Monitoring Programs (monitoring + program)

Distribution by Scientific Domains
Distribution within Life Sciences


Selected Abstracts


A comparative, cross-national analysis of partner-killing by women in cohabiting and marital relationships in Australia and the United States

AGGRESSIVE BEHAVIOR, Issue 3 2004
Jenny Mouzos
Abstract Using a national-level United States database, T. K. Shackelford [Partner-killing by women in cohabiting relationships and marital relationships. Homicide Studies 5: 253-266, 2001] calculated rates of partner-killing by women by relationship type (cohabiting or marital), by partner ages, and by the age difference between partners. Men in cohabiting relationships were 10 times more likely to be killed by their partners than were married men. Within marriages, the risk of being killed by a partner decreased with a man's age. Within cohabiting relationships, in contrast, middle-aged men were at greatest risk of being killed by their partners. The risk that a man will be killed by his partner generally increased with greater age difference between partners. We sought to replicate the findings of Shackelford [2001] using national-level data held as part of the National Homicide Monitoring Program (NHMP) at the Australian Institute of Criminology in Australia. The NHMP holds data on over 3,500 homicides that occurred in Australia between 1989 and 2000. Despite the higher rate of partner-killing in the United States, and despite other cultural differences between the two countries (for example, the prominent gun culture in the United States), we replicated the key patterns with the Australian data. Aggr. Behav. 30:206,216, 2004. © 2004 Wiley-Liss, Inc. [source]


Maternal smoking and the risk for clubfoot in infants,

BIRTH DEFECTS RESEARCH, Issue 2 2008
Kathryn C. Dickinson
Abstract BACKGROUND: Clubfoot is one of the most common major birth defects, with a prevalence of approximately 1 per 1,000 live births. The etiology of clubfoot is complex and not well understood, and yet, few epidemiologic studies of risk factors have been conducted. Maternal smoking has been suggested as a possible risk factor. The purpose of this population-based, case-control study was to examine the association between maternal smoking and clubfoot. METHODS: Data from the North Carolina Birth Defects Monitoring Program matched to North Carolina birth certificates and health services data were used in the analysis of 443 cases of clubfoot and 4,492 randomly sampled controls for the years 1999,2003. Smoking data were ascertained from the birth certificates, and the reliability of the data was assessed by comparing them with reported smoking from the North Carolina Pregnancy Risk Assessment Monitoring System. Multiple logistic regression was used to calculate crude and adjusted ORs and 95% CIs for smoking and clubfoot. RESULTS: The crude OR for maternal smoking during pregnancy and clubfoot was 1.49 (95% CI: 1.15, 1.92). Controlling for maternal age, race/ethnicity, infant's sex, and timing of prenatal care initiation did not appreciably change the results (adjusted OR 1.40; 95% CI: 1.07, 1.83). CONCLUSIONS: This study is consistent with the hypothesis that smoking during pregnancy is associated with a slightly increased risk of an infant being born with clubfoot. Further research is needed to confirm this association, and to identify potential genetic factors that may modify the magnitude of the risk. Birth Defects Research (Part A) 2008. © 2007 Wiley-Liss, Inc. [source]


Risks of selected congenital malformations among offspring of mixed race-ethnicity

BIRTH DEFECTS RESEARCH, Issue 10 2004
Juan Yang
Abstract BACKGROUND Little is known about the occurrence of specific congenital malformations among offspring of mixed race-ethnicity. METHODS Using data from a population-based registry, we explored the occurrence of selected malformation phenotypes in offspring to parents who were of different race-ethnicity. Data were derived from the California Birth Defects Monitoring Program, a population-based active surveillance system for collecting information on infants and fetuses with congenital malformations using multiple source ascertainment. Approximately 2.6 million live births and stillbirths occurred during 1989,2000. Information on parental race-ethnicity (non-Hispanic white, Hispanic, black, and Asian) was obtained from birth certificates and fetal death files. Malformation phenotypes studied were spina bifida, anencephaly, cleft lip, cleft palate, tetralogy of Fallot, d-transposition of great arteries, hypospadias, small intestinal atresia, preaxial polydactyly, microtia, and hypertrophic pyloric stenosis. RESULTS A total of 11.2% of births were to parents of mixed race-ethnicity. Compared to births of parents who were both white, moderately increased risks (risk ratio , 1.7) of anencephaly, polydactyly, and microtia, and decreased risks (risk ratio , 0.6) of hypospadias and hypertrophic pyloric stenosis were observed among births of several mixed race-ethnicity groups. For anencephaly, polydactyly, and microtia, but not other phenotypes, the risks were different depending on whether maternal versus paternal race-ethnicity was considered. Risks observed between births of a nonwhite parent and a white parent and births of parents who were both nonwhite were similar for most malformation phenotypes. CONCLUSIONS Some malformation phenotypes appear to vary in their risk based on mixed racial-ethnic groupings. Birth Defects Research (Part A), 2004. © 2004 Wiley-Liss, Inc. [source]


