Exception

Distribution by Scientific Domains

Kinds of Exception

  • few exception
  • important exception
  • major exception
  • notable exception
  • one exception
  • one possible exception
  • only exception
  • possible exception
  • rare exception


  • Selected Abstracts


    THE THERAPEUTIC EXCEPTION: ABORTION, STERILIZATION AND MEDICAL NECESSITY IN COSTA RICA

    DEVELOPING WORLD BIOETHICS, Issue 2 2007
    MARÍA CARRANZA
    ABSTRACT Based on the case of Rosa, a nine-year-old girl who was denied a therapeutic abortion, this article analyzes the role played by the social in medical practice. For that purpose, it compares the different application of two similar pieces of legislation in Costa Rica, where both the practice of abortion and sterilization are restricted to the protection of health and life by the Penal Code. As a concept subject to interpretation, a broad conception of medical necessity could enable an ample use of the therapeutic exception and a liberal use of both surgeries. The practice of therapeutic sterilization has been generalized in Costa Rica and has become the legitimate way to distribute contraceptive sterilization. In contrast, therapeutic abortion is very rarely practiced. The analysis carried out proposes that it is the difference in social acceptance of abortion and sterilization that explains the different use that doctors, as gatekeepers of social morality, make of medical necessity. [source]


    Pigment Network: A Clue to Dermatoscopic Diagnosis of Melanocytic Lesions,Supernumerary Nipple: Another Exception to the Rule

    DERMATOLOGIC SURGERY, Issue 7 2004
    Horacio Cabo MD
    No abstract is available for this article. [source]


    Neoliberalism as Exception: Mutations in Citizenship and Sovereignty by Aihwa Ong

    DEVELOPMENT AND CHANGE, Issue 1 2008
    Ioannis Glinavos
    No abstract is available for this article. [source]


    Does the Emergency Exception from Informed Consent Process Protect Research Subjects?

    ACADEMIC EMERGENCY MEDICINE, Issue 11 2005
    Nicole M. Delorio MD
    Abstract Although subject protection is the cornerstone of medical ethics, when considered in the context of research using emergency exception from informed consent, its success is debatable. The participants of a breakout session at the 2005 Academic Emergency Medicine Consensus Conference discussed the issues surrounding subject protection and advanced the following recommendations. 1) There are no outcome measures that define "protection"; therefore, it is not currently known whether or not subjects are protected under the current rules. 2) Care must be taken to protect not only the individual from harm during research but also to protect society from unregulated research in other countries and an inability to appropriately advance medical knowledge. 3) Some surrogate markers/methods of protection whose efficacies are debatable include data safety monitoring board activity, the community consultation and public notification (CC/PN) process, and institutional review board approval. 4) Minimal-risk studies should be held to different standards of protection than those that involve more significant risk to the subject. 5) A handful of studies have been published regarding community consultation and notification, and the majority are case studies. Those that are specifically designed to discover the most successful methods are hindered by a lack of formal outcomes measures and tend to have negative results. 6) Follow-up data from the CC/PN process should be disclosed to the Food and Drug Administration and incorporated into study designs. 7) Focus groups and/or random-digit dialing have been suggested as promising methods for fulfilling the CC/PN requirements. 8) Studies need to be funded and performed that formally investigate the best means of CC/PN. 9) More funding for this research should be a priority in the emergency medicine and critical care communities. More data regarding terminated studies should be made available to the research community. 10) Quantifiable markers of success for CC/PN must be validated so that research may determine the most successful methods. 11) Data regarding subjects' and family members' experiences with exception from informed consent studies need to be obtained. [source]


    Electrochemical Nitric Oxide Sensors for Biological Samples , Principle, Selected Examples and Applications

    ELECTROANALYSIS, Issue 1 2003
    Fethi Bedioui
    Abstract The discoveries made in the 1980s that NO could be synthesized by mammalian cells and could act as physiological messenger and cytotoxic agent had elevated the importance of its detection. The numerous properties of NO, that enable it to carry out its diverse functions, also present considerable problems when attempting its detection and quantification in biological systems. Indeed, its total free concentration in physiological conditions has been established to be in nanomolar range. Thus, detection of nitric oxide remains a challenge, pointing out the difficult dual requirements for specificity and sensitivity. Exception made for the electrochemical techniques, most of the approaches (namely UV-visible spectroscopy, fluorescence, electron paramagnetic resonance spectroscopy) use indirect methods for estimating endogenous NO, relying on measurements of secondary species such as nitrite and nitrate or NO-adducts. They also suffer from allowing only ex situ measurements. So, the only strategies that allow a direct and in vivo detection of NO are those based on the use of ultramicroelectrodes. The reality is that surface electrode modification is needed to make the ultramicroelectrode material selective for NO. Therefore, the design of modified electrode surfaces using organized layers is very attractive and provides the ideal strategy. This review addresses a global description of the various approaches that have involved chemically modified microelectrodes specially designed for the electrochemical detection of NO in biological media. Selected significant examples of applications in biological tissues are also reported in order to highlight the importance of this approach in having new insights into the modulatory role of NO in physiology and pathophysiology. [source]


