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Selected AbstractsMaspin controls mammary tumor cell migration through inhibiting Rac1 and Cdc42, but not the RhoA GTPaseCYTOSKELETON, Issue 5 2007Heidi Y. Shi Abstract Rac1 and Cdc42 are members of the Rho family of small GTPases that play essential roles in diverse cellular functions, including cell migration. The activities of these Rho family proteins are controlled by growth factor receptor activation and cell-ECM interactions. Here, we show that maspin, a well-documented tumor suppressor gene, also controls cell motility through inhibiting Rac1/Cdc42 activity. Using the GST-PAK and GST-Rho binding protein pull-down assays for GTP-bound Rac1, Cdc42, and RhoA, we showed that treatment of MDA-MB-231 tumor cells with recombinant maspin for a short time period significantly inhibited the activity of Rac1 and Cdc42, but not RhoA. The reactive site loop (RSL) within maspin protein is the functional domain involved in the inhibition. Maspin mutants with the RSL deleted or a point mutation in the RSL region lost their inhibitory activity. We further examined the ability of maspin to inhibit Rac1- and Cdc42-mediated signaling pathways and transcription factors. Treatment of MDA-MB-231 cells with maspin led to the inhibition of JNK kinase activity as assayed by immuno-kinase assays. In addition, the AP-1 transcription activity downstream of JNK kinase pathway was also reduced. Together, we have identified Rac1 and Cdc42 as the downstream targets that mediate the inhibition of mammary tumor cell migration by maspin. Cell Motil. Cytoskeleton 2007. © 2007 Wiley-Liss, Inc. [source] Geomorphic changes in a complex gully system measured from sequential digital elevation models, and implications for managementEARTH SURFACE PROCESSES AND LANDFORMS, Issue 10 2003Harley D. Betts Abstract High-resolution digital elevation models (DEMs) were derived from sequential aerial photography of an active ,uvio-mass movement (gully) complex in New Zealand's North Island East Coast region, to measure geomorphic changes over approximately one year. The gully showed a complex behaviour, combining ,uvial and mass movement erosion, deposition, and reworking of materials stored in an active debris fan. During the measurement period 5200 ± 1700 m3 of material were eroded from the 8·7 ha gully complex and 670 ± 180 m3 from the 0·8 ha depositional fan, giving a total of 5870 ± 1710 m3 for the entire gully complex,fan system. The results provide a high-resolution description of gully behaviour over a short time period, and also demonstrate that mass movement (slumping and debris ,ows) accounted for almost 90 per cent (4660 ± 200 m3) of the sediment generated. This erosional response is described in terms of gully evolution by comparing the gully complex to other systems in the region in various stages of development. The effect of gully evolution on geomorphic coupling between the gully complex and channel system is described, and coupling is also shown to vary with the magnitude and frequency of rainfall events. From a land management perspective the success of strategies, such as tree planting, to mitigate against gully erosion depends on the stage of gully development , particularly on whether or not mass movement erosion has begun. In contrast to gully rehabilitation efforts elsewhere, basin-wide afforestation in the early stages of gully incision is favoured over riparian planting, given that mass movement assisted by excessive groundwater pressure is the main process leading to uncontrollable gully expansion. To protect land effectively against continuing gully erosion of headwater catchments and resulting downstream aggradation, it is necessary for land managers to understand the spatial and temporal variability of gully development fully so that mitigation efforts can be targeted appropriately. Copyright © 2003 John Wiley & Sons, Ltd. [source] On the estimation of species richness based on the accumulation of previously unrecorded speciesECOGRAPHY, Issue 1 2002Emmanuelle Cam Estimation of species richness of local communities has become an important topic in community ecology and monitoring. Investigators can seldom enumerate all the species present in the area of interest during sampling sessions. If the location of interest is sampled repeatedly within a short time period, the number of new species recorded is typically largest in the initial sample and decreases as sampling proceeds, but new species may be detected if sampling sessions are added. The question is how to estimate the total number of species. The data collected by sampling the area of interest repeatedly can be used to build species accumulation curves: the cumulative number of species recorded as a function of the number of sampling sessions (which we refer to as "species accumulation data"). A classic approach used to compute total species richness is to fit curves to the data on species accumulation with sampling effort. This approach does not rest on direct estimation of the probability of detecting species during sampling sessions and has no underlying basis regarding the sampling process that gave rise to the data. Here we recommend a