Bendectin and birth defects II: Ecological analyses

BIRTH DEFECTS RESEARCH, Issue 2 2003
Jeffrey S. Kutcher
BACKGROUND Bendectin was the primary pharmaceutical treatment of nausea and vomiting of pregnancy (NVP) in the United States until the early 1980s. Its manufacture was then discontinued after public allegations that it was causing birth defects. Subsequently, meta-analyses of the many epidemiological cohort and case/control studies used to examine that hypothesis have demonstrated the absence of a detectable teratogenic effect. This study presents an ecological analysis of the same hypothesis that examines specific malformations. METHODS Annual birth defect prevalence data for the 1970s to the 1990s have been obtained for specific birth defects from the Center for Disease Control's nationwide Birth Defect Monitoring Program. These data for the US have been compared graphically to the annual US Bendectin sales for the treatment of NVP. Data have also been obtained for annual US rates for hospitalization for NVP. The three data sets have been temporally compared in graphic analysis. RESULTS The temporal trends in prevalence rates for specific birth defects examined from 1970 through 1992 did not show changes that reflected the cessation of Bendectin use over the 1980,84 period. Further, the NVP hospitalization rate doubled when Bendectin use ceased. CONCLUSIONS The population results of the ecological analyses complement the person-specific results of the epidemiological analyses in finding no evidence of a teratogenic effect from the use of Bendectin. Birth Defects Research (Part A) 67:88,97, 2003. © 2003 Wiley-Liss, Inc. [source]


Quality control of CD4+ T-lymphocyte enumeration: Results from the last 9 years of the United Kingdom national external quality assessment scheme for immune monitoring (1993,2001)

CYTOMETRY, Issue 2 2002
Liam Whitby
Abstract The human immunodeficiency virus (HIV) global epidemic has necessitated the routine enumeration of T-lymphocyte subsets, which has created a need for external quality assurance (EQA). The United Kingdom National External Quality Assessment Scheme (UK NEQAS) for Immune Monitoring provides EQA for 296 laboratories in 40 countries. In 1993, UK NEQAS developed and incorporated into its program stabilized whole blood that enables the accurate monitoring of laboratory performance. Overall, the mean interlaboratory coefficient of variation (CV) for percentage CD4+ T-lymphocyte subset enumeration has fallen from 15% to less than 5%, as a direct result of the increased use of CD45/ side scatter (SSC) gating. Laboratories using alternative gating strategies (i.e., CD45/CD14 or forward scatter [FSC]/SSC) were about 7.4 times more likely to fail an EQA exercise. Furthermore, the adoption of single-platform technology resulted in a reduction of the overall mean interlaboratory CV for absolute CD4+ T lymphocytes from 56% (prior to the widespread use of single-platform technology) to 9.7%. Individual laboratory deficiencies were also identified using a performance monitoring system and, through re-education by collaboration with the coordinating center, satisfactorily resolved. In conclusion, during the last 9 years, the UK NEQAS for Immune Monitoring program has highlighted the significant technological advances made by laboratories worldwide that undertake lymphocyte subset enumeration. Cytometry (Clin. Cytometry) 50:102,110, 2002. © 2002 Wiley-Liss, Inc. [source]


Scale and trends in species richness: considerations for monitoring biological diversity for political purposes

GLOBAL ECOLOGY, Issue 2 2004
Darius Weber
ABSTRACT Switzerland's governmental ,Biodiversity Monitoring' program is designed to produce factual information on the dynamics of biodiversity within the country for governmental agencies, politicians, and the general public. Monitoring a complex issue like biodiversity in order to give relevant and accurate messages to the general public and politicians within a politically relevant timescale and at moderate cost means focusing on few elements. Because relevant human impacts on biodiversity operate differently at different spatial scales, we need at least three different indicators to observe changes over time in local (,within-habitat'), landscape (,habitat-mosaic'), and macro-scale (,regional') diversity. To keep things as simple as possible, we use species richness as an indicator for all three levels of diversity, just defining three different spatial scales (10 m2, 1 km2, regions, respectively). Each indicator is based on a number of taxonomic groups which have been selected mainly on the basis of costs and the availability of appropriate methods. [source]


Species prioritization for monitoring and management in regional multiple species conservation plans

DIVERSITY AND DISTRIBUTIONS, Issue 3 2008
Helen M. Regan
ABSTRACT Successful conservation plans are not solely achieved by acquiring optimally designed reserves. Ongoing monitoring and management of the biodiversity in those reserves is an equally important, but often neglected or poorly executed, part of the conservation process. In this paper we address one of the first and most important steps in designing a monitoring program , deciding what to monitor. We present a strategy for prioritizing species for monitoring and management in multispecies conservation plans. We use existing assessments of threatened status, and the degree and spatial and temporal extent of known threats to link the prioritization of species to the overarching goals and objectives of the conservation plan. We consider both broad and localized spatial scales to capture the regional conservation context and the practicalities of local management and monitoring constraints. Spatial scales that are commensurate with available data are selected. We demonstrate the utility of this strategy through application to a set of 85 plants and animals in an established multispecies conservation plan in San Diego County, California, USA. We use the prioritization to identify the most prominent risk factors and the habitats associated with the most threats to species. The protocol highlighted priorities that had not previously been identified and were not necessarily intuitive without systematic application of the criteria; many high-priority species have received no monitoring attention to date, and lower-priority species have. We recommend that in the absence of clear focal species, monitoring threats in highly impacted habitats may be a way to circumvent the need to monitor all the targeted species. [source]


A comparison of drug overdose deaths involving methadone and other opioid analgesics in West Virginia

ADDICTION, Issue 9 2009
Leonard J. Paulozzi
ABSTRACT Aims To describe all people dying from unintentional overdoses of methadone or other opioid analgesics (OOA) in West Virginia in 2006. Design We analyzed medical examiner data supplemented by data from the state prescription drug monitoring program. We compared people whose deaths involved methadone with those whose deaths involved OOA. Findings The methadone group included 87 decedents, and the OOA group included 163 decedents. Most were male. Decedents in the methadone group were significantly younger than those in the OOA group: more than a quarter were 18,24 years of age. For both groups, approximately 50% had a history of pain, and 80% had a history of substance abuse. There was no intergroup difference in the prevalence of benzodiazepines at post-mortem. Methadone was significantly less likely to have ever been prescribed than OOA. Among those with prescriptions, the proportion prescribed within 30 days of death was significantly greater for methadone than for hydrocodone, but not for oxycodone. Ten (11.5%) of the methadone decedents were enrolled in an opiate treatment program (OTP) at the time of death. Conclusions The high prevalence of a substance abuse history and lack of prescriptions suggest that most of the deaths in both groups are related to substance abuse. There was no indication of a harmful effect from methadone's metabolic interaction with benzodiazepines, but provider or patient unfamiliarity with methadone may have been a risk factor. Prescribing methadone, especially to young males, requires extra care. Providers, OTPs and coroners/medical examiners should use state prescription drug monitoring programs to monitor the use of controlled substances by their patients. [source]