    Anarchical Governance: Neoliberal Governmentality in Resonance with the State of Exception

    INTERNATIONAL POLITICAL SOCIOLOGY, Issue 4 2009
    Hiroyuki Tosa
    Beside the promotion of a politics of inclusion, implemented by governing at a distance, the global governmentality also promotes a politics of exclusion, such as establishing targeted governance that is aimed at deviant groups at the periphery of global politics. This highly disciplinary social control that is imposed upon the marginalized population sometimes leads to instances of the state of exception, in which people are forced to endure "bare lives." This kind of exception existing at the marginalized periphery of the neoliberal global governmentality becomes normal. This neoliberal governmentality creates an informal sector of an enormous scale, whose spatial representation is the global slum, and where vicious cycles of violence become normal. [source]


    On the Cypriot States of Exception

    INTERNATIONAL POLITICAL SOCIOLOGY, Issue 2 2008
    Costas M. Constantinou
    This article explores the politics of exceptionality in Cyprus. It focuses on the postcolonial constriction of Cypriot statehood,the framing of the sovereign itself as an exception,and how the emerging discourse of exceptionality unfolded a spiral of states of exception on the ground. Looking in and across a variety of Cypriot sites and regimes (north, south, sovereign base areas and buffer zone) the article examines what claims of exceptionality legitimate in political and everyday life as well as their ironic and paradoxical effects. Finally, it looks at how the Cyprus case informs debates on current theorizations of exceptionalism. [source]


    Sovereignty, Exception, and Norm

    JOURNAL OF LAW AND SOCIETY, Issue 1 2007
    Andrew Norris
    Carl Schmitt's Political Theology is the locus classicus of contemporary discussions of sovereignty. I argue that Schmitt's conception of sovereignty is excessively metaphysical and that it posits an incoherent 'sovereign' ability to decide what shall count as normal. Schmitt follows and radicalizes the late Bodin's claims , themselves the product of a political theology, namely, Bodin 's conversion to Judaism , regarding the necessity of an indivisible and absolute sovereignty. In each, the relation between the executive and the other parts of government is reduced to what Schmitt describes as an ,either/or.' This move is a disastrous mistake. The question is not whether exceptions and emergencies such as terrorist attacks are real, but to what extent the executive branch can rightly claim a monopoly on the ability to determine whether an exception exists, and whether its resulting actions will be permanently unchecked and unregulated. Recent work by Bruce Ackerman is a better guide in these matters than the metaphysics of either Schmitt or Bodin. [source]


    Politics of Exception and Unease: Immigration, Asylum and Terrorism in Parliamentary Debates in the UK

    POLITICAL STUDIES, Issue 4 2008
    Jef Huysmans
    This article analyses how the British political elite has securitised migration and asylum since 9/11 by looking at when and how parliamentary debates linked counter-terrorism to immigration and/or asylum. The findings suggest that there is considerable reluctance within the political elite to introduce or especially sustain the connection between migration and terrorism too intensely in public debate. The parliamentary debates also show that for understanding the securitising of migration and asylum one cannot focus exclusively on the main security framing that is found in counter-terrorism debates, which we name ,the politics of exception'. There is at least one other format, which we call ,the politics of unease', that is central to how the British political elite securitises migration and asylum, and contests it, in the public realm. [source]


    The Second Demographic Transition in the United States: Exception or Textbook Example?

    POPULATION AND DEVELOPMENT REVIEW, Issue 4 2006
    Ron J. Lesthaeghe
    First page of article [source]


    Abandoned Women and Spaces of the Exception

    ANTIPODE, Issue 5 2005
    Geraldine Pratt
    I consider two cases of legal abandonment in Vancouver,of murdered sex workers and live-in caregivers on temporary work visas,in light of Agamben's claim that the generalized suspension of the law has become a dominant paradigm of government. I bring to Agamben's theory a concern to specify both the gendering and racialisation of these processes, and the many geographies that are integral to legal abandonment and the reduction of categories of people to ,bare life'. The case studies also allow me to explore two limit-concepts that Agamben offers as a means to re-envision political community: the refugee who refuses assimilation in the nation-state, and the human so degraded as to exist beyond conventional humanist ethics of respect, dignity and responsibility. [source]


    U.S. Federal Regulations for Emergency Research: A Practical Guide and Commentary

