Commercial Use (commercial + use)

Distribution by Scientific Domains


Selected Abstracts


Privacy and Commercial Use of Personal Data: Policy Developments in the United States

JOURNAL OF CONTINGENCIES AND CRISIS MANAGEMENT, Issue 1 2003
Priscilla Regan
In the online and offline worlds, the value of personal information , especially information about commercial purchases and preferences , has long been recognised. Exchanges and uses of personal information have also long sparked concerns about privacy. Public opinion surveys consistently indicate that overwhelming majorities of the American public are concerned that they have lost all control over information about themselves and do not trust organisations to protect the privacy of their information. Somewhat smaller majorities favour federal legislation to protect privacy. Despite public support for stronger privacy protection, the prevailing policy stance for over thirty years has been one of reluctance to legislate and a preference for self-regulation by business to protect privacy. Although some privacy legislation has been adopted, policy debates about the commercial uses of personal information have been dominated largely by business concerns about intrusive government regulation, free speech and the flow of commercial information, costs, and effectiveness. Public concerns about privacy, reflected in public opinion surveys and voiced by a number of public interest groups, are often discredited because individuals seem to behave as though privacy is not important. Although people express concern about privacy, they routinely disclose personal information because of convenience, discounts and other incentives, or a lack of understanding of the consequences. This disconnect between public opinion and public behaviour has been interpreted to support a self-regulatory approach to privacy protections with emphasis on giving individuals notice and choice about information practices. In theory the self-regulatory approach also entails some enforcement mechanism to ensure that organisations are doing what they claim, and a redress mechanism by which individuals can seek compensation if they are wronged. This article analyses the course of policy formulation over the last twenty years with particular attention on how policymakers and stakeholders have used public opinion about the commercial use of personal information in formulating policy to protect privacy. The article considers policy activities in both Congress and the Federal Trade Commission that have resulted in an emphasis on "notice and consent." The article concludes that both individual behaviour and organisational behaviour are skewed in a privacy invasive direction. People are less likely to make choices to protect their privacy unless these choices are relatively easy, obvious, and low cost. If a privacy protection choice entails additional steps, most rational people will not take those steps. This appears logically to be true and to be supported by behaviour in the physical world. Organisations are unlikely to act unilaterally to make their practices less privacy invasive because such actions will impose costs on them that are not imposed on their competitors. Overall then, the privacy level available is less than what the norms of society and the stated preferences of people require. A consent scheme that is most protective of privacy imposes the largest burden on the individual, as well as costs to the individual, while a consent scheme that is least protective of privacy imposes the least burden on the individual, as well as fewer costs to the individual. Recent experience with privacy notices that resulted from the financial privacy provisions in Gramm-Leach-Bliley supports this conclusion. Finally, the article will consider whether the terrorist attacks of 11 September have changed public opinion about privacy and what the policy implications of any changes in public opinion are likely to be. [source]


Phase Change Materials for the Improvement of Heat Protection,

ADVANCED ENGINEERING MATERIALS, Issue 5 2005
M. Rossi
Abstract The use of phase change materials (PCM) that absorb and store heat by an aggregate state change for applications in fire fighters' protective clothing was studied. PCM can help improve the heat protection of the clothing combination, and thus contribute to a reduction of the weight of the equipment and an improvement of the wearing comfort. It was found that PCM have a positive effect on heat protection, but the efficiency of the heat absorption depends on the location of the PCM layer and the incident heat intensity. Furthermore, as the PCM used was made of paraffin, its burning behavior has to be improved for a commercial use in fire fighters' protective clothing. [source]