Detection and quantification of microcystins from cyanobacteria strains isolated from reservoirs and ponds in Morocco

ENVIRONMENTAL TOXICOLOGY, Issue 1 2002
B. Oudra
Abstract In Morocco, the occurrence of toxic cyanobacteria blooms is confirmed in some water bodies used for recreational and/or as drinking water reservoirs. According to WHO recommendations, the establishment of a monitoring program for microcystins is a necessity. This paper presents toxicological studies of 19 toxic cyanobacteria strains of Microcystis, Synechocystis, Pseudanabaena, and Oscillatoria. These strains were isolated from various water bodies including natural lakes, reservoirs, and ponds located in central regions of Morocco. The isolation, culture, and biomass production of these strains was made on Z8 or BG13 media under laboratory controlled conditions. The hepatotoxicity of cyanobacterial lyophilized material was confirmed by mouse bioassays. The amount of microcystins produced by each strain was determined by the enzyme-linked immunosorbent assay (ELISA). The detection and identification of microcystin variants was performed by high performance liquid chromatography (HPLC) with photodiode array detection. Almost all strains showed medium to high toxicity, the estimated LD50 i.p mice bioassay ranged between 28 to 350 mg/kg body weight. The concentrations of microcystins varied between 2.16 to 944 ,g/g and 26.8 to 1884 ,g/g dry weight determined by ELISA and HPLC, respectively. The screening of bloom-forming and microcystin producer cyanobacteria strains in these fresh water bodies leads us to propose the need for the establishment of a survey of cyanobacteria and a cyanotoxin-monitoring program. © 2002 by Wiley Periodicals, Inc. Environ Toxicol 17: 32,39, 2002 [source]


Effects of pulp and paper mill effluent on fish: A temporal assessment of fish health across sampling cycles

ENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 2 2010
Timothy J. Barrett
Abstract The Canadian environmental effects monitoring (EEM) program is a regulated, cyclical, industry-funded program designed to determine whether receiving water impacts exist when a mill is in compliance with its discharge limits. The results from three cycles of the fish monitoring program (1992 to 2004) are available from over 200 surveys of fish compared between sites located upstream and downstream of pulp and paper mill effluent outfalls. Previous meta-analyses have shown a national average response pattern across cycles characterized by an increase in endpoints measuring energy storage and growth and a decrease in a reproductive endpoint, consistent with a response of nutrient enrichment in combination with some form of metabolic disruption. Although the national average pattern of effects was temporally consistent, there was some variability in the magnitude of effects among cycles. Questions were raised as to whether the intercycle variability was due to changes in effluent quality or due, at least in part, to other factors. The present study compares responses over the first three cycles, and shows that the choice of sentinel species is likely to be a major contributing factor to the variability in observed effects. Subset analyses using studies from mills that used the same sentinel species across cycles reveal fairly uniform responses and little evidence of significant improvements in overall fish health from cycles one to three. However, a meta-analysis using 1991 data collected from 10 mills before the implementation of the EEM program and data from the same mills collected during cycles one to three of the program reveal significantly reduced effects on relative liver weight and potential improvements in other endpoints. Environ. Toxicol. Chem. 2010;29:440,452. © 2009 SETAC [source]


Genetic indicators of herbicide stress in the pacific oyster Crassostrea gigas under experimental conditions

ENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 3 2000
Dario Moraga
Abstract This study examined use of the oyster Crassostrea gigas as a bioindicator of experimental pollution caused by two concentrations of five pesticides (atrazine, isoproturon, alachlore, metolachlore, and diuron) used in agricultural and urban activities. The effect of these pesticides on the genetic structure of the marine bivalve was studied as part of an environmental biomonitoring project. This research was performed on two natural estuarine populations sampled along the French Atlantic coast as part of an ongoing monitoring program to survey the ecosystem of Brittany using two approaches: identifying the genetic markers based on the alleles and genotypes associated with pollution effects, and searching for a correlation between these markers and the sensitivity or tolerance of individuals under stress conditions. Results indicate a differential survival of individuals subjected to the various pollutants examined. The sensitivity of alleles and genotypes to environmental stress can be assessed based on the significant differences in allele and genotype frequencies observed between resistant and sensitive individuals when subjected to the pesticides. This genetic study included examination of five enzyme systems (Ak, Pgi, Cap, Pgm, and Mdh) involved in physiologic processes. A total of six alleles and five genotypes at three loci (Ak, Pgi, and Pgm) were identified as being markers of resistance or sensitivity. It is hypothesized that these markers could be used as potential genetic markers in estuarine ecosystem monitoring. [source]