probabilistic, nonparametric estimator for species richness for use with species accumulation data. We use estimators of population size that were developed for capture-recapture data, but that can be used to estimate the size of species assemblages using species accumulation data. Models of detection probability account for the underlying sampling process. They permit variation in detection probability among species. We illustrate this approach using data from the North American Breeding Bird Survey (BBS). We describe other situations where species accumulation data are collected under different designs (e.g., over longer periods of time, or over spatial replicates) and that lend themselves to of use capture-recapture models for estimating the size of the community of interest. We discuss the assumptions and interpretations corresponding to each situation. [source] Effect of Small-World Networks on Epidemic Propagation and InterventionGEOGRAPHICAL ANALYSIS, Issue 3 2009Zengwang Xu The small-world network, characterized by special structural properties of high connectivity and clustering, is one of the highlights in recent advances in network science and has the potential to model a variety of social contact networks. In an attempt to better understand how these structural properties of small-world networks affect epidemic propagation and intervention, this article uses an agent-based approach to investigate the interplay between an epidemic process and its underlying network structure. Small-world networks are derived from a network "rewiring" process, which readjusts edges in a completely regular two-dimensional network by different rewiring probabilities (0,1) to produce a spectrum of modified networks on which an agent-based simulation of epidemic propagation can be conducted. A comparison of simulated epidemics discloses the effect of small-world networks on epidemic propagation as well as the effectiveness of different intervention strategies, including mass vaccination, acquaintance vaccination, targeted vaccination, and contact tracing. Epidemics taking place on small-world networks tend to reach large-scale epidemic peaks within a short time period. Among the four intervention strategies tested, only one strategy,the targeted vaccination,proves to be effective for containing epidemics, a finding supported by a simulation of the severe acute respiratory syndrome epidemic in a large-scale realistic social contact network in Portland, OR. Las redes de mundo de pequeño (,small-world networks'), caracterizadas por sus propiedades estructurales especiales de alta conectividad y aglomeración (,clustering') son uno de los ejemplos más destacados de los avances más recientes de la ciencia de redes, y tiene el potencial de modelar una gran variedad de redes sociales de contacto. En un intento de comprender mejor como estas propiedades estructurales de redes ,small-world' afectan la propagación e intervención de epidemias, el estudio presente emplea un enfoque basado en modelos multi-agente (,agent based') para investigar la interacción entre el proceso epidémico y la estructura de redes en la que estan integrados. Las redes de mundo pequeño se derivan del proceso de recableado (,rewiring') el cual reajusta los límites en una red 2-D de acuerdo a varias probabilidades de reconexión (0-1) para producir un abanico de posibles de redes modificadas sobre los cuales se condujo una simulación multi-agente de la propagación de la epidemia. El efecto de las redes ,small world' y de las diferentes estrategias de intervención (por ejemplo, diferentes estrategias de vacunación) son evidenciadas mediante la comparación entre varias simulaciones de la epidemia. Las epidemias que ocurren en redes de tipo ,small-world' tienden a alcanzar picos de gran escala epidémica en un corto periodo de tiempo. Entre las estrategias evaluadas, sólo una ,vacunación dirigida a una población objetivo (,targeted vaccination')- demostró ser efectiva en la contención de la epidemia. Dicho resultado se obtuvo vía la simulación de la epidemia de SRAS (Síndrome Respiratorio Agudo Severo ,SARS') realiada en Portland, Oregon (EEUU). [source] Classification Analysis of World Economic RegionsGEOGRAPHICAL ANALYSIS, Issue 4 2001Raymond J. Dezzani Economic classifications of countries are of continuing utility for comparative and analytic purposes. However, traditional methods of arriving at classifications are often ad hoc, subjective, and imprecise, not permitting the assignments to be used for closer analysis. Discriminant analysis is used in this paper to isolate a time-specific set of economic factors delimiting economic state categories that correspond to core-periphery states. The core-periphery framework is shown to be a special case of a hierarchical market scheme. The purposes of this work are (1) to create a theoretically grounded, empirically derived classification over several time periods to permit dynamic comparisons to be made and provide an explanation of change in the global economy, and (2) to provide feedback information from the classification to supply the necessary rigor and quantitative insight to the world-systems theoretical framework. Results of the analysis