Diatomaceous earths as alternatives to chemical insecticides in stored grain

INSECT SCIENCE, Issue 6 2006
AMIN NIKPAY
Abstract Diatomaceous earth (DE) is a natural inert dust used to control insect pests in stored grain as an alternative to synthetic residual insecticides. Various DE formulations are now registered as a grain protectant or for structural treatment in many different countries throughout the world. The mode of action of DE is through the absorption of cuticular waxes in the insect cuticle, and insect death occurs from desiccation. The main advantages of using DE are its low mammalian toxicity and its stability. The main limitations to widespread commercial use of DE are reduction of the bulk density and flowability of grain, irritant hazards during application and reduction in efficacy at high moisture contents. This paper is an updated review of published results of researches related to the use of DEs and discusses their potential use in large-scale, commercial storage and in small scale applications. [source]


The occurrence of commensal rodents in dwellings as revealed by the 1996 English House Condition Survey

JOURNAL OF APPLIED ECOLOGY, Issue 4 2001
S.D. Langton
Summary 1,The presence of commensal rodents was assessed in the 1996 English House Condition Survey (EHCS). Logistic regression techniques were used to identify the key factors that might determine the susceptibility of dwellings to infestation. 2,The overall percentages of dwellings that were infested, weighted to allow for the more intensive sampling used in certain categories of dwellings, were 1·83% for mice Mus domesticus, 0·23% for rats Rattus norvegicus living indoors and 1·60% for rats living outdoors. These figures excluded vacant properties, properties with some commercial use, and purpose-built flats, as these groups showed different patterns of infestation and were therefore excluded from the logistic regressions. 3,The prevalence of both rats and mice was significantly greater for dwellings where pets or livestock were kept in the garden. 4,Dwellings classed as unfit for human habitation were more likely to be infested with mice. 5,Dwellings in areas of low-density housing had a significantly higher prevalence of both rat and mouse infestation. This probably reflects the general suitability of the rural environment for commensal rodents. 6,Older properties had a relatively high prevalence of rats. This may be because their mature gardens provided suitable habitats for colonization. Once other confounding factors were taken into account, the age of the property did not influence the rate of infestation by mice. 7,Dwellings in areas with substantial problems, such as dereliction, litter, vacant properties and unkempt gardens, had a significantly higher prevalence of rats and mice. 8,This study reveals the value of applied ecological techniques, including logistic regression of presence,absence data, in understanding the distribution of commensal rodents in relation to dwellings, with the prospect of more effective management practices being developed as a consequence. [source]


Sturgeon aquaculture in China: status of current difficulties as well as future strategies based on 2002,2006/2007 surveys in eleven provinces

JOURNAL OF APPLIED ICHTHYOLOGY, Issue 6 2009
By R. Li
Summary A nationwide survey in July and August 2007 employed a representative sample of Chinese sturgeon farms from 2002,2006/2007, including data from previous surveys and official statistics dating back to 1998, showing that the development of China's sturgeon aquaculture has progressed steadily in the past few years. Acipenser baerii and Amur hybrids (Acipenser schrenckii × Huso dauricus) have become the dominant cultured species, accounting for 80% of total production. Production centers moved from the southeastern coast towards the midwestern inland provinces, where cold freshwater resources are available in abundance. The paper presents production trends as well as the price structure for commercial fish/meat and juveniles in the various provinces and also considers import and export data for products, fertilized eggs and fingerlings. Results show that: (i) production of juveniles in hatcheries has risen only slightly during the survey period; (ii) the number of larvae obtained from the wild gradually declines each year; (iii) the price for commercial fish/meat drastically declined between 1998 to 2002, but remained stable from 2002 to 2007; and (iv) total production from the 83 surveyed farms was almost stable from 2002 to 2007. Major problems influencing sustainable development of sturgeon aquaculture were identified, including: (i) insufficient domestic supply of larvae and the ban for commercial use of A. sinensis; (ii) disorganized hybridization; (iii) the potential threat to the genetics of natural stocks in the Yangtze River; (iv) diseases originating from environmental pollution and poor-quality fish feed; (v) limited domestic markets; (vi) low volume of sturgeon export due to lack of intensive processing; and (vii) lack of organizational structure in the industry. [source]