    ACADEMIC EMERGENCY MEDICINE, Issue 1 2008
    Andrew McRae MD
    Abstract Emergency medicine research requires the enrollment of subjects with varying decision-making capacities, including capable adults, adults incapacitated by illness or injury, and children. These different categories of subjects are protected by multiple federal regulations. These include the federal Common Rule, the Department of Health and Human Services (DHHS) regulations for pediatric research, and the Food and Drug Administration's (FDA) Final Rule for the Exception from the Requirements of Informed Consent in Emergency Situations. Investigators should be familiar with the relevant federal research regulations to optimally protect vulnerable research subjects, and to facilitate the institutional review board (IRB) review process. IRB members face particular challenges in reviewing emergency research. No regulations exist for research enrolling incapacitated subjects using proxy consent. The wording of the Final Rule may not optimally protect vulnerable subjects. It is also difficult to apply conflicting regulations to a single study that enrolls subjects with differing decision-making capacities. This article is intended as a guide for emergency researchers and IRB members who review emergency research. It reviews the elements of Federal Regulations that apply to consent, subject selection, privacy protection, and the analysis of risks and benefits in all emergency research. It explores the challenges for IRB review listed above, and offers potential solutions to these problems. [source]


    An Exception to the Normal Mitsunobu Reaction with Phenols: The Formation of Hydrazones from Salicylaldehydes.

    CHEMINFORM, Issue 29 2005
    Mario Girard
    Abstract For Abstract see ChemInform Abstract in Full Text. [source]


    Exception from Informed Consent Enrollment in Emergency Medical Research: Attitudes and Awareness

    ACADEMIC EMERGENCY MEDICINE, Issue 2 2007
    Wayne Triner DO
    Objectives To explore attitudes surrounding exception from informed consent enrollment into research studies. In addition, the authors sought to determine the level of awareness of such an ongoing study among potential subjects, as defined by their presence in an emergency department (ED). Methods A convenience sample of urban academic ED patients and visitors was surveyed during a visit regarding their attitudes and awareness of an emergency exception from informed consent, blood-substitute trial ongoing in the community. Results There was a 13% refusal rate, and 32% of those approached had characteristics that met exclusion criteria. There were 497 surveys analyzed. There was a predominance of women, Caucasians, and persons with at least some college education. Only 39 (8%) of respondents reported awareness of the ongoing blood substitute trial, and only 19 (4%) were able to list a risk or benefit of participation. Education, income, and age were not associated with reported awareness. Male gender, younger age, awareness of the existing exception from informed consent study, and being married were associated with greater acceptability for such enrollment practices. Conclusions The overall awareness of an ongoing exception from informed consent trial after community consultation and notification was low. A population with potential for enrollment in such a study did not demonstrate a high degree of acceptance of such practices. There were differences among certain demographic groups in the degree of acceptance. These differences may guide institutional review boards and investigators in community-consultation strategies for future waiver of or exception from informed consent studies. [source]


    Ten-Year Echo/Doppler Determination of the Benefits of Aerobic Exercise after the Age of 65 Years

    ECHOCARDIOGRAPHY, Issue 1 2010
    Alexander J. Muster M.D.
    As the human lifespan becomes progressively extended, potential health-related effects of intense aerobic exercise after age 65 need evaluation. This study evaluates the cardiovascular (CV), pulmonary, and metabolic effects of competitive distance running on age-related deterioration in men between 69 (±3) and 77 (±2) years (mean ± SD). Twelve elderly competitive distance runners (ER) underwent oxygen consumption and echo/Doppler treadmill stress testing (Balke protocol) for up to 10 years. Twelve age-matched sedentary controls (SC) with no history of CV disease were similarly tested and the results compared for the initial three series of the study. CV data clearly separated the ER from SC. At entry, resting and maximal heart rate, systolic/diastolic blood pressure, peak oxygen consumption (VO2max), and E/A ratio of mitral inflow were better in the ER (P < 0.05 vs. SC). With aging, ER had a less deterioration of multiple health parameters. Exceptions were VO2max and left ventricular diastolic function (E/A, AFF, IVRT) that decreased (P < 0.05, Year 10 vs. Year 1). Health advantages of high-level aerobic exercise were demonstrated in the ER when compared to SC. Importantly, data collected in ER over 10 years confirm the benefit of intensive exercise for slowing several negative effects of aging. However, the normative drop of exercise capacity in the seventh and eighth decades reduces the potential athleticism plays in prevention of CV events. (Echocardiography 2010;27:5-10) [source]


    What do dung beetles eat?

