the initial screen did not identify any insertions in Class II genes that are important for the initial establishment of the flagellar apparatus, a directed knockout of fliF exhibited a dramatic loss of surfactant production. Furthermore, a knockout of flgD, a Class III flagellar gene in an operon downstream of flgC, resulted in a similar 3-fold reduction in the size of the BRF halo. Disruption of fliA, encoding the sigma factor responsible for initiating transcription of Class IV genes, also conferred a 3-fold reduction in surfactant production. Thus, although FliA is necessary for expression of late stage flagellar genes, it does not appear necessary for production of BRF. Because the establishment of the flagellar base appears important for production of this surfactant, we postulated that perhaps the flagellum is in some way necessary for the export of BRF. In order to test this model, we introduced plasmid pBRF2 conferring constitutive BrfA expression into a ∆syfA/fleQ– double mutant strain of P. syringae. This strain, despite lacking flagella, exhibited unaltered surfactant production , indicating that flagella are not necessary for surfactant export. Thus it appears that the flagellar assembly process most likely influences brfA at the transcriptional level.

In order to investigate the contribution of flagellar assembly to transcriptional regulation of brfA we linked a gfp reporter gene to the promoter containing region 5’ to brfA in the stable plasmid vector pPROBE-GT to produce reporter plasmid pPbrfA-gfp. We introduced pPbrfA-gfp into the different insertional mutants blocked at different stages of flagellar assembly and observed that, as was indicated by the atomized oil assay, the expression of brfA was higher in a ∆syfA/fliC– mutant compared to that in either a ∆syfA/fleQ– or ∆syfA/flgC– mutant. We also constructed reporter plasmid pPfliC-gfp in which a gfp reporter gene was fused to the promoter-containing region of fliC to provide estimates of the expression of the gene encoding flagellin, a late stage flagellar gene. Similar to what was observed for expression of brfA, the expression of fliC was greatly reduced in both a ∆syfA/fleQ– and ∆syfA/flgC background but was over-expressed relative to that in a ∆syfA background alone in a ∆syfA/fliC mutant. As far as we are aware, flagellar glycosylation has not been documented to have a feedback role in flagellin biosynthesis. Although it is intuitive that a loss of flagellin production might result in constitutive activation of the late-stage flagellar genes through FliA, it is less obvious how flagellar glycosylation mutations might be feeding back to up-regulate flagella production, especially in the case of fgt2 which does not exhibit any impairment of flagellar function. In order to investigate the feedback process, we constructed transcriptional reporters of both flgB, a class II flagellar gene, and fliE, a class III flagellar gene, in addition to the fliC reporter. Reporter plasmids pPflgB-gfp and pPfliE-gfp, respectively, were separately introduced into the original ∆syfA strain as well as a ∆syfA/fgt2– strain, so that the effect of flagellar glycosylation on the expression of the three classes of flagella genes could be observed. We clearly observed that a loss of flagellar glycosylation results in up-regulation only of the late stage flagellin gene fliC and not of fliE or flgB. Loss of glycosylation most likely affects the flagella in such a way as to encourage the export of the anti-sigma factor FlgM, either through increased flagellar breakage or increased export within the flagella, thus releasing FliA from FlgM control. To address the process by which paper surfaces up-regulate production of BRF we addressed the expression of brfA under various growth conditions. The GFP fluorescence of a WT strain carrying pPbrfA-gfp was compared between when grown on filter paper discs on agar plates and when grown directly on agar plates. While GFP fluorescence exhibited by P. syringae harboring plasmid p519n-gfp conferring constitutive GFP expression was similar in these two growth conditions, much higher GFP fluorescence was observed after growth on the porous paper in the strain carrying pPbrfA-gfp. Such apparent paper surface-induced upregulation of brfA was observed in both the WT strain as well as a ∆syfA strain. No such induction of syfA was observed when strains harboring pPsyfA-gfp were grown on paper discs , indicative that syringafactin is not similarly regulated. Because we observed both enhanced production of BRF and elevated expression of brfA in cells grown on hydrated paper discs, as well as a dependence of BRF production on flagella assembly, we hypothesized that genes for flagella for motility would be up-regulated on the paper discs coincidently with those for BRF production. To test this, we compared the GFP fluorescence of cells harboring the fliC reporter plasmid pPfliC-gfp when grown on agar plates and paper discs. As hypothesized, we observed an up-regulation of genes encoding flagellin when the strain is exploring the porous paper surface. In order to examine the necessity of flagella for movement through hydrated paper, we compared the lateral spread of a WT strain and a fleQ– mutant on paper discs. While flagellated strains quickly moved both into and along the length of the paper discs, the non-flagellated strains remained at the site of inoculation and formed colonies only on top of the paper. This requirement of motility for colonization of paper disks appears very similar to that observed for exploration of a porous ceramic surface. To better determine the relative rate of movement of different strains along paper, we increased the distance over which the bacteria were allowed to move.