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Thursday, June 2, 2022

Pollution in China

From Wikipedia, the free encyclopedia
 
Comparison of haze and sunny days in Liaoning, China. The two images were taken 10 days apart.

Pollution in China is one aspect of the broader topic of environmental issues in China. Various forms of pollution have increased as China has industrialised, which has caused widespread environmental health problems.

Pollution statistics

The immense growth of the People's Republic of China since the 1980s has resulted in increased soil pollution. The State Environmental Protection Administration believes it to be a threat to the environment, food safety and sustainable agriculture. 38,610 square miles (100,000 km2) of China's cultivated land have been polluted, with contaminated water being used to irrigate further 31.5 million miles (21,670 km2.), and another 2 million miles (1,300 km2) have been covered or destroyed by solid waste. The affected area accounts of one-tenth of China's cultivatable land. An estimated 6 million tonnes of food grain are contaminated by heavy metals every year, causing direct losses of 29 billion yuan (US$2.57 billion). Heavy metals (including mercury, lead, cadmium, copper, nickel, chromium, and zinc) in the contaminated soil have adverse health effects on human metabolism. Ingestion, contact through skin, diet through the soil-food chain, respiratory intake, and oral intake can deliver the toxic substances to human beings.

Waste

As China's waste production increases, insufficient efforts to develop capable recycling systems have been attributed to a lack of environmental awareness. In 2012, the waste generation in China was 300 million tons (229.4 kg/cap/yr).

A ban came into effect on 15 June 2008 that prohibited all supermarkets, department stores and shops throughout China from giving out free plastic bags, therefore encouraging people to use cloth bags. Stores must clearly mark the price of plastic shopping bags and are banned from adding that price onto the price of products. The production, sale and use of ultra-thin plastic bags—those less than 0.025 millimeters (0.00098  in) thick—are also banned. The State Council called for "a return to cloth bags and shopping baskets." This ban, however, does not affect the widespread use of paper shopping bags at clothing stores or the use of plastic bags at restaurants for takeout food. A survey by the International Food Packaging Association found that in the year after the ban was implemented, 10 percent fewer plastic bags found their way into the garbage.

"White pollution"

The term "white pollution" (Chinese: 白色污染; pinyin: baise wuran, less often "white garbage" Chinese: 白色垃圾; pinyin: baise laji) appears to be local to China and later to South Asia, enjoying far less use and recognition outside of the region. It refers to the color of white plastic shopping bags, styrofoam containers, and other light-colored materials that began turning up in visible volume in agricultural fields, the landscape, and waterways in the mid- to late 1990's. The first references to the term "white pollution" appear in official language at least as early as 1999, when the first bans were imposed by the State Council.

Electronic waste

In 2011, China produced 2.3 million tons of electronic waste. The annual amount is expected to increase as the Chinese economy grows. In addition to domestic waste production, large amounts of electronic waste are imported from overseas. Legislation banning importation of electronic waste and requiring proper disposal of domestic waste has recently been introduced, but has been criticized as insufficient and susceptible to fraud. There have been local successes, such as in the city of Tianjin where 38,000 tons of electronic waste were disposed of properly in 2010, but much electronic waste is still improperly handled.

Industrial pollution

Air pollution caused by industrial plants

In 1997, the World Bank issued a report targeting China's policy towards industrial pollution. The report stated that "hundreds of thousands of premature deaths and incidents of serious respiratory illness have been caused by exposure to industrial air pollution.Since the Industrial Revolution, air pollution has been a major source of worry for human growth. Using an original survey in China, we give the first causal estimates of pollution's impact on political opinions. Seriously contaminated by industrial discharges, many of China's waterways are largely unfit for direct human use." However, the report did acknowledge that environmental regulations and industrial reforms have had some effect. It was determined that continued environmental reforms were likely to have a large effect on reducing industrial pollution.

In a 2007 article about China's pollution problem, the New York Times stated that "Environmental degradation is now so severe, with such stark domestic and international repercussions, that pollution poses not only a major long-term burden on the Chinese public but also an acute political challenge to the ruling Communist Party." The article's main points included:

  1. According to the Chinese Ministry of Health, industrial pollution has made cancer China's leading cause of death.
  2. Every year, ambient air pollution alone killed hundreds of thousands of citizens.
  3. 500 million people in China are without safe and clean drinking water.
  4. Only 1% of the country's 560 million city dwellers breathe air considered safe by the European Union, because all of its major cities are constantly covered in a "toxic gray shroud". Before and during the 2008 Summer Olympics, Beijing was "frantically searching for a magic formula, a meteorological deus ex machina, to clear its skies for the 2008 Olympics."
  5. Lead poisoning or other types of local pollution continue to kill many children.
  6. A large section of the ocean is without marine life because of massive algal blooms caused by the high nutrients in the water.
  7. The pollution has spread internationally: sulfur dioxide and nitrogen oxides fall as acid rain on Seoul, South Korea, and Tokyo; and according to the Journal of Geophysical Research, the pollution even reaches Los Angeles in the US.
  8. The Chinese Academy of Environmental Planning in 2003 produced an unpublished internal report which estimated that 300,000 people die each year from ambient air pollution, mostly of heart disease and lung cancer.
  9. Chinese environmental experts in 2005 issued another report, estimating that annual premature deaths attributable to outdoor air pollution were likely to reach 380,000 in 2010 and 550,000 in 2020.
  10. A 2007 World Bank report conducted with China's national environmental agency found that "[...] outdoor air pollution was already causing 350,000 to 400,000 premature deaths a year. Indoor pollution contributed to the deaths of an additional 300,000 people, while 60,000 died from diarrhoea, bladder and stomach cancer and other diseases that can be caused by water-borne pollution." World Bank officials said "China’s environmental agency insisted that the health statistics be removed from the published version of the report, citing the possible impact on 'social stability'".

A draft of a 2007 combined World Bank and SEPA report stated that up to 760,000 people died prematurely each year in China because of air and water pollution. High levels of air pollution in China's cities caused to 350,000–400,000 premature deaths. Another 300,000 died because of indoor air of poor quality. There were 60,000 premature deaths each year because of water of poor quality. Chinese officials asked that some of the results should not be published in order to avoid social unrest.

China has made some improvements in environmental protection during recent years. According to the World Bank, 'China is one of a few countries in the world that have been rapidly increasing their forest cover. It is managing to reduce air and water pollution.

Vennemo et al., in a 2009 literature review in Review of Environmental Economics and Policy, noted the wide discrepancy between the reassuring view in some Chinese official publications and the exclusively negative view in some Western sources. The review stated that "although China is starting from a point of grave pollution, it is setting priorities and making progress that resemble what occurred in industrialized countries during their earlier stages of development." Environmental trends were described as uneven. A quality of surface water in the south of China was improving and particle emissions were stable. But NO2 emissions were increasing rapidly and SO2 emissions had been increasing before decreasing in 2007, the last year for which data was available.

Conventional approaches to air quality monitoring are based on networks of static and sparse measurement stations. However, there are drivers behind current rises in the use of low-cost sensors for air pollution management in cities.

The immense urban growth of Chinese cities substantially increases the need for consumer goods, vehicles and energy. This in turn increases the burning of fossil fuels, resulting in smog. Exposure to Smog poses a threat to the health of Chinese citizens. A study from 2012 shows fine particles in the air, which cause respiratory and cardiovascular diseases are one of the key pollutants that are accounted for a large fraction of damage on the health of Chinese citizens.