Variance estimation for spatially balanced samples of environmental resources

ENVIRONMETRICS, Issue 6 2003
Don L. Stevens Jr
Abstract The spatial distribution of a natural resource is an important consideration in designing an efficient survey or monitoring program for the resource. We review a unified strategy for designing probability samples of discrete, finite resource populations, such as lakes within some geographical region; linear populations, such as a stream network in a drainage basin, and continuous, two-dimensional populations, such as forests. The strategy can be viewed as a generalization of spatial stratification. In this article, we develop a local neighborhood variance estimator based on that perspective, and examine its behavior via simulation. The simulations indicate that the local neighborhood estimator is unbiased and stable. The Horvitz,Thompson variance estimator based on assuming independent random sampling (IRS) may be two times the magnitude of the local neighborhood estimate. An example using data from a generalized random-tessellation stratified design on the Oahe Reservoir resulted in local variance estimates being 22 to 58 percent smaller than Horvitz,Thompson IRS variance estimates. Variables with stronger spatial patterns had greater reductions in variance, as expected. Copyright © 2003 John Wiley & Sons, Ltd. [source]


Development of a historical ice database for the study of climate change in Canada

HYDROLOGICAL PROCESSES, Issue 18 2002
Frédéric Lenormand
Abstract The Canadian government has been compiling various observations on freshwater and coastal sea ice conditions for many years. However, the records are not easily accessible and are dispersed within different government departments. Given this, a major effort was undertaken in order to gather all available observations into a common database,the Canadian Ice Database (CID). This database will respond to the needs for climate monitoring in Canada, the validation and improvement of numerical ice models and the development of new remote-sensing methods. Indeed, several studies have shown that freshwater ice and sea ice are good proxy indicators of climate variability and change. The first version of CID contains in situ observations from 757 sites distributed across Canada, which were originally kept on digital or paper records at the Meteorological Service of Canada Headquarters and the Canadian Ice Service (CIS). The CID holds 63 546 records covering the period from ice season 1822,23 to 2000,01. An analysis of the database allows one to trace the temporal evolution of the ice networks. The freeze-up/break-up network of 2000,01 only represents 4% of what it was in 1985,86. A drastic decline of the ice thickness and the snow on ice network is also observable. In 1997,98, it represented only 10% of the network that existed in 1984,85. The major budget cuts in Canadian government agencies during the late 1980s and the 1990s offer the most plausible explanation for the drastic decline in the ice observation networks. Weekly ice coverage determination on large lakes from satellite imagery by the CIS and the national volunteer ice monitoring program, IceWatch, may provide a means of reviving, at least, the freeze-up/break-up network. Copyright © 2002 John Wiley & Sons, Ltd. [source]


The Temporal Asynchrony of Planktonic Cladocerans Population at Different Environments of the Upper Paraná River Floodplain

INTERNATIONAL REVIEW OF HYDROBIOLOGY, Issue 6 2008
Erica Mayumi Takahashi
Abstract The aim of this study was to investigate the existence of synchronic fluctuation patterns in cladoceran populations of the Upper Paraná River floodplain. The following hypothesis were tested: (i) the populations of a given species present the same fluctuation pattern in abundance for different environments and (ii) synchrony is higher when we consider subsets of neighboring environments or those belonging to the same category (e.g., lagoons, rivers). Samplings were performed every three months from February 2000 to November 2002 at 11 sites. To evaluate spatial synchrony, the intraclass correlation coefficient was used. The results showed no significant correlation for the most abundant species, meaning that fluctuation patterns of planktonic cladocerans were asynchronous. Asynchrony indicated that the influence of floods and regional climatic factors was not strong enough to synchronize the populations, suggesting that local factors were more important than regional effects in determining zooplankton abundance patterns. The implications of these results are that the observations from a single environment cannot be extrapolated to other environments in a manner that would allow its use as a sentinel site. This means that a monitoring program for floodplain systems, or at least for the Paraná River floodplain, has to comprise greater spatial extents. (© 2008 WILEY-VCH Verlag GmbH & Co. KGaA, Weinheim) [source]


Censusing the mountain gorillas in the Virunga Volcanoes: complete sweep method versus monitoring

AFRICAN JOURNAL OF ECOLOGY, Issue 3 2010
Maryke Gray
Abstract The mountain gorillas (Gorilla beringei beringei) of the Virunga Volcanoes Range of Rwanda, Uganda, and the Democratic Republic of Congo are one of the most endangered ape populations in the world. Following a dramatic decline during the 1960s, and relative stability in the 1970s, the population steadily increased during the 1980s. Due to political instability and war, a complete census had not been conducted since 1989. Here we compare the results of a complete census using the ,sweep method' conducted in 2003 with those from a monitoring program, to estimate the size and distribution of the gorilla population. A total of 360 gorillas were counted from census measurements and known habituated groups. Based on quantitative assessments of the census accuracy, we calculated that an additional 20 gorillas were not counted, leading to an estimated population of 380 individuals, and a 1.15% annual growth rate since 1989. The Ranger Based Monitoring programme yielded similar results. The encouraging results must be viewed with caution, however, because the growth was concentrated almost entirely in one section of the Virungas. Additionally, the distribution of gorilla groups was negatively correlated with the frequency of human disturbances, which highlights the need to continue strengthening conservation efforts. Résumé Les gorilles de montagne Gorilla gorilla beringei de l'aire de répartition des Volcans Virunga, au Rwanda, en Ouganda et en République Démocratique du Congo, sont une des populations de grands singes les plus menacées du monde. Après un déclin dramatique dans le courant des années 1960, et une stabilité relative dans les années 1970, la population s'est fermement reconstituée au cours des années 1980. Mais en raison de l'instabilité politique et de la guerre, il n'y avait plus eu de recensement total depuis 1989. Nous comparons ici les résultats d'un recensement complet effectué en 2003 par la méthode du balayage topologique (sweep method) avec ceux d'un programme de suivi, afin d'estimer la taille et la distribution de la population de gorilles. Nous avons dénombré un total de 360 gorilles en reprenant les chiffres du recensement et ceux des groupes habitués connus. En nous basant sur l'évaluation quantitative de la précision du recensement, nous avons calculé que 20 gorilles supplémentaires n'avaient pas été comptés, ce qui porte l'estimation à 380 individus et signifie un taux de croissance annuel de 1,15% depuis 1989. Le Programme de Suivi basé sur les gardes a obtenu des résultats comparables. Pourtant, ces résultats encourageants doivent être interprétés avec prudence étant donné que la croissance s'est presque entièrement concentrée sur une seule section des Virunga. De plus, la distribution des groupes de gorilles était négativement liée à la fréquence des perturbations humaines, ce qui souligne la nécessité de poursuivre le renforcement des mesures de conservation. [source]