suggest that different economic variables provide varying levels of explanation at different times. In particular, variables representing factor endowment provide a greater measure of explanation early in the sequence (for example, 1960) while trade and investment measures are of greater importance in the latter part of the study sequence (for example, 1990). OPEC countries significantly bifurcate the world-economy classification in 1970 and exhibit separate class characteristics. Even within the short time period, a number of countries are shown to transit among the classes. The model is also able to capture the dependence structure implicit in the world-systems framework. [source] Comparison of the three-dimensional structures of a human Bence-Jones dimer crystallized on Earth and aboard US Space Shuttle Mission STS-95,JOURNAL OF MOLECULAR RECOGNITION, Issue 2 2003Simon S. Terzyan Abstract Crystals of a human (Sea) Bence-Jones dimer were produced in a capillary by vapor diffusion under microgravity conditions in the 9 day US Space Shuttle Mission STS-95. In comparison to ground-based experiments, nucleation was facile and spontaneous in space. Appearance of a very large (8,×,1.6,×,1.0,mm) crystal in a short time period is a strong endorsement for the use of microgravity to produce crystals sufficiently large for neutron diffraction studies. The Sea dimer crystallized in the orthorhombic space group P212121, with a,=,48.9,Å, b,=,85.2,Å, and c,=,114.0,Å. The crystals grown in microgravity exhibited significantly lower mosaicities than those of ground-based crystals and the X-ray diffraction data had a lower overall B factor. Three-dimensional structures determined by X-ray analysis at two temperatures (100 and 293,K) were indistinguishable from those obtained from ground-based crystals. However, both the crystallographic R factor and the free R factor were slightly lower in the models derived from crystals produced in microgravity. The major difference between the two crystal growth systems is a lack of convection and sedimentation in a microgravity environment. This environment resulted in the growth of much larger, higher-quality crystals of the Sea Bence-Jones protein. Structurally, heretofore unrecognized grooves on the external surfaces of the Sea and other immunoglobulin-derived fragments are regular features and may offer supplementary binding regions for super antigens and other elongated ligands in the bloodstream and perivascular tissues. Copyright © 2003 John Wiley & Sons, Ltd. [source] Revisiting Intragastric Ethanol Intubation as a Dependence Induction Method for Studies of Ethanol Reward and Motivation in RatsALCOHOLISM, Issue 3 2010Simone Braconi Background:, The purpose of this study was to re-examine intragastric ethanol intubation as a dependence induction method that effectively induces physical dependence upon ethanol over a short time period, is devoid of intrinsic stress artifacts, inexpensive, and easy to implement. Methods:, Male Wistar rats were subjected to ethanol dependence induction via intragastric ethanol intubation. Ethanol solution (final concentration 20%, made up in a dietary liquid vehicle consisting of powdered milk, sucrose, and water) was intubated 4 times per day, at 4-hour intervals, for 6 consecutive days (for a total of 10 g/kg/day). The utility of this procedure was evaluated for inducing physical dependence, determined by daily and final withdrawal ratings. Anxiety-like behavior associated with ethanol dependence history was examined using the elevated plus-maze (EPM) test, conducted 5 days after ethanol withdrawal. To evaluate whether potential stress-like effects of intragastric intubation per se produce lasting effects on behavior, experimentally naive rats were compared with vehicle-intubated rats for anxiety-like behavior on the EPM. Results:, Blood alcohol levels reached stable levels between 200 and 250 mg%, measured 1 hour after the second and third ethanol intubation on days 2, 4, and 6. Ethanol-treated rats developed significant somatic withdrawal signs, recorded daily between 10 and 12 hours after the last ethanol administration. At 5 days postwithdrawal, ethanol-treated rats showed significant anxiety-like behavior, measured by decreased open arm time and open arm entries on the EPM, compared with vehicle controls. Additionally, ethanol postdependent rats showed decreased open arm time compared with experimentally naive rats. EPM performance did not differ between vehicle-intubated and naive rats. No withdrawal seizures were observed and mortality rate was near zero. Conclusions:, These findings suggest that intragastric ethanol administration produces a behavioral profile consistent with ethanol dependence (i.e., significant withdrawal signs after termination of ethanol exposure and elevated anxiety-like behavior persisting beyond completion of physical withdrawal), and that the intubation procedure itself does not produce lasting nonspecific anxiety-like effects. Thus, under the conditions employed here, this procedure provides an effective tool for inducing and evaluating the consequences of ethanol dependence in animal models of ethanol reward and motivation. [source] Diel