Water pollution

The water resources of China are affected by both severe water shortages and severe water pollution.[citation needed] An increasing population and rapid economic growth, as well as lax environmental oversight, have increased water demand and pollution. According to an investigation in 1980, the entire country has 440 billion cubic meters of the total water consumption. Consumption by agriculture, forestry, husbandry, and country residents was about 88 per cent of the total consumption. However, an investigation shows that 19 per cent of water in main rivers has been polluted as well as a total length of 95,000 kilometers. In addition, a survey for 878 rivers in the early 1980s shows that 80 per cent of them were polluted to some extent, and fish became extinct in more than 5 per cent of total river length throughout the country. Furthermore, there are over 20 waterways unsuitable for agricultural irrigation due to water pollution. In response, China has taken measures such as rapidly building out the water infrastructure and increased regulation as well as exploring a number of further technological solutions.

Air pollution

North-Eastern China from space, 2009. Thick haze blown off the Eastern coast of China, over Bo Hai Bay and the Yellow Sea. The haze might result from urban and industrial pollution.

In northern China, air pollution from the burning of fossil fuels, principally coal, is causing people to die on average 5.5 years sooner than they otherwise might.

Tim Flannery, Atmosphere of Hope, 2015.

Air pollution has become a major issue in China, especially in recent years, and poses a threat to Chinese public health. In 2016, only 84 out of 338 prefecture-level (administrative division of the People's Republic of China (PRC), ranking below a province and above a county) or higher cities attained the national standard for air quality. However, by 2018, those 338 cities enjoyed good air quality on 79% of days.

In the last few years, China has made significant progress in reducing air pollution. For example, average PM2.5 concentrations fell by 33% from 2013 to 2017 in 74 cities. The overall pollution in China fell further 10% between 2017 and 2018. Another study shows that China reduced PM2.5 by 47% between 2005 and 2015. In August 2019, Beijing experienced the lowest PM2.5 on record—a low of 23 micrograms per cubic meter. Beijing is on track to drop out of the Top 200 most polluted cities by the end of 2019. The reasons are many fold: (1) Millions of homes and businesses are switching from coal to natural gas and (2) Afforestation measures. China is also the world's largest producer of electric cars, but lags a number of European countries and the U.S. regarding the number of electric cars per capita.

Air pollution levels dropped in early 2020 due to quarantines addressing the coronavirus pandemic. By early 2021, however, the levels had risen again.

The Chinese government realized that the pollution had an effect on its regime's satisfaction. So therefore, the Chinese government spent a lot of money to combat pollution.An example of this is that in 2013, China's Academy for Environmental Planning pledged $277 billion to combat urban air pollution. In the first batch of 74 cities that implemented the 2012 Environmental Air Quality Standards, the average concentration of PM2.5 and sulfur dioxide dropped by 42 percent and 68 percent, respectively, between 2013 and 2018.

Zhong Nanshan, the president of the China Medical Association, warned in 2012 that air pollution could become China's biggest health threat. Measurements by Beijing municipal government in January 2013 showed that highest recorded level of PM2.5 (particulate matter smaller than 2.5 micrometers in size), was at nearly 1,000 μg per cubic meter. PM2.5, consisting of K+, Ca2+, NO3, and SO42-, had the most fearsome impact on people's health in Beijing throughout the year, especially in cold seasons. Traces of smog from mainland China has been observed to reach as far as California.

Sulfur dioxide emission peaked at 2006, after which it began to decline by 10.4% in 2008 compared to 2006. This was accompanied by improvements on related phenomenons such as lower frequency of acid rainfall. The adoption by power plants of flue-gas desulfurization technology was likely the main reason for reduced SO2 emissions.

Large-scale use of formaldehyde in make home building products in construction and furniture also contributes to indoor air pollution.

Particulates

Particulates are formed from both primary and secondary pathways. Primary sources such as coal combustion, biomass combustion and traffic directly emit particulate matter (PM). The emissions from power plants are considerably higher than in other countries, as most Chinese facilities do not employ any flue gas treatment. High secondary aerosol (particulates formed through atmospheric oxidation and reactions of gaseous organic compounds) contribution to particulate pollution in China is found. According to the U.S. Environmental Protection Agency, such fine particles can cause asthma, bronchitis, and acute and chronic respiratory symptoms such as shortness of breath and painful breathing, and may also lead to premature death.

According to the World Bank, the Chinese cities with the highest levels of particulate matter in 2004 of those studied were Tianjin, Chongqing, and Shenyang. In 2012 stricter air pollution monitoring of ozone and PM2.5 were ordered to be gradually implemented from large cities and key areas to all prefecture-level cities, and from 2015 all prefecture-level or higher cities were included. State media acknowledged the role of environmental campaigners in causing this change. On one micro-blog service, more than a million mostly positive comments were posted in less than 24 hours although some wondered if the standards would be effectively enforced.

The US embassy in Beijing regularly posts automated air quality measurements at @beijingair on Twitter. On 18 November 2010, the feed described the PM2.5 AQI (Air Quality Index) as "crazy bad" after registering a reading in excess of 500 for the first time. This description was later changed to "beyond index", a level which recurred in February, October, and December 2011.

In June 2012, following strongly divergent disclosures of particulate levels between the Observatory and the US Embassy, Chinese authorities asked foreign consulates to stop publishing "inaccurate and unlawful" data. Officials said it was "not scientific to evaluate the air quality of an area with results gathered from just only one point inside that area", and asserted that official daily average PM2.5 figures for Beijing and Shanghai were "almost the same with the results published by foreign embassies and consulates".

By January 2013 the pollution had worsened with official Beijing data showing an average AQI over 300 and readings of up to 700 at individual recording stations while the US Embassy recorded over 755 on 1 January and 800 by 12 January 2013.

On 21 October 2013, record smog closed the Harbin Airport along with all schools in the area. Daily particulate levels of more than 50 times the World Health Organization recommended daily level were reported in parts of the municipality.

In 2016, Beijing's yearly-average PM2.5 was 73 μg/m3, 9.9% improvement compared to 2015. In total, 39 severely polluted days were recorded, 5 fewer compared to 2015.

2016 Air pollution in Beijing as measured by Air Quality Index (AQI)
   Severely polluted
   Heavily polluted
   Moderately polluted
   Lightly polluted
   Good
  Excellent

Government's response to the air pollution

In an attempt to reduce air pollution, the Chinese government has made the decision to enforce stricter regulations. After record-high air pollution in northern China in 2012 and 2013, the State Council issued an Action Plan for the Prevention and Control of Air Pollution in September 2013. This plan aims to reduce PM2.5 by over 10% from 2012 to 2017. The most prominent government response has been in Beijing, aiming to reduce PM2.5 by 25% from 2012 to 2017. As the capital of China, it is suffering from high levels of air pollution. According to Reuters, in September 2013, the Chinese government published the plan to tackle air pollution problem on its official website. The main goal of the plan is to reduce coal consumption by closing polluting mills, factories, and smelters, and switching to other eco-friendly energy sources.

These policies have been taking effect, and in 2015, the average PM2.5 in 74 key cities in monitoring system is 55 μg/m3, showing a 23.6% decrease as of 2013. Despite the reduction in coal consumption and polluting industries, China still maintained a stable economic growth rate from 7.7% in 2013 to 6.9% in 2015.

On 20 August 2015, ahead of the 70th-anniversary celebrations of the end of World War II, the Beijing government shut down industrial facilities and reduced car emissions in order to achieve a "Parade Blue" sky for the occasion. This action resulted in PM2.5 concentration lower than the 35 μg/m3 national air quality standard, according to data from Beijing Municipal Environmental Protection Monitoring Centre (BMEMC). The restrictions resulted in an average Beijing PM2.5 concentration of 19.5 μg/m3, the lowest that had ever been on record in the capital.