    ECOLOGICAL ENTOMOLOGY, Issue 6 2007
    PETER HOLTER
    Abstract 1.,Most adult coprophagous beetles feed on fresh dung of mammalian herbivores, confining ingestion to small particles with measured maximum diameters from 2,5 to 130 ,m, according to body size and kind of beetle. This study explores benefits and costs of selective feeding in a ,typical' dung beetle with a maximum diameter of ingested particles (MDIP) of 20 ,m. 2.,Examined dung types (from Danish domestic sheep, cattle and horse, and African wild buffalo, white rhino and elephant) contained 76,89% water. Costs of a 20 ,m MDIP were often low, since 69,87% of the total nitrogen in bulk dung other than that of elephant and rhino (40,58%) was available to selective feeders. 3.,Nitrogen concentrations were high , and C/N ratios low , in most types of bulk dung compared with the average food of terrestrial detritivores or herbivores. Exceptions were elephant and rhino dung with low nitrogen concentrations and high C/N ratios. 4.,Estimated C/N ratios of 13,39 in bulk dung (sheep,elephant) were decreased by selective feeding to 7.3,12.6 in the ingested material. In assimilated food, ratios are probably only 5,7, as most assimilable nitrogen and carbon may be of microbial origin. If so, the assimilable food contains a surplus of nitrogen relative to carbon. 5.,The primary advantage of selective feeding, particularly in dung with a high C/N ratio, may be to concentrate assimilable carbon in the ingested food. Effects of changing the MDIP within 20,106 ,m are modest, especially in dung with a low C/N ratio. [source]


    Epilepsy and Recreational Scuba Diving: An Absolute Contraindication or Can There Be Exceptions?

    EPILEPSIA, Issue 5 2007
    A Call for Discussion
    Summary:, Recreational scuba diving is a popular sport, and people with epilepsy often ask physicians whether they may engage in diving. Scuba diving is not, however, without risk for anyone; apart from the risk of drowning, the main physiological problems, caused by exposure to gases at depth, are decompression illness, oxygen toxicity, and nitrogen narcosis. In the United Kingdom, the Sport Diving Medical Committee advises that, to dive, someone with epilepsy must be seizure free and off medication for at least 5 years. The reasons for this are largely theoretical. We review the available evidence in the medical literature and diving websites. The risk of seizures recurring decreases with increasing time in remission, but the risk is never completely abolished. We suggest that people with epilepsy who wish to engage in diving, and the physicians who certify fitness to dive, should be provided with all the available evidence. Those who have been entirely seizure-free on stable antiepileptic drug therapy for at least 4 years, who are not taking sedative antiepileptic drugs and who are able to understand the risks, should then be able to consider diving to shallow depths, provided both they and their diving buddy have fully understood the risks. [source]


    Electronic Structure of Linearly Coordinated EQ Complexes of the Type [(N3N)W(EQ)] [N3N = N(CH2CH2NSiMe3)3; E = P, As, Sb, Bi; Q = O, S, Se, Te]: A DFT Study

    EUROPEAN JOURNAL OF INORGANIC CHEMISTRY, Issue 17 2007
    Gábor Balázs
    Abstract Density functional theory (DFT) calculations were carried out on the terminal EQ complexes [(N3N)W(EQ)] {N3N = N(CH2CH2NSiMe3)3; E = P, As, Sb, Bi; Q = O, S, Se Te} to clarify the bonding situation within the linear Nax,W,E,Q core. This unusual structural motif gives rise to a bonding arrangement in which the ,-electron density is delocalised over the three atoms of the W,E,Q unit. Fragment calculations and natural bond order (NBO) data indicated that the ,-bonding component of the Nax,W,E,Q unit comprises two occupied , orbitals, while the , component of bonding comprises two sets of degenerate , orbitals. In general, the , orbitals of the Nax,W,E,Q core are higher in energy compared to the , orbitals. The phosphorus monoxide (EQ = PO) complexes provide an exception to this rule, with the 1, orbitals of the W,P,O core lower in energy than the , orbitals. Generally, as the atomic number of either the pnicogen (E) or chalcogen (Q) atom increases the extent of ,-orbital delocalisation decreases, whereas the ,-orbital delocalisation increases. Fractional bond orders and Wiberg bond indices were used to establish whether localisation of the ,-electron density gives rise to a W,E or an E,Q double or triple bond. Both methods indicate a W,E as well as an E,Q double bond. The ionic nature of the complexes were analysed by inspection of the Hirschfeld charge distribution which shows only a moderate ionic character. Exceptions are the pnicogen monoxide complexes, which are more ionic. (© Wiley-VCH Verlag GmbH & Co. KGaA, 69451 Weinheim, Germany, 2007) [source]


    Are species,area relationships from entire archipelagos congruent with those of their constituent islands?