vertical migration of medusae in the open Southern Adriatic Sea over a short time period (July 2003)MARINE ECOLOGY, Issue 1 2009Davor Lu Abstract Diel vertical migration (DVM) of medusae was investigated at a fixed station in the oligotrophic Southern Adriatic Sea at several depths during summer (July) 2003. We hypothesized that medusan DVM is considerably influenced by environmental variables such as hydrographic features, light intensities, and potential prey densities. We used short-term repetitive sampling as an approach to detail these relationships. Of the 26 species collected, the highest abundance was in the layer between the thermocline (15 m) and 100 m depth, where Rhopalonema velatum predominated, reaching the maximum count of 93 individuals per 10 m3. Seven species were observed over a wide depth range: Solmissus albescens (15,1200 m), R. velatum (0,800 m), Persa incolorata (50,1200 m), Octophialucium funerarium (200,1200 m), Arctapodema australis (200,1200 m), Amphinema rubra (100,800 m), and Rhabdoon singulare (15,600). According to the medusan weighted mean depth (WMD) calculations, the longest DVMs were noted for the deep-sea species S. albescens, O. funerarium, and A. australis. The shallowest species, Aglaura hemistoma, was primarily non-migratory. Certain medusan assemblages were associated consistently with a particular depth layer characterized by a particular light intensity. The interplay of environmental factors and trophic relationships explains some of the features of medusan migratory patterns. These findings thus contribute to understanding the variables that determine patterns of medusan vertical migratory behavior. [source] Mechanisms influencing the evolution of resistance to Qo inhibitor fungicides,,PEST MANAGEMENT SCIENCE (FORMERLY: PESTICIDE SCIENCE), Issue 9 2002Ulrich Gisi Abstract Fungicides inhibiting the mitochondrial respiration of plant pathogens by binding to the cytochrome bc1 enzyme complex (complex III) at the Qo site (Qo inhibitors, QoIs) were first introduced to the market in 1996. After a short time period, isolates resistant to QoIs were detected in field populations of a range of important plant pathogens including Blumeria graminis Speer f sp tritici, Sphaerotheca fuliginea (Schlecht ex Fr) Poll, Plasmopara viticola (Berk & MA Curtis ex de Bary) Berl & de Toni, Pseudoperonospora cubensis (Berk & MA Curtis) Rost, Mycosphaerella fijiensis Morelet and Venturia inaequalis (Cooke) Wint. In most cases, resistance was conferred by a point mutation in the mitochondrial cytochrome b (cyt b) gene leading to an amino-acid change from glycine to alanine at position 143 (G143A), although additional mutations and mechanisms have been claimed in a number of organisms. Transformation of sensitive protoplasts of M fijiensis with a DNA fragment of a resistant M fijiensis isolate containing the mutation yielded fully resistant transformants, demonstrating that the G143A substitution may be the most powerful transversion in the cyt b gene conferring resistance. The G143A substitution is claimed not to affect the activity of the enzyme, suggesting that resistant individuals may not suffer from a significant fitness penalty, as was demonstrated in B graminis f sp tritici. It is not known whether this observation applies also for other pathogen species expressing the G143A substitution. Since fungal cells contain a large number of mitochondria, early mitotic events in the evolution of resistance to QoIs have to be considered, such as mutation frequency (claimed to be higher in mitochondrial than nuclear DNA), intracellular proliferation of mitochondria in the heteroplasmatic cell stage, and cell to cell donation of mutated mitochondria. Since the cyt b gene is located in the mitochondrial genome, inheritance of resistance in filamentous fungi is expected to be non-Mendelian and, therefore, in most species uniparental. In the isogamous fungus B graminis f sp tritici, crosses of sensitive and resistant parents yielded cleistothecia containing either sensitive or resistant ascospores and the segregation pattern for resistance in the F1 progeny population was 1:1. In the anisogamous fungus V inaequalis, donation of resistance was maternal and the segregation ratio 1:0. In random mating populations, the sex ratio (mating type distribution) is generally assumed to be 1:1. Therefore, the overall proportion of sensitive and resistant individuals in unselected populations is expected to be 1:1. Evolution of resistance to QoIs will depend mainly on early mitotic events; the selection process for resistant mutants in populations exposed to QoI treatments may follow mechanisms similar to those described for resistance controlled by single nuclear genes in other fungicide classes. It will remain important to understand how the mitochondrial nature of QoI resistance and factors such as mutation, recombination, selection and migration might influence the evolution of QoI resistance in different plant pathogens. © 2002 Society of Chemical Industry [source] A practical approach to steam-enhanced dual-phase extraction: A case studyREMEDIATION, Issue 3 2003David P. Bouchard This article presents the results of a pilot test