China's strategy has been mainly focusing on the development of other energy sources such as nuclear, hydro and compressed natural gas. The latest plan entails closing the outdated capacity of the industrial sectors like iron, steel, aluminum and cement and increasing nuclear capacity and other non-fossil fuel energy. It also includes an intention to stop approving new thermal power plants and to cut coal consumption in industrial areas.

According to research, substituting all coal consumption for residential and commercial use to natural gas requires additional 88 billion cubic meters of natural gas, which is 60% of China's total consumption in 2012, and the net cost would be 32–52 billion dollars. Substituting the share of coal-fired power plant with renewable and nuclear energy also requires 700GW additional capacity, which cost 184 billion dollars. So the net cost would be 140–160 billion dollars considering value of saved coal. Since all the above policies have been already partially implemented by national and city governments, they should lead to substantial improvements in urban air quality.

In northern China, air pollution from the burning of fossil fuels, principal coal, is causing people to die on average 5.5 years sooner than they otherwise might.

— Tim Flannery, Atmosphere of Hope, 2015.

Four-color alert system

Beijing launched four-color alert system in 2013. It is based on the air quality index (AQI), which indicates how clean or polluted the air is.

The Beijing government revised their four-color alert system at the start of 2016, increasing the levels of pollution required to trigger orange and red alerts. The change was introduced to standardize the alert levels across four cities including Tianjin and four cities in Hebei, and perhaps in direct response to the red alerts issues the previous December.

AQI Description
101–150 Slight pollution
151–200 Moderate pollution
201–300 Heavy pollution
301–500 Hazardous

Color Condition
Blue "Heavy pollution" in the next 24 hours
Yellow "Hazardous" in the next 24 hours; or "heavy pollution" for three consecutive days
Orange Alternate "heavy pollution" and "hazardous" days for three consecutive days
Red Average of "heavy pollution" for four consecutive days, "hazardous" for two consecutive days or average AQI over 500 for one day

Light pollution

With active economic growth and a huge number of citizens, China is considered as the largest developing country in the world. Due to urbanization, light pollution generally is an environmental factor that significantly influences the quality and health of wildlife. According to Pengpeng Han et al., "In the 1990s, the increasing trend in light pollution regions mostly occurred in larger urban cities, which are mainly located in eastern and coastal areas, whereas the decreasing trend areas were chiefly industrial and mining cities rich in mineral resources, in addition to the central parts of large cities". In the 2000s, nearly all urban cities were dominated by an uprising trend in light pollution.

Common pollutants

Lead

Lead poisoning was described in a 2001 paper as one of the most common pediatric health problems in China. A 2006 review of existing data suggested that one-third of Chinese children suffer from elevated serum lead levels. Pollution from metal smelters and a fast-growing battery industry has been responsible for most cases of, particularly high lead levels. In 2011, there were riots in the Zhejiang Haijiu Battery Factory from angry parents whose children received permanent neurological damage from lead poisoning. The central government has acknowledged the problem and has taken measures such as suspending battery factory production, but some see the response as inadequate and some local authorities have tried to silence criticisms.

A literature review of academic studies on Chinese children's blood lead levels found that the lead levels declined when comparing the studies published during 1995–2003 and 2004–2007 periods. Lead levels also showed a declining trend after China banned lead in gasoline in 2000. Lead levels were still higher than those in developed nations. Industrial areas had higher levels than suburban areas, which had higher levels than urban areas. Controlling and preventing lead poisoning was described as a long-term mission.

Persistent organic pollutants

China is a signatory nation of the Stockholm Convention, a treaty to control and phase out major persistent organic pollutants (POP). A plan of action for 2010 includes objectives such as eliminating the production, import and use of the pesticides covered under the convention, as well as an accounting system for PCB containing equipment. For 2015, China plans to establish an inventory of POP-contaminated sites and remediation plans. Since May 2009, this treaty also covers polybrominated diphenyl ethers and perfluorooctanesulfonic acid. Perfluorinated compounds are associated with altered thyroid function and decreased sperm count in humans. China faces a big challenge in controlling and eliminating POPs, since they often are cheaper than their alternatives, or are unintentionally produced and then released into the environment to save on treatment costs.

Yellow dust

The Yellow dust or Asian dust is a seasonal dust cloud which affects Northeast Asia during late winter and springtime. The dust originates in the deserts of Mongolia, northern China and Kazakhstan where high-speed surface winds and intense dust storms kick up dense clouds of fine, dry soil particles. These clouds are then carried eastward by prevailing winds and pass over Northern China into Korea and Japan.

Desertification has intensified in China. 1,740,000 square kilometres of land is classified as "dry", and desertification disrupts the lives of 400 million people and causes direct economic losses of 54 billion yuan ($7 billion) a year, SFA figures show. Sulfur (an acid rain component), soot, ash, carbon monoxide, and other toxic pollutants including heavy metals (such as mercury, cadmium, chromium, arsenic, lead, zinc, copper) and other carcinogens, often accompany the dust storms, as well as viruses, bacteria, fungi, pesticides, antibiotics, asbestos, herbicides, plastic ingredients, combustion products and hormone mimicking phthalates.

Coal

The increasing number of air pollutants can cause incidences of low visibility for days and acid rain. According to the article "Air Pollution in Mega Cities in China", "Coal accounts for 70% of the total energy consumption, and emissions from coal combustion are the major anthropogenic contributors to air pollution in China." The Proceedings of the National Academy of Sciences also highlights the Huai River Policy established during China's central planning period between 1950 and 1980. The policy provided homes and offices with free coal for winter heating but was limited solely to the Northern region due to budget limitations. The policy led to a dramatic increase in coal consumption and production. Coal production alongside rapid economic growth has increased the emission of harmful pollutants such as carbon dioxide, sulfur dioxide, nitrogen oxide, and small particle matter known as PM2.5 and PM10. Long-term exposure to pollutants can cause health risks such as respiratory diseases, cancer, cardiovascular and cerebrovascular diseases. Coal is a huge issue because of the SO2 emissions from coal factories. According to the article, "SO2 exceeded the Chinese Grade-II standards in 22% of the country’s cities and caused acid rain problems in 38% of the cities."

Other pollutants

In 2010 49 employees at Wintek were poisoned by n-hexane in the manufacturing of touchscreens for Apple products.

In 2013, it was revealed that portions of the country's rice supply were tainted with the toxic metal cadmium.

Impact of pollution

Smog in Beijing, 2013

A 2006 Chinese green gross domestic product estimate stated that pollution in 2004 cost 3.05% of the nation's economy.

A 2007 World Bank and SEPA report estimated the cost of water and air pollution in 2003 to 2.68% or 5.78% of GDP depending on if using a Chinese or a Western method of calculation.

A 2009 review stated a range of 2.2–10% of GDP.

A 2012 study stated that pollution had little effect on economic growth which in China's case was largely dependent on physical capital expansion and increased energy consumption due to the dependency on manufacturing and heavy industries. China was predicted to continue to grow using energy-inefficient and polluting industries. While growth may continue, the rewards of this growth may be opposed by the harm from the pollution unless environmental protection is increased.

A 2013 study published in the Proceedings of the National Academy of Sciences found that severe pollution during the 1990s cut five and a half (5.5) years from the average life expectancy of people living in northern China, where toxic air has led to increased rates of stroke, heart disease and cancer.

A 2015 study from the non-profit organization Berkeley Earth estimated that 1.6 million people in China die each year from heart, lung and stroke problems because of polluted air.

Cross-border pollution

Criticisms of government environmental policies

Global carbon dioxide emissions by jurisdiction.

Critics point to the government's lack of willingness to protect the environment as a common problem with China's environmental policies. Even in the case of the latest plan, experts are skeptical about its actual influence because of the existence of loopholes. This is because economic growth is still the primary issue for the government, and overrides environmental protection.