    GLOBAL ECOLOGY, Issue 4 2010
    Ana M. C. Santos
    ABSTRACT Aim, To establish the extent to which archipelagos follow the same species,area relationship as their constituent islands and to explore the factors that may explain departures from the relationship. Location, Thirty-eight archipelagos distributed worldwide. Methods, We used ninety-seven published datasets to create island species,area relationships (ISARs) using the Arrhenius logarithmic form of the power model. Observed and predicted species richness of an archipelago and of each of its islands were used to calculate two indices that determined whether the archipelago followed the ISAR. Archipelagic residuals (ArcRes) were calculated as the residual of the prediction provided by the ISAR using the total area of the archipelago, standardized by the total richness observed in the archipelago. We also tested whether any characteristic of the archipelago (geological origin and isolation) and/or taxon accounts for whether an archipelago fits into the ISAR or not. Finally, we explored the relationship between ArcRes and two metrics of nestedness. Results, The archipelago was close to the ISAR of its constituent islands in most of the cases analysed. Exceptions arose for archipelagos where (i) the slopes of the ISAR are low, (ii) observed species richness is higher than expected by the ISAR and/or (iii) distance to the mainland is small. The archipelago's geological origin was also important; a higher percentage of oceanic archipelagos fit into their ISAR than continental ones. ArcRes indicated that the ISAR underpredicts archipelagic richness in the least isolated archipelagos. Different types of taxon showed no differences in ArcRes. Nestedness and ArcRes appear to be related, although the form of the relationship varies between metrics. Main conclusions, Archipelagos, as a rule, follow the same ISAR as their constituent islands. Therefore, they can be used as distinct units themselves in large-scale biogeographical and macroecological studies. Departure from the ISAR can be used as a crude indicator of richness-ordered nestedness, responsive to factors such as isolation, environmental heterogeneity, number and age of islands. [source]


    Expression of the muscle glycogen phosphorylase gene in patients with McArdle disease: the role of nonsense-mediated mRNA decay,

    HUMAN MUTATION, Issue 2 2008
    Gisela Nogales-Gadea
    Abstract Nearly 35% of all mutations identified in the muscle glycogen phosphorylase gene (PYGM) in patients with McArdle disease result in premature termination codons (PTCs), particularly the p.R50X mutation. The latter accounts for more than 50% of the mutated alleles in most Caucasian patient populations. Mutations resulting in PTC could trigger the degradation of mRNA through a mechanism known as nonsense mediated decay (NMD). To investigate if NMD affects the levels of transcripts containing PYGM mutations, 28 Spanish patients with McArdle disease, harboring 17 different mutations with PTCs in 77% of their alleles, were studied. Transcripts levels of PYGM were measured and sequenced. We assessed that 92% of patients showed NMD. The most frequent mutation (p.R50X) elicited decay in all the genotypes tested. Other PTC producing mutations resulting in NMD were: p.L5VfsX22, p.Q73HfsX7, p.E125X, p.N134KfsX161, p.W388SfsX34, p.R491AfsX7, and p.D534VfsX5. Located in the last exon, the mutation p.E797VfsX19 was not affected by NMD. Missense mutations did not appear to be affected by NMD. In the cDNA sequences they appeared as homozygous, despite being heterozygous in the genomic DNA sequences. Exceptions to the rules governing NMD were found in the mutations p.A704,V and p.K754NfsX49. Hum Mutat 29(2), 277,283, 2008. © 2007 Wiley-Liss, Inc. [source]


    Implications of global climate change for snowmelt hydrology in the twenty-first century

    HYDROLOGICAL PROCESSES, Issue 7 2009
    Jennifer C. Adam
    Abstract For most of the global land area poleward of about 40° latitude, snow plays an important role in the water cycle. The (seasonal) timing of runoff in these areas is especially sensitive to projected losses of snowpack associated with warming trends, whereas projected (annual) runoff volume changes are primarily associated with precipitation changes, and to a lesser extent, with changes in evapotranspiration (ET). Regional studies in the USA (and especially the western USA) suggest that hydrologic adjustments to a warming climate have been ongoing since the mid-twentieth century. We extend the insights extracted from the western USA to the global scale using a physically based hydrologic model to assess the effects of systematic changes in precipitation and temperature on snow-affected portions of the global land area as projected by a suite of global climate models. While annual (and in some cases seasonal) changes in precipitation are a key driver of projected changes in annual runoff, we find, as in the western USA, that projected warming produces strong decreases in winter snow accumulation and spring snowmelt over much of the affected area regardless of precipitation change. Decreased snowpack produces decreases in warm-season runoff in many mid- to high-latitude areas where precipitation changes are either moderately positive or negative in the future projections. Exceptions, however, occur in some high-latitude areas, particular in Eurasia, where changes in projected precipitation are large enough to result in increased, rather than decreased, snow accumulation. Overall, projected changes in snowpack and the timing of snowmelt-derived runoff are largest near the boundaries of the areas that currently experience substantial snowfall, and at least qualitatively, they mirror the character of observed changes in the western USA. Copyright © 2008 John Wiley & Sons, Ltd. [source]