that was conducted to determine the effectiveness of using steam-enhanced dual-phase extraction (DPE) at a former industrial site in New York. The pilot test proved that steam-enhanced DPE was very effective at removing significant contaminant mass from the subsurface in a relatively short time period. Concentrations of volatile organic compounds and semivolatile organic compounds in the vapor stream and groundwater were successfully reduced, in some cases by orders of magnitude. Based on the results of the steam-enhanced DPE pilot test, the final remedy for the site includes implementing this technology at selected areas as an alternative to DPE alone or other remedial alternatives, such as excavation or groundwater pump and treat. © 2003 Wiley Periodicals, Inc. [source] The Dynamics of Diversification Discount,ASIA-PACIFIC JOURNAL OF FINANCIAL STUDIES, Issue 2 2009Seoungpil Ahn Abstract Using a sample of diversified firms over the period of 1980,2003, I investigate changes in the diversification discount over the two decades. The time-series pattern of the diversification discount is created by the entrance and exit of discount firms. I find that the distribution of excess value can correctly predict the survivalship of a diversified firm. Discount firms are more likely to reverse their diversification within short time period. By contrast, the survival of diversification strategies among premium firms and focused firms is unrelated to the firms' excess values. After accounting for value effects, premium firms perform better than focused firms and discount firms. I interpret the results as evidence that excess value can correctly identify these firms that are successful and unsuccessful in their diversification. [source] The effect of periodontal therapy on serum TNF-, and HbA1c levels in type 2 diabetic patientsAUSTRALIAN DENTAL JOURNAL, Issue 1 2009Abstract Background:, To determine the effect of non-surgical periodontal therapy on serum TNF-, and HbA1c levels in poorly and well-controlled type 2 diabetic patients. Methods:, In total, 45 patients were enrolled in the study; 30 patients with type 2 diabetes mellitus with periodontitis (15 with poorly controlled diabetes, HbA1c , 7%, group 1A and 15 with well-controlled diabetes, HbA1c < 7%, group 1B) and 15 patients that were systemically healthy with periodontitis (group 2). The plaque index, gingival index, probing depth, clinical attachment loss, gingival bleeding index, HbA1c value, and circulating TNF-, concentration were measured at baseline and three months after the non-surgical periodontal therapy. Results:, All periodontal parameters and serum TNF-, levels were significantly decreased three months after the non-surgical periodontal therapy compared to the baseline values in all groups. The HbA1c values were significantly decreased only in well-controlled diabetic patients. We found no significant differences in the periodontal parameters or TNF-, levels at baseline and after three months between the two groups. Conclusions:, Although non-surgical periodontal therapy eliminates local/systemic infection and inflammation via decreases in TNF-,, it is insufficient for significantly reducing HbA1c levels without strict glycaemic control in poorly controlled diabetic patients in a short time period. [source] Determining a Maximum-Tolerated Schedule of a Cytotoxic AgentBIOMETRICS, Issue 2 2005Thomas M. Braun Summary Most phase I clinical trials are designed to determine a maximum-tolerated dose (MTD) for one initial administration or treatment course of a cytotoxic experimental agent. Toxicity usually is defined as the indicator of whether one or more particular adverse events occur within a short time period from the start of therapy. However, physicians often administer an agent to the patient repeatedly and monitor long-term toxicity due to cumulative effects. We propose a new method for such settings. It is based on the time to toxicity rather than a binary outcome, and the goal is to determine a maximum-tolerated schedule (MTS) rather than a conventional MTD. The model and method account for a patient's entire sequence of administrations, with the overall hazard of toxicity modeled as the sum of a sequence of hazards, each associated with one administration. Data monitoring and decision making are done continuously throughout the trial. We illustrate the method with an allogeneic bone marrow transplantation (BMT) trial to determine how long a recombinant human growth factor can be administered as prophylaxis for acute graft-versus-host disease (aGVHD), and we present a simulation study in the context of this trial. [source] Plant-Arthropod Associations from the Lower Miocene of the Most Basin in Northern Bohemia (Czech Republic): A Preliminary ReportACTA GEOLOGICA SINICA (ENGLISH EDITION), Issue 4 2010Jakub PROKOP Abstract: Terrestrial plants and insects currently account for the majority of the Earth's biodiversity, and approximately half of insect species are herbivores. Thus, insects and plants share ancient associations that date back more than 400 Myr. However, investigations of their past interactions are at the preliminary stages in Western Europe. Herein, we present