However, if the measures to cut coal usage were applied strictly, it would also mean the dismantling of the local economy that is highly reliant on heavy industry. The Financial Times interviewed a worker who stated, "if this steel mill didn’t exist, we wouldn’t even have anywhere to go to eat. Everything revolves around this steel factory – our children work here."

Scientists have yet to agree on the impact of China's air pollution on neighboring countries. Some politicians in South Korea claim that more than half of Korea's air pollution is caused by fine dust generated in China, but China disagrees.

Pollution ratings

As of 2019:

According to the National Environmental Analysis released by Tsinghua University and The Asian Development Bank in January 2013, seven of the ten most air polluted cities in the world are in China, including Taiyuan, Beijing, Urumqi, Lanzhou, Chongqing, Jinan and Shijiazhuang.

National Sword Policy

The Operation National Sword was a policy initiative launched in 2017 by the Government of China to monitor and more stringently review recyclable waste imports. Before the policy, China was importing the vast majority of recyclables from North America and Europe for two decades. This practice of buying recyclables brought raw materials for the growing industrial capacity of China, but also brought a lot of contaminated recyclables which ended up accruing in China, causing other environmental concerns such as air and water pollution.

The action was interpreted as an international relations move by China against Western countries. The policy caused a ripple effect in the global recyclables market, causing major pile ups in Western countries who had been collecting lower quality recyclables in single-stream recycling, and displacing some of those recyclable to other countries, mostly in South East Asia, like Vietnam and Malaysia.

Proof of impossibility

From Wikipedia, the free encyclopedia

In mathematics, a proof of impossibility, also known as negative proof, proof of an impossibility theorem, or negative result is a proof demonstrating that a particular problem cannot be solved as described in the claim, or that a particular set of problems cannot be solved in general. Proofs of impossibility often put decades or centuries of work attempting to find a solution to rest. To prove that something is impossible is usually much harder than the opposite task, as it is often necessary to develop a theory. Impossibility theorems are usually expressible as negative existential propositions, or universal propositions in logic (see universal quantification for more).

Perhaps one of the oldest proofs of impossibility is that of the irrationality of square root of 2, which shows that it is impossible to express the square root of 2 as a ratio of integers. Another famous proof of impossibility was the 1882 proof of Ferdinand von Lindemann, showing that the ancient problem of squaring the circle cannot be solved, because the number π is transcendental (i.e., non-algebraic) and only a subset of the algebraic numbers can be constructed by compass and straightedge. Two other classical problems—trisecting the general angle and doubling the cube—were also proved impossible in the 19th century.

A problem arising in the 16th century was that of creating a general formula using radicals expressing the solution of any polynomial equation of fixed degree k, where k ≥ 5. In the 1820s, the Abel–Ruffini theorem (also known as Abel's impossibility theorem) showed this to be impossible, using concepts such as solvable groups from Galois theory—a new subfield of abstract algebra.

Among the most important proofs of impossibility of the 20th century were those related to undecidability, which showed that there are problems that cannot be solved in general by any algorithm at all, with the most famous one being the halting problem. Other similarly-related findings are those of the Gödel's incompleteness theorems, which uncovers some fundamental limitations in the provability of formal systems.

In computational complexity theory, techniques like relativization (see oracle machine) provide "weak" proofs of impossibility excluding certain proof techniques. Other techniques, such as proofs of completeness for a complexity class, provide evidence for the difficulty of problems, by showing them to be just as hard to solve as other known problems that have proved intractable.

Types of impossibility proof

Proof by contradiction

One widely used type of impossibility proof is proof by contradiction. In this type of proof, it is shown that if something, such as a solution to a particular class of equations, were possible, then two mutually contradictory things would be true, such as a number being both even and odd. The contradiction implies that the original premise is impossible.

Proof by descent

One type of proof by contradiction is proof by descent, which proceeds first by assuming that something is possible, such as a positive integer solution to a class of equations, and that therefore there must be a smallest solution. From the alleged smallest solution, it is then shown that a smaller solution can be found, contradicting the premise that the former solution was the smallest one possible—thereby showing that the original premise (that a solution exists) must be false.

Types of disproof of impossibility conjectures

There are two alternative methods of disproving a conjecture that something is impossible: by counterexample (constructive proof) and by logical contradiction (non-constructive proof).

The obvious way to disprove an impossibility conjecture by providing a single counterexample. For example, Euler proposed that at least n different nth powers were necessary to sum to yet another nth power. The conjecture was disproved in 1966, with a counterexample involving a count of only four different 5th powers summing to another fifth power:

275 + 845 + 1105 + 1335 = 1445.

A proof by counterexample is a constructive proof, in that an object disproving the claim is exhibited. In contrast, a non-constructive proof of an impossibility claim would proceed by showing it is logically contradictory for all possible counterexamples to be invalid: At least one of the items on a list of possible counterexamples must actually be a valid counterexample to the impossibility conjecture. For example, a conjecture that it is impossible for an irrational power raised to an irrational power to be rational was disproved, by showing that one of two possible counterexamples must be a valid counterexample, without showing which one it is.

The existence of irrational numbers: The Pythagoreans' proof

The proof by Pythagoras (or more likely one of his students) about 500 BCE has had a profound effect on mathematics. It shows that the square root of 2 cannot be expressed as the ratio of two integers (counting numbers). The proof bifurcated "the numbers" into two non-overlapping collections—the rational numbers and the irrational numbers. This bifurcation was used by Cantor in his diagonal method, which in turn was used by Turing in his proof that the Entscheidungsproblem, the decision problem of Hilbert, is undecidable.

It is unknown when, or by whom, the "theorem of Pythagoras" was discovered. The discovery can hardly have been made by Pythagoras himself, but it was certainly made in his school. Pythagoras lived about 570–490 BCE. Democritus, born about 470 BCE, wrote on irrational lines and solids ...

— Heath

Proofs followed for various square roots of the primes up to 17.

There is a famous passage in Plato's Theaetetus in which it is stated that Teodorus (Plato's teacher) proved the irrationality of

taking all the separate cases up to the root of 17 square feet ... .

A more general proof now exists that:

The mth root of an integer N is irrational, unless N is the mth power of an integer n".

That is, it is impossible to express the mth root of an integer N as the ratio ab of two integers a and b, that share no common prime factor except in cases in which b = 1.

Impossible constructions sought by the ancient Greeks

Three famous questions of Greek geometry were how:

  1. ... with compass and straight-edge to trisect any angle,
  2. to construct a cube with a volume twice the volume of a given cube
  3. to construct a square equal in area to that of a given circle.

For more than 2,000 years unsuccessful attempts were made to solve these problems; at last, in the 19th century it was proved that the desired constructions are logically impossible.

A fourth problem of the ancient Greeks was to construct an equilateral polygon with a specified number n of sides, beyond the basic cases n = 3, 4, 5, 6 that they knew how to construct.

All of these are problems in Euclidean construction, and Euclidean constructions can be done only if they involve only Euclidean numbers (by definition of the latter) (Hardy and Wright p. 159). Irrational numbers can be Euclidean. A good example is the irrational number the square root of 2. It is simply the length of the hypotenuse of a right triangle with legs both one unit in length, and it can be constructed with straightedge and compass. But it was proved centuries after Euclid that Euclidean numbers cannot involve any operations other than addition, subtraction, multiplication, division, and the extraction of square roots.

Angle trisection and doubling the cube

Both trisecting the general angle and doubling the cube require taking cube roots, which are not constructible numbers by compass and straightedge.

Squaring the circle

is not a Euclidean number ... and therefore it is impossible to construct, by Euclidean methods a length equal to the circumference of a circle of unit diameter

A proof exists to demonstrate that any Euclidean number is an algebraic number—a number that is the solution to some polynomial equation. Therefore, because was proved in 1882 to be a transcendental number and thus by definition not an algebraic number, it is not a Euclidean number. Hence the construction of a length from a unit circle is impossible, and the circle cannot be squared.