    Detecting and classifying delay Data Exceptions on communication networks using rule based algorithms

    INTERNATIONAL JOURNAL OF COMMUNICATION SYSTEMS, Issue 2 2005
    Tammam Benmusa
    Abstract Network performance monitoring is essential for managing a network efficiently and for ensuring reliable operation of the network. Monitored network performance changes reflect events in the network, such as faults, significant changes in usage patterns or planned alterations. Network managers are interested in how and when the performance of a network changes; however it is inefficient to analyse all the data resulting from the monitoring operation manually. In this paper a rule based algorithm to automate detection of the changes in one of the network performance parameters, namely delay, is presented and described in detail. The nature of the delay pattern in a commercial communication network was the key issue in developing this algorithm. The approach was tested with monitored delay data generated from three different networks and showed good results. Also, the algorithm was tested with sets of delay data which have been already input to a previously developed detector based on a different approach, and the results between the two detectors are compared. In addition to a noticeable improvement in detection performance, the new approach provides more generality and independency of the source of the delay data, making the approach generally applicable to other networks. Copyright © 2004 John Wiley & Sons, Ltd. [source]


    How important is climate?

    JOURNAL OF APPLIED ECOLOGY, Issue 5 2003
    Effects of warming, fish on phytoplankton in shallow lake microcosms, nutrient addition
    Summary 1Climate is changing. Predictions are for at least a 3 °C rise in mean temperature in northern Europe over the next century. Existing severe impacts of nutrients and inappropriate fish stocking in freshwater systems remain. 2Effects of warming by 3 °C above ambient, nutrient addition and the presence or absence of sticklebacks Gasterosteus aculeatus were studied in experimental microcosms dominated by submerged plants, mimicking shallow lake ecosystems. 3Warming had considerably smaller effects on the phytoplankton community than did fish and nutrients. It had very minor effects on chlorophyll a and total phytoplankton biovolume. However, it significantly decreased the biovolumes of Cryptophyceae (a major component in the controls) and Dinophyceae. Contrary to expectation, warming did not increase the abundance of blue-green algae (cyanophytes). Warming decreased the abundances of Cryptomonas erosa (Cryptophyceae) and Oocystis pusilla (Chlorophycota) and increased those of two other green algae, Tetraedron minimum and Micractinium pusillum. It had no effect on a further 17 species that were predominant in a community of about 90 species. 4Fish and nutrients, either together or separately, generally increased the crops of most of the 21 abundant species and of the algal groups. Exceptions were for diatoms and chrysophytes, which were very minor components of the communities. Fish, but neither nutrients nor warming, increased the number of species of phytoplankton detected. This was probably through removal of zooplankton grazers, and parallels terrestrial studies where the presence of top predators, by controlling herbivores, leads to increased plant diversity. 5There was no particular pattern in the taxonomy or biological characteristics of those species affected by the treatments. In particular, there was no link between organism size (a surrogate for many important biological features of phytoplankton species) and the effects of warming, nutrient addition or presence or absence of fish. However, all species were relatively small and potentially vulnerable to grazing. 6Synthesis and applications. The results suggest that fears of an increasing abundance of cyanophytes with current projections of global warming may be unrealized, at least in shallow unstratified lakes still dominated by macrophytes. However, they emphasize that eutrophication and fish manipulations remain very important impact factors that determine the abundance of phytoplankton and subsequent problems caused by large growths. [source]


    Not Making Exceptions: A Response to Shue

    JOURNAL OF APPLIED PHILOSOPHY, Issue 3 2009
    VITTORIO BUFACCHI
    abstract,This article refutes Henry Shue's claim that in the case of preventive military attacks it is sometimes morally permissible to make an exception to the fundamental principle regarding the inviolability of individual rights. By drawing on a comparison between torture and preventive military attacks, I will argue that the potential risks of institutionalizing preventive military attacks , what I call the Institutionalizing Argument , are far too great to even contemplate. Two potential risks with setting up a bureaucracy which specializes in preventive military attacks will be highlighted: that any preventive military strike may nourish a cycle of violence that will inevitably cause more deaths and destruction than could ever be justified; and that such preventive military strikes may be abused by political leaders in a desperate effort to hold on to power, including democratically elected political leaders working within a democratic framework. [source]