the first results of our study of various feeding damage based on a dataset of nearly 3500 examined plant specimens from the Lower Miocene of the Lagerstätte Bílina Mine in the Most Basin, Czech Republic. This site provides a unique view of the Neogene freshwater ecosystems. It has long been studied by scientists working in different branches of sedimentology, paleobotany, and paleozoology. The fossils are preserved in three characteristic horizons overlaying the coal seam (Clayey Superseam Horizon, Delta Sandy Horizon, and Lake Clayey Horizon), reflecting paleoenvironmental changes in a short time period of development. The trace fossils are classified as functional feeding groups or "guilds", without searching for a direct cause or a recent analog host relation. Approximately 23% of specimens of dicotyledonous plant leaves were found to be damaged and associated with some leaf "morphotypes". Deciduous plant-host taxa, and those with a chartaceous texture typical of riparian habitats, were frequently damaged, such as Populus, recorded with two species Populus zaddachii and Populus populina (57.9% and 31% herbivory levels, respectively), followed by Acer, Alnus, and Carya, averaging almost 30% of damaged leaves/leaflets. There has been evidence of 60 damage types (DT) representing all functional feeding groups recorded at the Bílina Mine, including 12 types of leaf mines and 16 gall-type DT. In total, Lower Miocene of the Lagerstätte Bílina Mine exhibits a high level of external foliage feeding types (23.7%), and a low level of more specialized DT, such as galls (4.3%) and leaf mines (<1%). A broader comparison based on DT of the main sedimentary environments shows significance supporting different biomes by frequency of damage levels and DT diversities. [source] Diagnosis of pemphigus by ELISA: a critical evaluation of two ELISAs for the detection of antibodies to the major pemphigus antigens, desmoglein 1 and 3CLINICAL & EXPERIMENTAL DERMATOLOGY, Issue 3 2000Experimental dermatology, Original article Pemphigus vulgaris (PV) and pemphigus foliaceus (PF) are characterized by autoantibodies to the desmosomal glycoproteins desmoglein 3 (Dsg 3) and Dsg 1 (Dsg 1), respectively. In this study, two enzyme-linked immunosorbent assays (ELISA) which detect IgG autoantibodies to Dsg 1 and Dsg 3 have been evaluated. A total of 317 normal and disease controls, 82 patients with PV and 25 with PF were studied. The Dsg 3 ELISA was positive in all 34 patients with untreated PV and the Dsg 1 ELISA was positive in all 10 with untreated PF. When patients undergoing treatment were included, the sensitivities fell to 95% and 92%, respectively, but still compared favourably to the sensitivity of indirect immunofluorescence which was 79% in PV and 84% in PF. All PF sera were negative in the Dsg 3 ELISA and the specificity of both assays was 98% or greater. Large numbers of samples could be analysed simultaneously over a relatively short time period. The Dsg 1 and Dsg 3 ELISAs also provided objective, quantitative, reproducible data which allowed differentiation of PV from PF and in view of these advantages, they are likely to become a routine technique in diagnostic laboratories. [source] Intra-individual variability in infancy: Structure, stability, and nutritional correlatesDEVELOPMENTAL PSYCHOBIOLOGY, Issue 3 2008Theodore D. Wachs Abstract Intra-individual variability (IIV) refers to relatively stable differences between individuals in the degree to which they show behavioral fluctuations over relatively short time periods. Using temperament as a conceptual framework the structure, stability, and biological roots of IIV were assessed over the first year of life. Biological roots were defined by maternal and infant nutrition. The sample was 249 Peruvian neonates, followed from the second trimester of pregnancy through the first 12 months of life. Maternal anthropometry, diet, iron status, and fetal growth were assessed prenatally. Neonatal anthropometry and iron status were assessed at birth. Degree of exclusive breastfeeding was assessed at 3 and 6 months, infant anthropometry was assessed at 3, 6, and 12 months, infant dietary intake was assessed at 6 and 12 months and infant iron status was tested at 12 months. Individual differences in IIV at 3, 6, and 12 months were derived from a residual standard deviation score based on infant behaviors measured using the Louisville Temperament Assessment Procedure. Principal components analysis indicated that individual differences in IIV were defined by two components at 3, 6, and 12 months. There was modest stability between IIV components assessed at 3 and 12 months. Reduced levels of IIV at 3 months were predicted by higher maternal weight and higher fetal weight gains in the first and second trimesters of pregnancy. Higher levels of IIV at 3 months were predicted by higher levels of maternal hemoglobin during pregnancy and higher levels of neonatal ferritin. © 2008 Wiley Periodicals, Inc. Dev Psychobiol 50: 217,231, 2008. [source] Transpiration and stomatal conductance across a steep climate gradient in the southern Rocky MountainsECOHYDROLOGY, Issue 3 2008Nate G. McDowell Abstract Transpiration (E) is regulated