Constructing an equilateral n-gon

The Gauss-Wantzel theorem showed in 1837 that constructing an equilateral n-gon is impossible for most values of n.

Euclid's parallel axiom

Nagel and Newman consider the question raised by the parallel postulate to be "...perhaps the most significant development in its long-range effects upon subsequent mathematical history" (p. 9).

The question is: can the axiom that two parallel lines "...will not meet even 'at infinity'" (footnote, ibid) be derived from the other axioms of Euclid's geometry? It was not until work in the nineteenth century by "... Gauss, Bolyai, Lobachevsky, and Riemann, that the impossibility of deducing the parallel axiom from the others was demonstrated. This outcome was of the greatest intellectual importance. ...a proof can be given of the impossibility of proving certain propositions [in this case, the parallel postlate] within a given system [in this case, Euclid's first four postulates]". (p. 10)

Fermat's Last Theorem

Fermat's Last Theorem was conjectured by Pierre de Fermat in the 1600s, states the impossibility of finding solutions in positive integers for the equation with . Fermat himself gave a proof for the n = 4 case using his technique of infinite descent, and other special cases were subsequently proved, but the general case was not proved until 1994 by Andrew Wiles.

Richard's paradox

This profound paradox presented by Jules Richard in 1905 informed the work of Kurt Gödel (cf Nagel and Newman p. 60ff) and Alan Turing. A succinct definition is found in Principia Mathematica:

Richard's paradox ... is as follows. Consider all decimals that can be defined by means of a finite number of words [“words” are symbols; boldface added for emphasis]; let E be the class of such decimals. Then E has [an infinite number of] terms; hence its members can be ordered as the 1st, 2nd, 3rd, ... Let X be a number defined as follows [Whitehead & Russell now employ the Cantor diagonal method].
If the n-th figure in the n-th decimal is p, let the n-th figure in X be p + 1 (or 0, if p = 9). Then X is different from all the members of E, since, whatever finite value n may have, the n-th figure in X is different from the n-th figure in the n-th of the decimals composing E, and therefore X is different from the n-th decimal. Nevertheless we have defined X in a finite number of words [i.e. this very definition of “word” above.] and therefore X ought to be a member of E. Thus X both is and is not a member of E.

— Principia Mathematica, 2nd edition 1927, p. 61

Kurt Gödel considered his proof to be “an analogy” of Richard's paradox, which he called “Richard's antinomy”. See more below about Gödel's proof.

Alan Turing constructed this paradox with a machine and proved that this machine could not answer a simple question: will this machine be able to determine if any machine (including itself) will become trapped in an unproductive ‘infinite loop’ (i.e. it fails to continue its computation of the diagonal number).

Can this theorem be proved from these axioms? Gödel's proof

To quote Nagel and Newman (p. 68), "Gödel's paper is difficult. Forty-six preliminary definitions, together with several important preliminary theorems, must be mastered before the main results are reached" (p. 68). In fact, Nagel and Newman required a 67-page introduction to their exposition of the proof. But if the reader feels strong enough to tackle the paper, Martin Davis observes that "This remarkable paper is not only an intellectual landmark, but is written with a clarity and vigor that makes it a pleasure to read" (Davis in Undecidable, p. 4). It is recommended that most readers see Nagel and Newman first.

So what did Gödel prove? In his own words:

"It is reasonable... to make the conjecture that ...[the] axioms [from Principia Mathematica and Peano ] are ... sufficient to decide all mathematical questions which can be formally expressed in the given systems. In what follows it will be shown that this is not the case, but rather that ... there exist relatively simple problems of the theory of ordinary whole numbers which cannot be decided on the basis of the axioms" (Gödel in Undecidable, p. 4).

Gödel compared his proof to "Richard's antinomy" (an "antinomy" is a contradiction or a paradox; for more see Richard's paradox):

"The analogy of this result with Richard's antinomy is immediately evident; there is also a close relationship [14] with the Liar Paradox (Gödel's footnote 14: Every epistemological antinomy can be used for a similar proof of undecidability)... Thus we have a proposition before us which asserts its own unprovability [15]. (His footnote 15: Contrary to appearances, such a proposition is not circular, for, to begin with, it asserts the unprovability of a quite definite formula)" (Gödel in Undecidable, p.9).

Will this computing machine lock in a "circle"? Turing's first proof

  • The Entscheidungsproblem, the decision problem, was first answered by Church in April 1935 and preempted Turing by over a year, as Turing's paper was received for publication in May 1936. (Also received for publication in 1936—in October, later than Turing's—was a short paper by Emil Post that discussed the reduction of an algorithm to a simple machine-like "method" very similar to Turing's computing machine model (see Post–Turing machine for details).
  • Turing's proof is made difficult by number of definitions required and its subtle nature. See Turing machine and Turing's proof for details.
  • Turing's first proof (of three) follows the schema of Richard's paradox: Turing's computing machine is an algorithm represented by a string of seven letters in a "computing machine". Its "computation" is to test all computing machines (including itself) for "circles", and form a diagonal number from the computations of the non-circular or "successful" computing machines. It does this, starting in sequence from 1, by converting the numbers (base 8) into strings of seven letters to test. When it arrives at its own number, it creates its own letter-string. It decides it is the letter-string of a successful machine, but when it tries to do this machine's (its own) computation it locks in a circle and can't continue. Thus we have arrived at Richard's paradox. (If you are bewildered see Turing's proof for more).

A number of similar undecidability proofs appeared soon before and after Turing's proof:

  1. April 1935: Proof of Alonzo Church ("An Unsolvable Problem of Elementary Number Theory"). His proof was to "...propose a definition of effective calculability ... and to show, by means of an example, that not every problem of this class is solvable" (Undecidable p. 90))
  2. 1946: Post correspondence problem (cf Hopcroft and Ullman p. 193ff, p. 407 for the reference)
  3. April 1947: Proof of Emil Post (Recursive Unsolvability of a Problem of Thue) (Undecidable p. 293). This has since become known as "The Word problem of Thue" or "Thue's Word Problem" (Axel Thue proposed this problem in a paper of 1914 (cf References to Post's paper in Undecidable, p. 303)).
  4. Rice's theorem: a generalized formulation of Turing's second theorem (cf Hopcroft and Ullman p. 185ff)
  5. Greibach's theorem: undecidability in language theory (cf Hopcroft and Ullman p. 205ff and reference on p. 401 ibid: Greibach [1963] "The undecidability of the ambiguity problem for minimal lineal grammars," Information and Control 6:2, 117–125, also reference on p. 402 ibid: Greibach [1968] "A note on undecidable properties of formal languages", Math Systems Theory 2:1, 1–6.)
  6. Penrose tiling questions
  7. Question of solutions for Diophantine equations and the resultant answer in the MRDP Theorem; see entry below.

Can this string be compressed? Chaitin's proof

For an exposition suitable for non-specialists see Beltrami p. 108ff. Also see Franzen Chapter 8 pp. 137–148, and Davis pp. 263–266. Franzén's discussion is significantly more complicated than Beltrami's and delves into Ω—Gregory Chaitin's so-called "halting probability". Davis's older treatment approaches the question from a Turing machine viewpoint. Chaitin has written a number of books about his endeavors and the subsequent philosophic and mathematical fallout from them.