    Species,area relationships in Mediterranean-climate plant communities

    JOURNAL OF BIOGEOGRAPHY, Issue 11 2003
    Jon E. Keeley
    Abstract Aim To determine the best-fit model of species,area relationships for Mediterranean-type plant communities and evaluate how community structure affects these species,area models. Location Data were collected from California shrublands and woodlands and compared with literature reports for other Mediterranean-climate regions. Methods The number of species was recorded from 1, 100 and 1000 m2 nested plots. Best fit to the power model or exponential model was determined by comparing adjusted r2 values from the least squares regression, pattern of residuals, homoscedasticity across scales, and semi-log slopes at 1,100 m2 and 100,1000 m2. Dominance,diversity curves were tested for fit to the lognormal model, MacArthur's broken stick model, and the geometric and harmonic series. Results Early successional Western Australia and California shrublands represented the extremes and provide an interesting contrast as the exponential model was the best fit for the former, and the power model for the latter, despite similar total species richness. We hypothesize that structural differences in these communities account for the different species,area curves and are tied to patterns of dominance, equitability and life form distribution. Dominance,diversity relationships for Western Australian heathlands exhibited a close fit to MacArthur's broken stick model, indicating more equitable distribution of species. In contrast, Californian shrublands, both postfire and mature stands, were best fit by the geometric model indicating strong dominance and many minor subordinate species. These regions differ in life form distribution, with annuals being a major component of diversity in early successional Californian shrublands although they are largely lacking in mature stands. Both young and old Australian heathlands are dominated by perennials, and annuals are largely absent. Inherent in all of these ecosystems is cyclical disequilibrium caused by periodic fires. The potential for community reassembly is greater in Californian shrublands where only a quarter of the flora resprout, whereas three quarters resprout in Australian heathlands. Other Californian vegetation types sampled include coniferous forests, oak savannas and desert scrub, and demonstrate that different community structures may lead to a similar species,area relationship. Dominance,diversity relationships for coniferous forests closely follow a geometric model whereas associated oak savannas show a close fit to the lognormal model. However, for both communities, species,area curves fit a power model. The primary driver appears to be the presence of annuals. Desert scrub communities illustrate dramatic changes in both species diversity and dominance,diversity relationships in high and low rainfall years, because of the disappearance of annuals in drought years. Main conclusions Species,area curves for immature shrublands in California and the majority of Mediterranean plant communities fit a power function model. Exceptions that fit the exponential model are not because of sampling error or scaling effects, rather structural differences in these communities provide plausible explanations. The exponential species,area model may arise in more than one way. In the highly diverse Australian heathlands it results from a rapid increase in species richness at small scales. In mature California shrublands it results from very depauperate richness at the community scale. In both instances the exponential model is tied to a preponderance of perennials and paucity of annuals. For communities fit by a power model, coefficients z and log c exhibit a number of significant correlations with other diversity parameters, suggesting that they have some predictive value in ecological communities. [source]


    PHYLOGENETIC RELATIONSHIPS WITHIN THE GENUS HYPNEA (GIGARTINALES, RHODOPHYTA), WITH A DESCRIPTION OF H. CAESPITOSA SP.

    JOURNAL OF PHYCOLOGY, Issue 2 2010

    Species discrimination within the gigartinalean red algal genus Hypnea has been controversial. To help resolve the controversy and explore phylogeny within the genus, we determined rbcL sequences from 30 specimens of 23 species within the genus, cox1 from 22 specimens of 10 species, and psaA from 16 species. We describe H. caespitosa as a new species characterized by a relatively slender main axis; a pulvinate growth habit with entangled, anastomosing, and subulate uppermost branches; and unilaterally borne tetrasporangial sori. The new species occurs in the warm waters of Malaysia, the Philippines, and Singapore. The phylogenetic trees of rbcL, psaA, and cox1 sequences showed a distant relationship of H. caespitosa to H. pannosa J. Agardh from Baja California and the marked differentiation from other similar species. The rbcL + psaA tree supported monophyly of the genus with high bootstrap values and posterior probabilities. The analysis revealed three clades within the genus, corresponding to three sections, namely, Virgatae, Spinuligerae, and Pulvinatae first recognized by J. G. Agardh. Exceptions were H. japonica T. Tanaka in Pulvinatae and H. spinella (C. Agardh) Kütz. in Spinuligerae. [source]


    Deployment stressors, gender, and mental health outcomes among Gulf War I veterans

    JOURNAL OF TRAUMATIC STRESS, Issue 2 2005
    Dawne S. Vogt
    An Erratum has been published for this article in Journal of Traumatic Stress 18(3) 2005, 271,284 []. Findings indicate that war-zone exposure has negative implications for the postdeployment adjustment of veterans; however, most studies have relied on limited conceptualizations of war-zone exposure and focused on male samples. In this study, an array of deployment stressors that were content valid for both female and male Gulf War I military personnel was examined to elucidate gender differences in war-zone exposure and identify gender-based differential associations between stressors and mental health outcomes. While women and men were exposed to both mission-related and interpersonal stressors and both stressor categories were associated with mental health outcomes, women reported more interpersonal stressors and these stressors generally had a stronger impact on women's than on men's mental health. Exceptions are described, and implications are discussed. [source]