Acetyl-coenzyme A carboxylases: Versatile targets for drug discovery

JOURNAL OF CELLULAR BIOCHEMISTRY, Issue 6 2006
Liang Tong
Abstract Acetyl-coenzyme A carboxylases (ACCs) have crucial roles in fatty acid metabolism in humans and most other living organisms. They are attractive targets for drug discovery against a variety of human diseases, including diabetes, obesity, cancer, and microbial infections. In addition, ACCs from grasses are the targets of herbicides that have been in commercial use for more than 20 years. Significant progresses in both basic research and in drug discovery have been made over the past few years in the studies on these enzymes. At the basic research level, the crystal structures of the biotin carboxylase (BC) and the carboxyltransferase (CT) components of ACC have been determined, and the molecular basis for ACC inhibition by small molecules are beginning to be understood. At the drug discovery level, a large number of nanomolar inhibitors of mammalian ACCs have been reported and the extent of their therapeutic potential is being aggressively explored. This review summarizes these new progresses and also offers some prospects in terms of the future directions for the studies on these important enzymes. J. Cell. Biochem. 99: 1476,1488, 2006. © 2006 Wiley-Liss, Inc. [source]


Privacy and Commercial Use of Personal Data: Policy Developments in the United States

JOURNAL OF CONTINGENCIES AND CRISIS MANAGEMENT, Issue 1 2003
Priscilla Regan
In the online and offline worlds, the value of personal information , especially information about commercial purchases and preferences , has long been recognised. Exchanges and uses of personal information have also long sparked concerns about privacy. Public opinion surveys consistently indicate that overwhelming majorities of the American public are concerned that they have lost all control over information about themselves and do not trust organisations to protect the privacy of their information. Somewhat smaller majorities favour federal legislation to protect privacy. Despite public support for stronger privacy protection, the prevailing policy stance for over thirty years has been one of reluctance to legislate and a preference for self-regulation by business to protect privacy. Although some privacy legislation has been adopted, policy debates about the commercial uses of personal information have been dominated largely by business concerns about intrusive government regulation, free speech and the flow of commercial information, costs, and effectiveness. Public concerns about privacy, reflected in public opinion surveys and voiced by a number of public interest groups, are often discredited because individuals seem to behave as though privacy is not important. Although people express concern about privacy, they routinely disclose personal information because of convenience, discounts and other incentives, or a lack of understanding of the consequences. This disconnect between public opinion and public behaviour has been interpreted to support a self-regulatory approach to privacy protections with emphasis on giving individuals notice and choice about information practices. In theory the self-regulatory approach also entails some enforcement mechanism to ensure that organisations are doing what they claim, and a redress mechanism by which individuals can seek compensation if they are wronged. This article analyses the course of policy formulation over the last twenty years with particular attention on how policymakers and stakeholders have used public opinion about the commercial use of personal information in formulating policy to protect privacy. The article considers policy activities in both Congress and the Federal Trade Commission that have resulted in an emphasis on "notice and consent." The article concludes that both individual behaviour and organisational behaviour are skewed in a privacy invasive direction. People are less likely to make choices to protect their privacy unless these choices are relatively easy, obvious, and low cost. If a privacy protection choice entails additional steps, most rational people will not take those steps. This appears logically to be true and to be supported by behaviour in the physical world. Organisations are unlikely to act unilaterally to make their practices less privacy invasive because such actions will impose costs on them that are not imposed on their competitors. Overall then, the privacy level available is less than what the norms of society and the stated preferences of people require. A consent scheme that is most protective of privacy imposes the largest burden on the individual, as well as costs to the individual, while a consent scheme that is least protective of privacy imposes the least burden on the individual, as well as fewer costs to the individual. Recent experience with privacy notices that resulted from the financial privacy provisions in Gramm-Leach-Bliley supports this conclusion. Finally, the article will consider whether the terrorist attacks of 11 September have changed public opinion about privacy and what the policy implications of any changes in public opinion are likely to be. [source]


Review Article: Fragrance technology for the dermatologist , a review and practical application