A string is called (algorithmically) random if it cannot be produced from any shorter computer program. While most strings are random, no particular one can be proved so, except for finitely many short ones:

"A paraphrase of Chaitin's result is that there can be no formal proof that a sufficiently long string is random..." (Beltrami p. 109)

Beltrami observes that "Chaitin's proof is related to a paradox posed by Oxford librarian G. Berry early in the twentieth century that asks for 'the smallest positive integer that cannot be defined by an English sentence with fewer than 1000 characters.' Evidently, the shortest definition of this number must have at least 1000 characters. However, the sentence within quotation marks, which is itself a definition of the alleged number is less than 1000 characters in length!" (Beltrami, p. 108)

Does this Diophantine equation have an integer solution? Hilbert's tenth problem

The question "Does any arbitrary "Diophantine equation" have an integer solution?" is undecidable.That is, it is impossible to answer the question for all cases.

Franzén introduces Hilbert's tenth problem and the MRDP theorem (Matiyasevich-Robinson-Davis-Putnam theorem) which states that "no algorithm exists which can decide whether or not a Diophantine equation has any solution at all". MRDP uses the undecidability proof of Turing: "... the set of solvable Diophantine equations is an example of a computably enumerable but not decidable set, and the set of unsolvable Diophantine equations is not computably enumerable" (p. 71).

In social science

In political science, Arrow's impossibility theorem states that it is impossible to devise a voting system that satisfies a set of five specific axioms. This theorem is proved by showing that four of the axioms together imply the opposite of the fifth.

In economics, Holmström's theorem is an impossibility theorem proving that no incentive system for a team of agents can satisfy all of three desirable criteria.

In natural science

In natural science, impossibility assertions (like other assertions) come to be widely accepted as overwhelmingly probable rather than considered proved to the point of being unchallengeable. The basis for this strong acceptance is a combination of extensive evidence of something not occurring, combined with an underlying theory, very successful in making predictions, whose assumptions lead logically to the conclusion that something is impossible.

Two examples of widely accepted impossibilities in physics are perpetual motion machines, which violate the law of conservation of energy, and exceeding the speed of light, which violates the implications of special relativity. Another is the uncertainty principle of quantum mechanics, which asserts the impossibility of simultaneously knowing both the position and the momentum of a particle. Also Bell's theorem: no physical theory of local hidden variables can ever reproduce all of the predictions of quantum mechanics.

While an impossibility assertion in natural science can never be absolutely proved, it could be refuted by the observation of a single counterexample. Such a counterexample would require that the assumptions underlying the theory that implied the impossibility be re-examined.

Cyclotron

From Wikipedia, the free encyclopedia

Lawrence's 60-inch cyclotron, with magnet poles 60 inches (5 feet, 1.5 meters) in diameter, at the University of California Lawrence Radiation Laboratory, Berkeley, in August, 1939, the most powerful accelerator in the world at the time. Glenn T. Seaborg and Edwin M. McMillan (right) used it to discover plutonium, neptunium, and many other transuranic elements and isotopes, for which they received the 1951 Nobel Prize in chemistry. The cyclotron's huge magnet is at left, with the flat accelerating chamber between its poles in the center. The beamline which analyzed the particles is at right.

A cyclotron is a type of particle accelerator invented by Ernest O. Lawrence in 1929–1930 at the University of California, Berkeley, and patented in 1932. A cyclotron accelerates charged particles outwards from the center of a flat cylindrical vacuum chamber along a spiral path. The particles are held to a spiral trajectory by a static magnetic field and accelerated by a rapidly varying electric field. Lawrence was awarded the 1939 Nobel Prize in Physics for this invention.

The cyclotron was the first "cyclical" accelerator. In existing electrostatic accelerators of the time, such as the Cockcroft–Walton accelerator and Van de Graaff generator, particles would cross an accelerating electric field only once. Thus, the energy gained by the particles was limited by the maximum electrical potential that could be achieved across the accelerating region. This was in turn limited by electrostatic breakdown to a few million volts. In a cyclotron, by contrast, the particles encounter the accelerating region many times by following a spiral path, so the output energy can be many times the energy gained in a single accelerating step.

Cyclotrons were the most powerful particle accelerator technology until the 1950s, when they were superseded by the synchrotron. Despite no longer being the highest-energy accelerator, they are still widely used to produce particle beams for basic research and nuclear medicine. Close to 1500 cyclotrons are used in nuclear medicine worldwide for the production of medical radionuclides. In addition, cyclotrons can be used for particle therapy, where particle beams are directly applied to patients.

History

Lawrence's 60-inch cyclotron, circa 1939, showing the beam of accelerated ions (likely protons or deuterons) exiting the machine and ionizing the surrounding air causing a blue glow.
 
The magnet yoke for the 37″ cyclotron on display at the Lawrence Hall of Science, Berkeley California.

In late 1928 and early 1929 Hungarian physicist Leo Szilárd filed patent applications in Germany (later abandoned) for the linear accelerator, cyclotron, and betatron. In these applications, Szilárd became the first person to discuss the resonance condition (what is now called the cyclotron frequency) for a circular accelerating apparatus. Several months later, in the early summer of 1929, Ernest Lawrence independently conceived the cyclotron concept after reading a paper by Rolf Widerøe describing a drift tube accelerator. He published a paper in Science in 1930, and patented the device in 1932.

To construct the first such device, Lawrence used large electromagnets recycled from obsolete arc converters provided by the Federal Telegraph Company. He was assisted by a graduate student, M. Stanley Livingston Their first working cyclotron became operational in January 1931. This machine had a radius of 4.5 inches (11 cm), and accelerated protons to an energy up to 80 keV.

At the Radiation Laboratory of the University of California, Berkeley, Lawrence and his collaborators went on to construct a series of cyclotrons which were the most powerful accelerators in the world at the time; a 27 in (69 cm) 4.8 MeV machine (1932), a 37 in (94 cm) 8 MeV machine (1937), and a 60 in (152 cm) 16 MeV machine (1939). Lawrence received the 1939 Nobel Prize in Physics for the invention and development of the cyclotron and for results obtained with it.

The first European cyclotron was constructed in the Soviet Union in the physics department of the Radium Institute in Leningrad, headed by Vitaly Khlopin [ru]. This Leningrad instrument was first proposed in 1932 by George Gamow and Lev Mysovskii [ru] and was installed and became operative by 1937.

Two cyclotrons were built in Nazi Germany. The first was constructed in 1937, in Otto Hahn's laboratory at the Kaiser Wilhelm Institute in Berlin, and was also used by Rudolf Fleischmann. It was the first cyclotron with a Greinacher multiplier to increase the voltage to 2.8 MV and 3 mA current. A second cyclotron was built in Heidelberg under the supervision of Walther Bothe and Wolfgang Gentner, with support from the Heereswaffenamt, and became operative in 1943.

By the late 1930s it had become clear that there was a practical limit on the beam energy that could be achieved with the traditional cyclotron design, due to the effects of special relativity. As particles reach relativistic speeds, their effective mass increases, which causes the resonant frequency for a given magnetic field to change. To address this issue and reach higher beam energies using cyclotrons, two primary approaches were taken, synchrocyclotrons (which hold the magnetic field constant, but increase the accelerating frequency) and isochronous cyclotrons (which hold the accelerating frequency constant, but alter the magnetic field).

Lawrence's team built one of the first synchrocyclotrons in 1946. This 184 in (4.7 m) machine eventually achieved a maximum beam energy of 350 MeV for protons. However, synchrocyclotrons suffer from low beam intensities (< 1 µA), and must be operated in a "pulsed" mode, further decreasing the available total beam. As such, they were quickly overtaken in popularity by isochronous cyclotrons.