Seasonal fluctuation, phenology and turnover of chafer assemblages , insight to the structural plasticity of insect communities in tropical farmlands

AGRICULTURAL AND FOREST ENTOMOLOGY, Issue 3 2009
Dirk Ahrens
Abstract 1,Studies on chafer assemblages were conducted on two farmland sites in the Terai lowland of Nepal (200 m above sea level) using light traps. During the course of a 2-year field monitoring program, a total of 4503 specimens was captured and an unexpectedly high number of syntopically co-occurring species was found: 52 from Gunganagar (GN) and 36 from Gaindakot (GK), respectively. Highest species abundances and species numbers were found during April and May. 2,Species occurrence was strongly correlated with air temperature and the maximum soil temperature, at least during the pre-monsoon season. However, assemblage structure from the two sites showed significant qualitative and quantitative changes seasonally, as well as from 1 year to the next. Turnover rates between adjacent months were in the range 26,62% (GN) and 37,70% (GK), whereas the turnover from 2004 to 2005 was 25.8% (GN) and 21.4% (GK) respectively. 3,When only dominant and subdominant taxa are considered, the seasonal change in species composition was even more striking. 4,Strong fluctuation in chafer assemblage over time suggests: (i) a possible influence of patchy habitat types and soil working on seasonal assemblage structure and (ii) colonization of suitable habitats (fields) in great part by chance. [source]


41 Incidence of paralytic shellfish toxin in bivalve mollusc tissue from the oregon coast

JOURNAL OF PHYCOLOGY, Issue 2003
R. C. Everroad
Saxitoxin and domoic acid sequestration by bivalve molluscs occurs periodically along the Oregon coast, presumably as a result of harmful algal blooms (HABs). Since 1958 and more continuously since 1979, the Oregon Shellfish Program (OSP) has assayed toxin levels in these molluscs as part of a monitoring program for paralytic (PSP) and amnesic (ASP) shellfish poisoning. We have created a working data base for all PSP sampling by the OSP between 1958 and 2001 and have examined the data for spatial and temporal trends in the appearance of toxin in shellfish, amount of toxin, and apparent duration of toxic events. In this report, we examine the data from the five stations with the longest record of continuous sampling (1979,2000) for evidence of correlation with El Niño events, upwelling, and/or a pattern of increasing frequency or intensity of toxic events. We also compare the pattern of appearance of toxin at open coast stations with the timing of first appearance of toxin in shellfish at adjacent estuarine stations. This is an important analysis because, in Oregon, shellfish closures due to PSP occur frequently in mussel beds on the open coast and the source of toxin-producing organisms is unknown. [source]


Prymnesium parvum: The Norwegian Experience,

JOURNAL OF THE AMERICAN WATER RESOURCES ASSOCIATION, Issue 1 2010
Torbjørn M. Johnsen
Johnsen, Torbjørn M., Wenche Eikrem, Christine D. Olseng, Knut E. Tollefsen, and Vilhelm Bjerknes, 2010. Prymnesium parvum: The Norwegian Experience. Journal of the American Water Resources Association (JAWRA) 46(1):6-13. DOI: 10.1111/j.1752-1688.2009.00386.x Abstract:, In Norwegian waters, Prymnesium parvum has been reported from Oslofjorden in the south to Spitzbergen in the north. However, blooms of P. parvum have only been reported from the Sandsfjorden system in Ryfylke, Western Norway where the salinity of the permanent brackish layer (2-5 m) typically is in the range of 4-7 psu during the summer months. The first bloom on record occurred in 1989, and it killed 750 metric tons of caged salmon and trout which was a significant economic loss to the fish farming industry. Toxic blooms occurred as well in subsequent years and the number of fish farms in the area decreased considerably as did the occurrence of P. parvum. In 2005, fish farming was reintroduced to the area and again, in 2007 a toxic bloom of P. parvum killed 135 metric tons of caged fish. The Norwegian Institute for Water Research has, in collaboration with "Erfjord Stamfisk" fish farm, set up a monitoring program that includes light microscopy cell counts of Prymnesium, water quality measurements, and observation of the caged fish. A submergible fish net was mounted over the fish pens and during the toxic outbreak of P. parvum in July-August 2007, which was as previous years confined to the upper brackish water layer, the fish nets were lowered to 10 m depths below the surface and fish feeding was temporarily stopped. Despite substantial weight loss, the fish survived the toxic bloom and the economic loss was minimal. Monitoring of P. parvum bloom dynamics in 2007 revealed that populations were initially dominated by the nonmotile forms which were gradually replaced by the flagellated forms. Toxicity was observed when the flagellated cells dominated populations in the summer. Chrysochromulina, solitary small Chaetoceros species, and small centric diatoms co-existed with P. parvum during the monitoring period (June-October). [source]