    Ion chemistry of chloroethanes in air at atmospheric pressure

    RAPID COMMUNICATIONS IN MASS SPECTROMETRY, Issue 20 2001
    Anna Nicoletti
    Ion chemistry at atmospheric pressure is of major relevance to novel methods for the abatement of volatile organic compounds (VOCs) that employ non-thermal plasmas. For this reason, positive and negative APCI (atmospheric pressure chemical ionization) mass spectra of all six di-, tri- and tetrachloroethanes diluted in air (500,1500,ppm) at atmospheric pressure were investigated at 30,°C and at 300,°C. Spectral changes due to collisional activation of the ions achieved by increasing ,V, the potential difference between sampling and skimmer cones, are informative of structures and ion-molecule reactions. Positive ion chemistry of the chloroethanes (M) can, in general, be ascribed to C-C and C-Cl cleavages of the molecular ion, M+·, never detected but likely formed via exothermic charge exchange from primary ions of the APCI plasma. Exceptions to this characteristic pattern were observed for 1,1-dichloroethane and 1,1,2,2-tetrachloroethane, which give [M,,,H]+ and [M,,,HCl]+· species, respectively. It is suggested that both such species are due to ionization via hydride transfer. Upon increasing ,V, the [M,,,HCl]+· ion formed from 1,1,2,2-tetrachloroethane undergoes the same fragmentation and ion-molecule reactions previously reported for trichloroethene. A nucleophilic reaction of water within the [C2H4Cl+](H2O)n ionic complexes to displace HCl is postulated to account for the [C2H5O+](H2O)m species observed in the positive APCI spectra of the dichloroethanes. Negative ion spectra are, for all investigated chloroethanes, dominated by Cl, and its ion-neutral complexes with one, two and, in some cases, three molecules of the neutral precursor and/or water. Another common feature is the formation of species (X,)(M)n where X, is a background ion of the APCI plasma, namely O2,,O3, and, in some cases, (NO)2,. Peculiar to 1,1,1-trichloroethane are species attributed to Cl, complexes with phosgene, (Cl,)(Cl2C=O)n(n,=,1,2). Such complexes, which were not observed for either the isomeric 1,1,2-trichloroethane or for the tetrachloroethanes, are of interest as oxidation intermediates in the corona-induced decomposition process. No conclusions can be drawn in the case of the dichloroethanes, since, for these compounds, the ions (Cl,)(Cl2C=O)n and (Cl,)(M)n happen to be isobaric. Copyright © 2001 John Wiley & Sons, Ltd. [source]


    Atomvolumen, Packungsdichte der Atome und chemische Bindung in nichtmetallischen Elementen

    ACTA CRYSTALLOGRAPHICA SECTION B, Issue 4 2007
    M. Trömel
    The atomic volume of crystalline elements is largely determined by the packing density of atoms in the respective modification. The determination of packing density is improved by assuming that the atomic distances depend on bond valences according to Pauling's equation. With the additional assumption of equal valence in different modifications, the experimental atomic volume of an element in any given structure is reduced to its volume in close-packed structures, e.g. f.c.c. The ratio of this reduced atomic volume and the experimental atomic volume is a measure of packing density. Reduced atomic volumes of C, Si, Ge, P, As, S and Se, as calculated from different modifications, correspond in most cases to within less than ±1% for each element, even if calculated from extremely different structures like diamond and buckminsterfullerene in the case of carbon, or from numerous modifications of sulfur with annular molecules of different sizes. Exceptions (graphite, white phosphorus, tin and selenium) indicate deviating valences. [source]


    Epidemiology of recurrent respiratory papillomatosis

    APMIS, Issue 6-7 2010
    DANIEL A. LARSON
    Larson DA, Derkay CS. Epidemiology of recurrent respiratory papillomatosis. APMIS 2010; 118: 450,454. Recurrent respiratory papillomatosis (RRP) was first described in the 1800s, but it was not until the 1980s when it was convincingly attributed to human papilloma virus (HPV). RRP is categorized into juvenile onset and adult onset depending on presentation before or after the age of 12 years, respectively. The prevalence of this disease is likely variable depending on the age of presentation, country and socioeconomic status of the population being studied, but is generally accepted to be between 1 and 4 per 100 000. Despite the low prevalence, the economic burden of RRP is high given the multiple procedures required by patients. Multiple studies have shown that the most likely route of transmission of HPV in RRP is from mother to child during labor. Exceptions to this may include patients with congenital RRP who have been exposed in utero and adult patients who may have been exposed during sexual contact. Although cesarean section may prevent the exposure of children to the HPV virus during childbirth, its effectiveness in preventing RRP is debatable and the procedure itself carries an increased risk of complications. The quadrivalent HPV vaccine holds the most promise for the prevention of RRP by eliminating the maternal reservoir for HPV. [source]