JOURNAL OF COSMETIC DERMATOLOGY, Issue 3 2010
Claudia S Cortez-Pereira MSc
Summary Cosmetic product development has increased in recent years. The value of a product is emphasized in its safety and effectiveness. The stability study in the context of product quality evaluation during shelf life becomes primordial to guarantee the integrity of the physical, chemical, and olfactory properties. In this study, aromatic compositions had been submitted to the stability normal test, at low temperature (4.0 ± 2.0 °C), at room temperature (22.0 ± 2.0 °C), and in oven (45.0 ± 2.0 °C). The compositions were analyzed at 15, 30, 60, and 90 days versus a fresh aromatic composition 48 h after preparation, in which the organoleptic characteristics and pH value were evaluated besides undertaking sensory evaluation. The results demonstrated that at the high temperature (45.0 ± 2.0 °C), in which the oxidative processes of the fragrance components are accelerated, the cosmetic preparation "A" was chosen because it showed more acceptable physical,chemical properties and in terms of sensory evaluation of perfume character and intensity was approved for commercial use. [source]


Effect of medium molecular weight xanthan gum in rheology and stability of oil-in-water emulsion stabilized with legume proteins

JOURNAL OF THE SCIENCE OF FOOD AND AGRICULTURE, Issue 12 2005
Evdoxia M Papalamprou
Abstract Xanthan gum is a water-soluble extracellular polysaccharide that has gained widespread commercial use because of its strong pseudoplasticity and tolerance to high ionic strength, which bring unique rheological properties to solutions. This study compares and evaluates the emulsifying properties of oil-in-water (30:70 v/v) emulsions stabilized with lupin and soya protein isolates and medium molecular weight xanthan gum. The protein was obtained by an isoelectric precipitation method and the polysaccharide was produced by Xanthomonas campestris ATCC 1395 in batch culture in a laboratory fermenter (LBG medium) without pH control. The addition of xanthan gum in the emulsion formulation enhances emulsion stability through the phenomenon of thermodynamic incompatibility with the legume protein, resulting in an increase of the adsorbed protein at the interface. The emulsion stability is also enhanced by a network structure built by the polysaccharide in the bulk phase. Copyright © 2005 Society of Chemical Industry [source]


Development of self-incompatible Brassica napus: (III) B. napus genotype effects on S-allele expression

PLANT BREEDING, Issue 1 2003
V. L. Ripley
Abstract Use of self-incompatibility (SI) as a pollination control method for Brassica napus hybrid production requires the development of a sufficient number of S-alleles that are expressed consistently in a range of B. napus lines. Self-incompatibility (SI) alleles have been transferred from Brassica oleracea and Brassica rapa into B. napus var. oleifera. An understanding of expression of these alleles in B. napus is essential for their commercial use. Four SI B. napus doubled haploids containing the B. oleracea S-alleles S2, S5, S13 and S24 were crossed to three B. napus cultivars to measure the B. napus genetic background effect on S-allele expression. A line x tester analysis indicated that the largest source of variation in the expression rate of SI was the S-allele itself. The B. napus genotypes tested contained modifier gene(s), some that enhanced SI expression and others that inhibited SI expression. The B. napus Canadian cultivar ,Westar' generally had a negative effect on SI expression while the European cultivar ,Topas' had a positive effect on the B. oleracea S-allele expression. The B. oleracea S-allele S24 was very similar in expression to the B. rapa allele W1. The application of these results for the use of B. oleracea S-alleles for hybrid production in B. napus is discussed. [source]


Phytoremediation of arsenic in mining-contaminated areas: The future of transgenic technology