over short time periods by stomatal conductance (Gs) and over multi-year periods by tree- and stand-structural factors such as leaf area, height and density, with upper limits ultimately set by climate. We tested the hypothesis that tree structure, stand structure and Gs together regulate E per ground area (Eg) within climatic limits using three sites located across a steep climatic gradient: a low-elevation Juniperus woodland, a mid-elevation Pinus forest and a high-elevation Picea forest. We measured leaf area : sapwood area ratio (Al : As), height and ecosystem sapwood area : ground area ratio (As : Ag) to assess long-term structural adjustments, tree-ring carbon isotope ratios (,13C) to assess seasonal gas exchange, and whole-tree E and Gs to assess short-term regulation. We used a hydraulic model based on Darcy's law to interpret the interactive regulation of Gs and Eg. Common allometric dependencies were found only in the relationship of sapwood area to diameter for pine and spruce; there were strong site differences for allometric relationships of sapwood area to basal area, Al : As and As : Ag. On a sapwood area basis, E decreased with increasing elevation, but this pattern was reversed when E was scaled to the crown using Al : As. Eg was controlled largely by As : Ag, and both Eg and Gs declined from high- to low-elevation sites. Observation-model comparisons of Eg, Gs and ,13C were strongest using the hydraulic model parameterized with precipitation, vapour pressure deficit, Al : As, height, and As : Ag, supporting the concept that climate, Gs, tree- and stand-structure interact to regulate Eg. Copyright © 2008 John Wiley & Sons, Ltd. [source] Ammonium perchlorate effects on thyroid function and growth in bobwhite quail chicksENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 4 2004F. M. ANNE Mcnabb Abstract Bobwhite quail chicks were used to investigate ammonium perchlorate (AP; NH4ClO4) effects on thyroid function and growth. Beginning at 3 to 4 d posthatch, we evaluated organismal thyroid status (circulating hormones), activation of the hypo-thalamic-pituitary-thyroid axis (thyroid wt) and thyroidal hormone content over a wide range of AP concentrations (50 ,g/L , 4,000 mg/L) in drinking water, for relatively short (2-week) and longer (8-week) exposures. Thyroidal thyroxine (T4) content, the most sensitive index of decreased thyroid function, decreased markedly in response to increasing perchlorate exposure. Thyroid weight and plasma T4 were less sensitive indicators and similar in their ability to detect thyroid changes. Growth measurements (body wt and skeletal growth) were very insensitive indices. Because thyroids contain large hormone stores, with low exposures or short time periods, these stores can be used to maintain circulating hormones, at least temporarily. Most depletion of thyroidal T4 occurred during the first two weeks of AP exposure. Subsequent decreases were at a slower rate presumably because thyrotropin stimulation of the thyroids at least partially compensated for some of the perchlorate effect. Additional studies of the interactions between AP concentration and exposure time are needed for understanding the complex nature of thyroid responses to perchlorate. [source] RAPID GROWTH RESULTS IN INCREASED SUSCEPTIBILITY TO PREDATION IN MENIDIA MENIDIAEVOLUTION, Issue 9 2003Stephan B. Munch Abstract Several recent studies have demonstrated that rapid growth early in life leads to decreased physiological performance. Nearly all involved experiments over short time periods (<1 day) to control for potentially confounding effects of size. This approach, however, neglects the benefits an individual accrues by growing. The net effect of growth can only be evaluated over a longer interval in which rapidly growing individuals are allowed the time required to attain the expected benefits of large size. We used two populations of Menidia menidia with disparate intrinsic growth rates to address this issue. We compared growth and survivorship among populations subject to predation in mesocosms under ambient light and temperature conditions for a period of up to 30 days to address two questions: Do the growth rates of fish in these populations respond differently to the presence of predators? Is the previously demonstrated survival cost of growth counterbalanced by the benefits of increased size? We found that growth was insensitive to predation risk: neither population appeared to modify growth rates in response to predation levels. Moreover, the fast-growing population suffered significantly higher mortality throughout the trials despite being 40% larger than the slow-growing population at the experiment's end. These results confirm that the costs of rapid growth extend over prolonged intervals and are not ameliorated merely by the attainment of large size. [source] How closely do acute lethal concentration estimates predict effects of toxicants on populations?INTEGRATED ENVIRONMENTAL ASSESSMENT AND MANAGEMENT, Issue 2 2005John D. Stark Abstract Acute lethal dose/concentration estimates are the most widely used measure of toxicity and these data often are used in ecological risk assessment. However, the value