The first isochronous cyclotron (other than classified prototypes) was built by F. Heyn and K.T. Khoe in Delft, the Netherlands, in 1956. Early isochronous cyclotrons were limited to energies of ~50 MeV per nucleon, but as manufacturing and design techniques gradually improved, the construction of "spiral-sector" cyclotrons allowed the acceleration and control of more powerful beams. Later developments included the use of more powerful superconducting magnets and the separation of the magnets into discrete sectors, as opposed to a single large magnet.

Principle of operation

Diagram of a cyclotron. The magnet's pole pieces are shown smaller than in reality; they must actually be at least as wide as the accelerating electrodes ("dees") to create a uniform field.

Cyclotron principle

Illustration of a linear accelerator, showing the increasing separation between gaps.
 
Diagram of cyclotron operation from Lawrence's 1934 patent. The "D" shaped electrodes (left) are enclosed in a flat vacuum chamber, which is installed in a narrow gap between the two poles of a large magnet.(right)
 
Vacuum chamber of Lawrence 69 cm (27 in) 1932 cyclotron with cover removed, showing the dees. The 13,000 V RF accelerating potential at about 27 MHz is applied to the dees by the two feedlines visible at top right. The beam emerges from the dees and strikes the target in the chamber at bottom.

In a particle accelerator, charged particles are accelerated by applying an electric field across a gap. The force on the particle is given by the Lorentz force law:

where q is the charge on the particle, E is the electric field, v is the particle velocity, and B is the magnetic field. Consequently, it is not possible to accelerate particles using a static magnetic field, as the magnetic force always acts perpendicularly to the direction of motion.

In practice, the magnitude of a static field which can be applied across a gap is limited by the need to avoid electrostatic breakdown. As such, modern particle accelerators use alternating (radio frequency) electric fields for acceleration. Since an alternating field across a gap only provides an acceleration in the forward direction for a portion of its cycle, particles in RF accelerators travel in bunches, rather than a continuous stream. In a linear particle accelerator, in order for a bunch to "see" a forward voltage every time it crosses a gap, the gaps must be placed further and further apart, in order to compensate for the increasing speed of the particle.

A cyclotron, by contrast, uses a magnetic field to bend the particle trajectories into a spiral, thus allowing the same gap to be used many times to accelerate a single bunch. As the bunch spirals outward, the increasing distance between transits of the gap is exactly balanced by the increase in speed, so a bunch will reach the gap at the same point in the RF cycle every time.

The frequency at which a particle will orbit in a perpendicular magnetic field is known as the cyclotron frequency, and depends, in the non-relativistic case, solely on the charge and mass of the particle, and the strength of the magnetic field:

where f is the (linear) frequency, q is the charge of the particle, B is the magnitude of the magnetic field that is perpendicular to the plane in which the particle is travelling, and m is the particle mass. The property that the frequency is independent of particle velocity is what allows a single, fixed gap to be used to accelerate a particle travelling in a spiral.

Particle energy

Each time a particle crosses the accelerating gap in a cyclotron, it is given an accelerating force by the electric field across the gap, and the total particle energy gain can be calculated by multiplying the increase per crossing by the number of times the particle crosses the gap.

However, given the typically high number of revolutions, it is usually simpler to estimate the energy by combining the equation for frequency in circular motion:

with the cyclotron frequency equation to yield:

The kinetic energy for particles with velocity v is therefore given by:

where R is the radius at which the energy is to be determined. The limit on the beam energy which can be produced by a given cyclotron thus depends on the maximum radius which can be reached by the magnetic field and the accelerating structures, and on the maximum strength of the magnetic field which can be achieved.

K-factor

In the nonrelativistic approximation, the maximum kinetic energy per atomic mass for a given cyclotron is given by:

where is the elementary charge, is the strength of the magnet, is the maximum radius of the beam, is an atomic mass unit, is the charge of the beam particles, and is the atomic mass of the beam particles. The value of K

is known as the "K-factor", and is used to characterize the maximum beam energy of a cyclotron. It represents the theoretical maximum energy of protons (with Q and A equal to 1) accelerated in a given machine.

Relativistic considerations

In the non-relativistic approximation, the cyclotron frequency does not depend upon the particle's speed or the radius of the particle's orbit. As the beam spirals outward, the rotation frequency stays constant, and the beam continues to accelerate as it travels a greater distance in the same time period.

In contrast to this approximation, as particles approach the speed of light, the cyclotron frequency decreases due to the change in relativistic mass. This change is proportional to the particle's Lorentz factor.

The relativistic mass can be written as:

where:

  • is the particle rest mass,
  • is the relative velocity, and
  • is the Lorentz factor.

Substituting this into the equations for cyclotron frequency and angular frequency gives:

The gyroradius for a particle moving in a static magnetic field is then given by:

Approaches to relativistic cyclotrons

Synchrocyclotron

Since increases as the particle reaches relativistic velocities, acceleration of relativistic particles therefore requires modification of the cyclotron to ensure the particle crosses the gap at the same point in the RF cycle. If the frequency of the accelerating electric field is varied while the magnetic field is held constant, this leads to the synchrocyclotron

Here the frequency is a function of particle radius, and is adjusted to balance the relativistic change of particle velocity (incorporated into ) with radius.

Isochronous cyclotron

If instead the magnetic field is varied with radius while the frequency of the accelerating field is held constant, this leads to the isochronous cyclotron.

Here the magnetic field B is a function of radius, chosen to maintain a constant frequency f as increases.

Isochronous cyclotrons are capable of producing much greater beam current than synchrocyclotrons, but require precisely shaped variations in the magnetic field strength to provide a focusing effect and keep the particles captured in their spiral trajectory. For this reason, an isochronous cyclotron is also called an "AVF (azimuthal varying field) cyclotron". This solution for focusing the particle beam was proposed by L. H. Thomas in 1938. Almost all modern cyclotrons use azimuthally-varying fields.

Fixed-field alternating gradient accelerator

An approach which combines static magnetic fields (as in the synchrocyclotron) and alternating gradient focusing (as in a synchrotron) is the fixed-field alternating gradient accelerator (FFA). In an isochronous cyclotron, the magnetic field is shaped by using precisely machined steel magnet poles. This variation provides a focusing effect as the particles cross the edges of the poles. In an FFA, separate magnets with alternating directions are used to focus the beam using the principle of strong focusing. The field of the focusing and bending magnets in an FFA is not varied over time, so the beam chamber must still be wide enough to accommodate a changing beam radius within the field of the focusing magnets as the beam accelerates.

Classifications

A French cyclotron, produced in Zurich, Switzerland in 1937. The vacuum chamber containing the dees (at left) has been removed from the magnet (red, at right)

Cyclotron types

There are a number of basic types of cyclotron:

Classical cyclotron
The earliest and simplest cyclotron. Classical cyclotrons have uniform magnetic fields and a constant accelerating frequency. They are limited to nonrelativistic particle velocities (the output energy small compared to the particle's rest energy), and have no active focusing to keep the beam aligned in the plane of acceleration.
Synchrocyclotron
The synchrocyclotron extended the energy of the cyclotron into the relativistic regime by decreasing the frequency of the accelerating field as the orbit of the particles increased to keep it synchronized with the particle revolution frequency. Because this requires pulsed operation, the integrated total beam current was low compared to the classical cyclotron. In terms of beam energy, these were the most powerful accelerators during the 1950s, before the development of the synchrotron.
Isochronous cyclotron (isocyclotron)
These cyclotrons extend output energy into the relativistic regime by altering the magnetic field to compensate for the change in cyclotron frequency as the particles reached relativistic speed. They use shaped magnet pole pieces to create a nonuniform magnetic field stronger in peripheral regions. Most modern cyclotrons are of this type. The pole pieces can also be shaped to cause the beam to keep the particles focused in the acceleration plane as the orbit. This is known as "sector focusing" or "azimuthally-varying field focusing", and uses the principle of alternating-gradient focusing.
Separated sector cyclotron
Separated sector cyclotrons are machines in which the magnet is in separate sections, separated by gaps without field.
Superconducting cyclotron
"Superconducting" in the cyclotron context refers to the type of magnet used to bend the particle orbits into a spiral. Superconducting magnets can produce substantially higher fields in the same area than normal conducting magnets, allowing for more compact, powerful machines. The first superconducting cyclotron was the K500 at the Michigan State University, which came online in 1981.