SeagrassNet monitoring across the Americas: case studies of seagrass decline

MARINE ECOLOGY, Issue 4 2006
Frederick T. Short
Abstract Seagrasses are an important coastal habitat worldwide and are indicative of environmental health at the critical land,sea interface. In many parts of the world, seagrasses are not well known, although they provide crucial functions and values to the world's oceans and to human populations dwelling along the coast. Established in 2001, SeagrassNet, a monitoring program for seagrasses worldwide, uses a standardized protocol for detecting change in seagrass habitat to capture both seagrass parameters and environmental variables. SeagrassNet is designed to statistically detect change over a relatively short time frame (1,2 years) through quarterly monitoring of permanent plots. Currently, SeagrassNet operates in 18 countries at 48 sites; at each site, a permanent transect is established and a team of people from the area collects data which is sent to the SeagrassNet database for analysis. We present five case studies based on SeagrassNet data from across the Americas (two sites in the USA, one in Belize, and two in Brazil) which have a common theme of seagrass decline; the study represents a first latitudinal comparison across a hemisphere using a common methodology. In two cases, rapid loss of seagrass was related to eutrophication, in two cases losses related to climate change, and in one case, the loss is attributed to a complex trophic interaction resulting from the presence of a marine protected area. SeagrassNet results provide documentation of seagrass change over time and allow us to make scientifically supported statements about the status of seagrass habitat and the extent of need for management action. [source]


Evolution of the Chandra CCD spectra of SNR 1987A: probing the reflected-shock picture

MONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 2 2010
Svetozar A. Zhekov
ABSTRACT We continue to explore the validity of the reflected-shock structure (RSS) picture in SNR 1987A that was proposed in our previous analyses of the X-ray emission from this object. We used an improved version of our RSS model in a global analysis of 14 CCD spectra from the monitoring program with Chandra. In the framework of the RSS picture, we are able to match both the expansion velocity curve deduced from the analysis of the X-ray images and light curve. Using a simplified analysis, we also show that the X-rays and the non-thermal radio emission may originate from the same shock structure (the blast wave). We believe that using the RSS model in the analysis of grating data from the Chandra monitoring program of SNR 1987A that cover a long enough time interval will allow us to build a more realistic physical picture and model of SNR 1987A. [source]


Results from the Wide Angle Search for Planets Prototype (WASP0) , III.

MONTHLY NOTICES OF THE ROYAL ASTRONOMICAL SOCIETY, Issue 3 2005
Planet hunting in the Draco field
ABSTRACT The Wide Angle Search for Planets Prototype (WASP0) is a wide-field instrument used to search for extra-solar planets via the transit method. Here we present the results of a monitoring program which targeted a 9-degree field in Draco. WASP0 monitored 35 000 field stars for two consecutive months. Analysis of the light curves resulted in the detection of 11 multi-transit candidates and three single-transit candidates, two of which we recommend for further follow-up. Monte Carlo simulations matching the observing parameters estimate the expected number of transit candidates from this survey. A comparison of the expected number with the number of candidates detected is used to discuss limits on planetary companions to field stars. [source]


WTC medical monitoring and treatment program: Comprehensive health care response in aftermath of disaster

MOUNT SINAI JOURNAL OF MEDICINE: A JOURNAL OF PERSONALIZED AND TRANSLATIONAL MEDICINE, Issue 2 2008
Jacqueline M. Moline MD
Abstract The attack on the World Trade Center (WTC) on September 11th, 2001 exposed thousands of individuals to an unprecedented mix of chemicals, combustion products and micronized building materials. Clinicians at the Mount Sinai Irving Selikoff Center for Occupational and Environmental Medicine, in partnership with affected stakeholder organizations, developed a medical screening program to evaluate the health status of workers and volunteers who spent time at the WTC site and thus sustained exposure in the aftermath of September 11th. Standardized questionnaires were adapted for use in this unique population and all clinicians underwent training to ensure comparability. The WTC Worker and Volunteer Medical Screening Program (MSP) received federal funding in April 2002 and examinations began in July 2002. The MSP and the follow up medical monitoring program has successfully recruited nearly 22,000 responders, and serves as a model for the rapid development of a medical screening program to assess the health of populations exposed to environmental hazards as a result of natural and man-made disasters. The MSP constitutes a successful screening program for WTC responders. We discuss the challenges that confronted the program; the absence of a prior model for the rapid development of a program to evaluate results from mixed chemical exposures; little documentation of the size of the exposed population or of who might have been exposed; and uncertainty about both the nature and potential severity of immediate and long-term health effects. Mt Sinai J Med 75:67,75, 2008© 2008 Mount Sinai School of Medicine [source]


Development of a multiresidue method for analysis of major Fusarium mycotoxins in corn meal using liquid chromatography/tandem mass spectrometry

RAPID COMMUNICATIONS IN MASS SPECTROMETRY, Issue 14 2005
Chiara Cavaliere
A sensitive and reliable liquid chromatography/electrospray ionization tandem mass spectrometry (LC/ESI-MS/MS) method has been developed to determine, in a single run, eight trichothecenes, three fumonisins, zearalenone and , -zearalenol, in corn meal samples. LC and MS conditions were varied to find the best compromise in terms of sensitivity and separation. An acceptable compromise was obtained using a C18 column thermostatted at 45°C and a mobile phase gradient of methanol/water with 10,mmol/L formate buffer (pH 3.8). A multiple reaction monitoring program, in which fumonisins and trichothecenes (except nivalenol and deoxynivalenol) are acquired in positive ESI as [M+H]+ or [M+NH4]+, and all other compounds in negative ESI, was developed to match appropriate retention time windows. Sample preparation used a simple homogenization of the corn meal sample with acetonitrile/water (75:25, v/v) followed by extraction on a C18 cartridge and clean-up on a cartridge containing graphitized carbon black. Method detection limits were in the range 2,14,ng/g, with the exception of nivalenol (27,ng/g), deoxynivalenol (40,ng/g) and 15-acetyldeoxynivalenol (30,ng/g). Good accuracy (recoveries 81,104%) and precision (RSD 4,11%) were obtained by performing calibration using a spiked analyte-free extract. Copyright © 2005 John Wiley & Sons, Ltd. [source]