REMEDIATION, Issue 4 2010
Hossain M. Anawar
A considerable number of contaminated mining sites in Europe and other parts of the world pose environmental hazards. Given the multifaceted benefits of phytoremediation, screening of plant communities grown in contaminated areas is being conducted to identify hyperaccumulating plant species. A few arsenic (As) hyperaccumulating plants are found in tropical countries; however, generally, they are not grown in contaminated mining sites of cold and temperate countries (Europe and other parts of the world). The transgenic plants identified to date are not believed to be suitable for commercial use of phytoremediation. A few tolerant plant species in mining sites that are found to have elevated As levels primarily concentrate As in their roots. The remediation potential of many of these tolerant plants is limited because of their slow growth and low biomass. Therefore, phytostabilization of contaminated mining sites using tolerant plant species with high biomass and a more extensive root system is the only solution to date in Europe and some other parts of the world. © 2010 Wiley Periodicals, Inc. [source]


Patents and Innovation in Cancer Therapeutics: Lessons from CellPro

THE MILBANK QUARTERLY, Issue 4 2002
Avital Bar-Shalom
How scientific knowledge is translated into diagnostic and therapeutic tools is important to patients with dread diseases as well as to regulators and policymakers. Patents play a crucial role in that process. Indeed, concern that the fruits of federally funded research would languish without commercial application led to the passage of the Bayh-Dole Act (PL 96-517), which reinforced incentives to patent the results of inventions arising from federally funded research (Eisenberg 1996). Subsequently, rates of patenting among U.S. academic institutions have increased (Henderson, Jaffe, and Trajtenberg 1988). A recent survey by the Association of University Technology Managers counted 20,968 licenses and options from 175 academic institutions and 6,375 patent applications filed in fiscal year 2000 (Pressman 2002). Analysis suggests that the number of academic patents was already rising when the Bayh-Dole Act was passed in 1980 (Mowery et al. 2001), but it is clear that the act reinforced the patenting norm in research universities and mandated a technology transfer infrastructure at those universities that had not yet established a technology licensing office. This article discusses the interaction between intellectual property and cancer treatment. CellPro developed a stem cell separation technology based on research at the Fred Hutchinson Cancer Center. A patent with broad claims to bone marrow stem cell antibodies had been awarded to Johns Hopkins University and licensed to Baxter Healthcare under the 1980 Bayh-Dole Act to promote commercial use of inventions from federally funded research. CellPro got FDA approval more than two years before Baxter but lost patent infringement litigation. NIH elected not to compel Hopkins to license its patents to CellPro. CellPro went out of business, selling its technology to its competitor. Decisions at both firms and university licensing offices, and policies at the Patent and Trademark Office, NIH, and the courts influenced the outcome. [source]


The phytochemical analysis and antioxidant activity assessment of orange peel (Citrus sinensis) cultivated in Greece,Crete indicates a new commercial source of hesperidin

BIOMEDICAL CHROMATOGRAPHY, Issue 3 2009
Firas I. Kanaze
Abstract The flavonoid content of several methanolic extract fractions of Navel orange peel (flavedo and albedo of Citrus sinensis) cultivated in Crete (Greece) was first analysed phytochemically and then assessed for its antioxidant activity in vitro. The chemical structures of the constituents fractionated were originally determined by comparing their retention times and the obtained UV spectral data with the available bibliographic data and further verified by detailed LC-DAD-MS (ESI+) analysis. The main flavonoid groups found within the fractions examined were polymethoxylated flavones, O- glycosylated flavones, C- glycosylated flavones, O- glycosylated flavonols, O- glycosylated flavanones and phenolic acids along with their ester derivatives. In addition, the quantitative HPLC analysis confirmed that hesperidin is the major flavonoid glycoside found in the orange peel. Interestingly enough, its quantity at 48 mg/g of dry peel permits the commercial use of orange peel as a source for the production of hesperidin. The antioxidant activity of the orange peel methanolic extract fractions was evaluated by applying two complementary methodologies, DPPH, assay and the Co(II)/EDTA-induced luminol chemiluminescence approach. Overall, the results have shown that orange peel methanolic extracts possess moderate antioxidant activity as compared with the activity seen in tests where the corresponding aglycones, diosmetin and hesperetin were assessed in different ratios. Copyright © 2008 John Wiley & Sons, Ltd. [source]


Piezoelectric inkjet printing of a cross-hatch immunoassay on a disposable nylon membrane