Beam types

The particles for cyclotron beams are produced in ion sources of various types.

Proton beams
The simplest type of cyclotron beam, proton beams are typically created by ionizing hydrogen gas.
H beams
Accelerating negative hydrogen ions simplifies extracting the beam from the machine. At the radius corresponding to the desired beam energy, a metal foil is used to strip the electrons from the H ions, transforming them into positively charged H+ ions. The change in polarity causes the beam to be deflected in the opposite direction by the magnetic field, allowing the beam to be transported out of the machine.
Heavy ion beams
Beams of particles heavier than hydrogen are referred to as heavy ion beams, and can range from deuterium nuclei (one proton and one neutron) up to uranium nuclei. The increase in energy required to accelerate heavier particles is balanced by stripping more electrons from the atom to increase the electric charge of the particles, thus increasing acceleration efficiency.

Target types

To make use of the cyclotron beam, it must be directed to a target.

Internal targets
The simplest way to strike a target with a cyclotron beam is to insert it directly into the path of the beam in the cyclotron. Internal targets have the disadvantage that they must be compact enough to fit within the cyclotron beam chamber, making them impractical for many medical and research uses.
External targets
While extracting a beam from a cyclotron to impinge on an external target is more complicated than using an internal target, it allows for greater control of the placement and focus of the beam, and much more flexibility in the types of targets to which the beam can be directed.

Usage

A modern cyclotron used for radiation therapy. The magnet is painted yellow.

Basic research

For several decades, cyclotrons were the best source of high-energy beams for nuclear physics experiments. With the advent of strong focusing synchrotrons, cyclotrons were supplanted as the accelerators capable of producing the highest energies. However, due to their compactness, and therefore lower expense compared to high energy synchrotrons, cyclotrons are still used to create beams for research where the primary consideration is not achieving the maximum possible energy. Cyclotron based nuclear physics experiments are used to measure basic properties of isotopes (particularly short lived radioactive isotopes) including half life, mass, interaction cross sections, and decay schemes.

Medical uses

Radioisotope production

Cyclotron beams can be used to bombard other atoms to produce short-lived isotopes with a variety of medical uses, including medical imaging and radiotherapy. Positron and gamma emitting isotopes, such as fluorine-18, carbon-11, and technetium-99m are used for PET and SPECT imaging. While cyclotron produced radioisotopes are widely used for diagnostic purposes, therapeutic uses are still largely in development. Proposed isotopes include astatine-211, palladium-103, rhenium-186, and bromine-77, among others.

Beam therapy

Beams from cyclotrons can be used in particle therapy to treat cancer. Ion beams from cyclotrons can be used, as in proton therapy, to penetrate the body and kill tumors by radiation damage, while minimizing damage to healthy tissue along their path. As of 2020, there were approximately 80 facilities worldwide for radiotherapy using beams of protons and heavy ions, consisting of a mixture of cyclotrons and synchrotrons. Cyclotrons are primarily used for proton beams, while synchrotrons are used to produce heavier ions.

Advantages and limitations

M. Stanley Livingston and Ernest O. Lawrence (right) in front of Lawrence's 69 cm (27 in) cyclotron at the Lawrence Radiation Laboratory. The curving metal frame is the magnet's core, the large cylindrical boxes contain the coils of wire that generate the magnetic field. The vacuum chamber containing the "dee" electrodes is in the center between the magnet's poles.

The most obvious advantage of a cyclotron over a linear accelerator is that because the same accelerating gap is used many times, it is both more space efficient and more cost efficient; particles can be brought to higher energies in less space, and with less equipment. The compactness of the cyclotron reduces other costs as well, such as foundations, radiation shielding, and the enclosing building. Cyclotrons have a single electrical driver, which saves both equipment and power costs. Furthermore, cyclotrons are able to produce a continuous beam of particles at the target, so the average power passed from a particle beam into a target is relatively high compared to the pulsed beam of a synchrotron.

However, as discussed above, a constant frequency acceleration method is only possible when the accelerated particles are approximately obeying Newton's laws of motion. If the particles become fast enough that relativistic effects become important, the beam becomes out of phase with the oscillating electric field, and cannot receive any additional acceleration. The classical cyclotron (constant field and frequency) is therefore only capable of accelerating particles up to a few percent of the speed of light. Synchro-, isochronous, and other types of cyclotrons can overcome this limitation, with the tradeoff of increased complexity and cost.

An additional limitation of cyclotrons is due to space charge effects – the mutual repulsion of the particles in the beam. As the amount of particles (beam current) in a cyclotron beam is increased, the effects of electrostatic repulsion grow stronger until they disrupt the orbits of neighboring particles. This puts a functional limit on the beam intensity, or the number of particles which can be accelerated at one time, as distinct from their energy.

Notable examples

Name Country Date Energy Beam Diameter In use? Comments
Lawrence 4.5-inch Cyclotron United StatesUnited States 1931 80 keV Protons 4.5 inches (0.11 m) No First working cyclotron
Lawrence 184-inch Cyclotron United StatesUnited States 1946 380 MeV Alpha particles, deuterium, protons 184 inches (4.7 m) No First synchrocyclotron
TU Delft Isochronous Cyclotron NetherlandsNetherlands 1958 12 MeV Protons 0.36 m No First isochronous cyclotron
PSI Ring Cyclotron SwitzerlandSwitzerland 1974 592 MeV Protons 15 m Yes Highest beam intensity of any cyclotron
TRIUMF 520 MeV CanadaCanada 1976 520 MeV H 56 feet (17 m) Yes Largest normal conductivity cyclotron
Michigan State University K500 United StatesUnited States 1982 500 MeV/u Heavy Ion 52 inches (1.3 m) No First superconducting cyclotron
RIKEN Superconducting Ring Cyclotron JapanJapan 2006 400 MeV/u Heavy Ion 18.4 m Yes K-value of 2600 is highest ever achieved

Related technologies

The spiraling of electrons in a cylindrical vacuum chamber within a transverse magnetic field is also employed in the magnetron, a device for producing high frequency radio waves (microwaves). In the magnetron, electrons are bent into a circular path by a magnetic field, and their motion is used to excite resonant cavities, producing electromagnetic radiation.

A betatron uses the change in the magnetic field to accelerate electrons in a circular path. While static magnetic fields cannot provide acceleration, as the force always acts perpendicularly to the direction of particle motion, changing fields can be used to induce an electromotive force in the same manner as in a transformer. The betatron was developed in 1940, although the idea had been proposed substantially earlier.

A synchrotron is another type of particle accelerator that uses magnets to bend particles into a circular trajectory. Unlike in a cyclotron, the particle path in a synchrotron has a fixed radius. Particles in a synchrotron pass accelerating stations at increasing frequency as they get faster. To compensate for this frequency increase, both the frequency of the applied accelerating electric field and the magnetic field must be increased in tandem, leading to the "synchro" portion of the name.

In fiction

The United States Department of War famously asked for dailies of the Superman comic strip to be pulled in April 1945 for having Superman bombarded with the radiation from a cyclotron. In 1950, however, in Atom Man vs. Superman, Lex Luthor uses a cyclotron to start an earthquake.

In the 1984 film Ghostbusters, a miniature cyclotron forms part of the proton pack used for catching ghosts.

Operator (computer programming)

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