Pilot-scale demonstration of in situ capping of PCB-containing sediments in the lower Grasse River

REMEDIATION, Issue 1 2003
James D. Quadrini
A fish-consumption advisory is currently in effect in a seven-mile stretch of the Grasse River in Massena, New York, due to elevated levels of PCBs in fish tissue. One remedial approach that is being evaluated to reduce the PCB levels in fish from the river is in situ capping. An in-river pilot study was conducted in the summer of 2001 to assess the feasibility of capping PCB-containing sediments of the river. The study consisted of the construction of a subaqueous cap in a seven-acre portion of the river using various combinations of capping materials and placement techniques. Optimal results were achieved with a 1:1 sand/topsoil mix released from a clamshell bucket either just above or several feet below the water surface. A longer-term monitoring program of the capped area commenced in 2002. Results of this monitoring indicated: 1) the in-place cap has remained intact since installation; 2) no evidence of PCB migration into and through the cap; 3) groundwater advection through the cap is not an important PCB transport mechanism; and 4) macroinvertebrate colonization of the in-place cap is continuing. Additional follow-up monitoring in the spring of 2003 indicated that a significant portion of the cap and, in some cases, the underlying sediments had been disturbed in the period following the conclusion of the 2002 monitoring work. An analysis of river conditions in the spring of 2003 indicated that a significant ice jam had formed in the river directly over the capping pilot study area, and that the resulting increase in river velocities and turbulence in the area resulted in the movement of both cap materials and the underlying sediments. The pilot cap was not designed to address ice jam,related forces on the cap, as the occurrence of ice jams in this section of the river had not been known prior to the observations conducted in the spring of 2003. These findings will preclude implementation of the longer-term monitoring program that had been envisioned for the pilot study. The data collected immediately after cap construction in 2001 and through the first year of monitoring in 2002 serve as the basis for the conclusions presented in this article. It should be recognized that, based on the observation made in the spring of 2003, some of these conclusions are no longer valid for the pilot study area. The occurrence of ice jams in the lower Grasse River and their importance on sediments and PCBs within the system are currently under investigation. © 2003 Wiley Periodicals, Inc. [source]


Rethinking groundwater monitoring at the Hanford Site

REMEDIATION, Issue 2 2000
Daniel Michael
Groundwater monitoring at Department of Energy's (DOE's) Hanford Site is a large, expensive undertaking serving multiple purposes, including compliance with regulations and DOE orders, remediation efforts under CERCLA, and sitewide risk evaluations. Like most large Federal facilities, the monitoring program currently in place has evolved and grown overtime as new requirements were established and groups were assigned to address them. DOE and its regulators simultaneously awakened to the fact that there was a need to reevaluate the monitoring activities at Hanford, to better integrate the program, to avoid duplicative sampling, to improve everyone's understanding of the performance of the network, and to evaluate whether adequate data could be collected for lower cost. This paper describes the approch that was developed to guide the rethinking effort with direct and extensive involvement of DOE, EPA, Washington Department of Ecology, Indian Tribes, and DOE Contractors, and how this approach was applied to a large portion of the site. Both the human element of the process (cultural change), as well as some of the technical details associated with the effort, including a flexible application of EPA's data quality objectives process, are discussed. [source]


Recent discoveries of supersoft X-ray sources in M 31,

ASTRONOMISCHE NACHRICHTEN, Issue 2 2010
M. Henze
Abstract Classical novae (CNe) have recently been reported to represent the major class of supersoft X-ray sources (SSSs) in the central area of our neighbouring galaxy M 31. This paper presents a review of results from recent X-ray observations of M 31 with XMM-Newton and Chandra. We carried out a dedicated optical and X-ray monitoring program of CNe and SSSs in the central area ofM 31. We discovered the first SSSs in M 31 globular clusters (GCs) and their connection to the very first discovered CN in a M 31 GC. This result may have an impact on the CN rate in GCs. Furthermore, in our optical and X-ray monitoring data we discovered the CN M3 1N 2007-11a, which shows a very short SSS phase of 29,52 days. Short SSS states (durations , 100 days) of CNe indicate massive white dwarfs (WDs) that are candidate progenitors of supernovae type Ia. In the case of M31N 2007-11a, the optical and X-ray light curves suggest a binary containing a WD with MWD > 1.0 M,. Finally, we present the discovery of the SSS counterpart of the CN M31N 2006-04a. The X-ray light curve of M31N 2006-04a shows short-time variability, which might indicate an orbital period of about 2 hours (© 2010 WILEY-VCH Verlag GmbH & Co. KGaA, Weinheim) [source]


On the relation between supersoft X-ray sources and VY Scl stars: The cases of V504 Cen and VY Scl,

ASTRONOMISCHE NACHRICHTEN, Issue 2 2010
J. Greiner
Abstract We summarise our optical monitoring program of VY Scl stars with the SMARTS telescopes, and triggered X-ray as well as optical observations after/during state transitions of V504 Cen and VY Scl (© 2010 WILEY-VCH Verlag GmbH & Co. KGaA, Weinheim) [source]