BIOTECHNOLOGY JOURNAL, Issue 2 2009
Thomas N. Stewart
Abstract The development of a cost-effective method for manufacturing immunoassays is a key step towards their commercial use. In this study, a piezoelectric inkjet printer and a nylon membrane were used to fabricate a disposable immunoassay. Using a piezoelectric inkjet printer, a cross-hatch pattern of goat anti-mouse antibody (G,M) and rabbit anti-horseradish peroxidase (R,HRP) antibody were deposited on the nylon membrane. These patterns were subsequently treated with a solution containing rabbit anti-goat antibody labeled with horseradish peroxidase (R,G-HRP). The effectiveness of the immobilization process was examined using tetramethylbenzidine (TMB), which oxidizes in the presence of HRP to form a visible precipitate. Optical evaluation of the TMB precipitate was used to assess the precision of the features in the inkjet-printed pattern as well as antibody functionality following inkjet printing. Uniform patterns that contained functional antibodies were fabricated using the piezoelectric inkjet printer. These results suggest that piezoelectric inkjet printing may be used to fabricate low-cost disposable immunoassays for biotechnology and healthcare applications. [source]


Privacy and Commercial Use of Personal Data: Policy Developments in the United States

JOURNAL OF CONTINGENCIES AND CRISIS MANAGEMENT, Issue 1 2003
Priscilla Regan
In the online and offline worlds, the value of personal information , especially information about commercial purchases and preferences , has long been recognised. Exchanges and uses of personal information have also long sparked concerns about privacy. Public opinion surveys consistently indicate that overwhelming majorities of the American public are concerned that they have lost all control over information about themselves and do not trust organisations to protect the privacy of their information. Somewhat smaller majorities favour federal legislation to protect privacy. Despite public support for stronger privacy protection, the prevailing policy stance for over thirty years has been one of reluctance to legislate and a preference for self-regulation by business to protect privacy. Although some privacy legislation has been adopted, policy debates about the commercial uses of personal information have been dominated largely by business concerns about intrusive government regulation, free speech and the flow of commercial information, costs, and effectiveness. Public concerns about privacy, reflected in public opinion surveys and voiced by a number of public interest groups, are often discredited because individuals seem to behave as though privacy is not important. Although people express concern about privacy, they routinely disclose personal information because of convenience, discounts and other incentives, or a lack of understanding of the consequences. This disconnect between public opinion and public behaviour has been interpreted to support a self-regulatory approach to privacy protections with emphasis on giving individuals notice and choice about information practices. In theory the self-regulatory approach also entails some enforcement mechanism to ensure that organisations are doing what they claim, and a redress mechanism by which individuals can seek compensation if they are wronged. This article analyses the course of policy formulation over the last twenty years with particular attention on how policymakers and stakeholders have used public opinion about the commercial use of personal information in formulating policy to protect privacy. The article considers policy activities in both Congress and the Federal Trade Commission that have resulted in an emphasis on "notice and consent." The article concludes that both individual behaviour and organisational behaviour are skewed in a privacy invasive direction. People are less likely to make choices to protect their privacy unless these choices are relatively easy, obvious, and low cost. If a privacy protection choice entails additional steps, most rational people will not take those steps. This appears logically to be true and to be supported by behaviour in the physical world. Organisations are unlikely to act unilaterally to make their practices less privacy invasive because such actions will impose costs on them that are not imposed on their competitors. Overall then, the privacy level available is less than what the norms of society and the stated preferences of people require. A consent scheme that is most protective of privacy imposes the largest burden on the individual, as well as costs to the individual, while a consent scheme that is least protective of privacy imposes the least burden on the individual, as well as fewer costs to the individual. Recent experience with privacy notices that resulted from the financial privacy provisions in Gramm-Leach-Bliley supports this conclusion. Finally, the article will consider whether the terrorist attacks of 11 September have changed public opinion about privacy and what the policy implications of any changes in public opinion are likely to be. [source]