Response of Culicoides spp. (Diptera: Ceratopogonidae) to light-emitting diodes

AUSTRALIAN JOURNAL OF ENTOMOLOGY, Issue 2 2004
Alan L Bishop
Abstract Light traps with incandescent globes are used in a national monitoring program to detect the presence of Culicoides spp. responsible for the transmission of viruses to livestock and native animals. Recent events have suggested that the efficiency of these traps should be reconsidered and possibly improved. Subsequently, the response of eight species of Culicoides to light-emitting diodes (LEDs) was determined at two locations in New South Wales. Culicoides austropalpalis Lee & Reye, C. bunrooiensis Lee & Reye and C. marksi Lee & Reye were attracted to blue light. Responses to blue and green light could not be separated for C. bundyensis Lee & Reye, C. dycei Lee & Reye, C. nattiensis Lee & Reye and C. victoriae Macfie. Culicoides brevitarsis Kieffer was significantly attracted to green light. This species is the major vector of Akabane and bluetongue viruses in Australia. These responses were all significantly greater than the responses to the incandescent lights currently used in the light traps. The response to red light was less than the response to incandescent light for all species. Catches of C. brevitarsis were also related to the intensity of the green LEDs. These were more effective than the currently used incandescent globes at intensities between 46% and 142% of the incandescent intensity. [source]


Achieving Integrative, Collaborative Ecosystem Management

CONSERVATION BIOLOGY, Issue 5 2006
HEATHER L. KEOUGH
beneficios sociales y ecológicos; gestión; participación pública; toma de decisiones cooperativa Abstract:,Although numerous principles have been identified as being important for successfully integrating social and ecological factors in collaborative management, few authors have illustrated how these principles are used and why they are effective. On the basis of a review of the ecosystem management and collaboration literature, we identified eight factors important for integrative, collaborative ecosystem management,integrated and balanced goals, inclusive public involvement, stakeholder influence, consensus group approach, collaborative stewardship, monitoring and adaptive management, multidisciplinary data, and economic incentives. We examined four cases of successful ecosystem management to illustrate how the factors were incorporated and discuss the role they played in each case's success. The cases illustrate that balancing social and ecosystem sustainability goals is possible. Collaborative efforts resulted in part from factors aimed at making plans economically feasible and from meaningful stakeholder participation in ongoing management. It also required participation in monitoring programs to ensure stakeholder interests were protected and management efforts were focused on agreed-upon goals. Data collection efforts were not all-inclusive and systematic; rather, they addressed the ecological, economic, and social aspects of key issues as they emerged over time. Economic considerations appear to be broader than simply providing economic incentives; stakeholders seem willing to trade some economic value for recreational or environmental benefits. The cases demonstrate that it is not idealistic to believe integrative, collaborative ecosystem management is possible in field applications. Resumen:,Aunque numerosos principios han sido identificados como importantes para la integración exitosa de factores sociales y ecológicos en la gestión cooperativa, pocos autores han ilustrado como son utilizados estos principios y porque son efectivos. Con base en una revisión de la literatura sobre gestión de ecosistemas y colaboración, identificamos cinco factores,metas integradas y balanceadas, inclusive participación pública, influencia de grupos de interés, estrategia de consenso en el grupo, gestión cooperativa, gestión adaptativa y monitoreo, datos multidisciplinarios e incentivos económicos,que son importantes para la gestión integradora y cooperativa de ecosistemas. Examinamos cuatro casos de gestión exitosa de ecosistemas para ilustrar como fueron incorporados los factores y discutimos el papel que jugaron en el éxito de cada caso. Los casos ilustran que el balance de metas de sustentabilidad social y ecológica es posible. En parte, los esfuerzos cooperativos resultaron de factores orientados a hacer que los planes fueran económicamente viables y de la participación significativa de grupos de interés en la gestión en curso. También se requirió la participación en programas de monitoreo para asegurar que los intereses de los grupos fueran protegidos y los esfuerzos de gestión se enfocaran en las metas acordadas. No todos los esfuerzos de recolecta de datos fueron incluyentes y sistemáticos, más bien, eran dirigidos a los aspectos ecológicos, económicos y sociales de temas clave a medida que emergían. Las consideraciones económicas parecen ser más amplias que simplemente proporcionar incentivos económicos, los grupos de interés parecen dispuestos a cambiar algo de valor económico por beneficios recreativos o ambientales. Los casos demuestran que no es idealista pensar que es posible aplicar la gestión integradora y cooperativa de ecosistemas en el campo. [source]


Predicting the impact of climate change on Australia's most endangered snake, Hoplocephalus bungaroides

DIVERSITY AND DISTRIBUTIONS, Issue 1 2010
Trent D. Penman
Abstract Aim, To predict how the bioclimatic envelope of the broad-headed snake (BHS) (Hoplocephalus bungaroides) may be redistributed under future climate warming scenarios. Location, South-eastern New South Wales, Australia. Methods, We used 159 independent locations for the species and 35 climatic variables to model the bioclimatic envelope for the BHS using two modelling approaches , Bioclim and Maxent. Predictions were made under current climatic conditions and we also predicted the species distribution under low and high climate change scenarios for 2030 and 2070. Results, Broad-headed snakes currently encompass their entire bioclimatic envelope. Both modelling approaches predict that suitable climate space for BHS will be lost to varying degrees under both climate warming scenarios, and under the worst case, only 14% of known snake populations may persist. Main conclusions, Areas of higher elevation within the current range will be most important for persistence of this species because they will remain relatively moist and cool even under climate change and will match the current climate envelope. Conservation efforts should focus on areas where suitable climate space may persist under climate warming scenarios. Long-term monitoring programs should be established both in these areas and where populations are predicted to become extirpated, so that we can accurately determine changes in the distribution of this species throughout its range. [source]