of the lethal concentration (LC50) as a toxicological endpoint for use in ecological risk assessment recently has been criticized. A question that has been asked frequently is how accurate is the LC50 for prediction of longer-term effects of toxicants on populations of organisms? To answer this question, Daphnia pulex populations were exposed to nominal concentrations equal to the 48-h acute LC50 of 6 insecticides, Actara, Aphistar diazinon, pymetrozine, Neemix, and Spinosad; and 8 agricultural adjuvants, Bond, Kinetic, Plyac, R-11, Silwet, Sylgard 309, Water Maxx, and X-77; for 10 d. None of the D. pulex populations exposed to the acute LC50 of these insecticides were 50% lower than the control populations at the end of the study; exposure to diazinon resulted in populations that were higher than expected (91% of the control). Exposure to Actara and Aphistar resulted in populations that were <1 and 29% of the control, respectively. Exposure to Fulfill, Neemix, and Spinosad resulted in extinction. Extinction occurred after exposure to all of the adjuvants, except Silwet L-77 where the population was 31% of the control. These results corroborate other studies that indicate that the LC50 is not a good predictor of effects on population growth. Although lethal concentration estimates have their place in toxicology, namely to compare intrinsic toxicity of chemicals among species or susceptibility of a species to different chemicals over short time periods, population growth and growth-rate studies are necessary to predict toxicant effects on populations. [source] Financial Education and Counseling,Still Holding PromiseJOURNAL OF CONSUMER AFFAIRS, Issue 3 2010J. MICHAEL COLLINS This article reviews the evaluation literature on financial education and counseling for adults in order to synthesize implications for research and practice. Most evaluations report positive impacts, but the findings are often small when compared with valid comparison groups. Many evaluations use self-reported measures, measure outcomes over short time periods and cannot rule out selection bias due to nonrandomized designs, all of which may bias results. Although future research and practice in this field hold promise, more attention to theory-based evaluations and further investment in randomized field experiments may be fruitful. [source] Real-Time Feedback on Rater Drift in Constructed-Response Items: An Example From the Golden State ExaminationJOURNAL OF EDUCATIONAL MEASUREMENT, Issue 2 2001Machteld Hoskens In this study, patterns of variation in severities of a group of raters over time or so-called "rater drift" was examined when raters scored an essay written under examination conditions. At the same time feedback was given to rater leaders (called "table leaders") who then interpreted the feedback and reported to the raters. Rater severities in five successive periods were estimated using a modified linear logistic test model (LLTM, Fischer, 1973) approach. It was found that the raters did indeed drift towards the mean, but a planned comparision of the feedback with a control condition was not successful; it was believed that this was due to contamination at the table leader level. A series of models was also estimated designed to detect other types of rater effects beyond severity: a tendency to use extreme scores, and tendency to prefer certain categories. The models for these effects were found to be showing significant improvement in fit, implying that these effects were indeed present, although they were difficult to detect in relatively short time periods. [source] Hospitalisations due to pertussis in New Zealand in the pre-immunisation and mass immunisation erasJOURNAL OF PAEDIATRICS AND CHILD HEALTH, Issue 3 2007Rebecca L Somerville Aim: Pertussis disease burden in New Zealand in recent decades has been large compared with other developed countries. However, these comparisons use data from relatively short time periods given the long epidemic cycle of pertussis. To better understand the current disease burden, this study examined pertussis hospitalisation data in New Zealand in both the pre-immunisation and mass immunisation eras. Methods: Hospital discharge data and population data from 1873 to 2004 were used to estimate average pertussis hospital discharge rates per decade. Rates were compared using relative risks and 95% confidence intervals (CI). Results: Average annual pertussis hospitalisation rates per 100 000 were less than two from 1873 to 1919, increased to 12 in the 1940s, decreased to less than four in the 1960s and have increased since then with the rate in the current decade being 5.8. Compared with the 1960s (3.8 per 100 000) the average annual rate has been significantly greater in the 1980s (RR = 1.11, 95% CI 1.03, 1.21), 1990s (RR = 1.33, 95% CI 1.23, 1.44) and 2000s (RR = 1.55, 95% CI 1.42, 1.68). Since 1960 hospitalisation rates have increased for those less than one year old, one to four years old and five years and older. The increases have been most marked for infants (RR 2000s vs. 1960s = 2.87, 95% CI 2.59, 3.18). Conclusion: After an initial decline following mass immunisation, pertussis hospitalisation rates in New Zealand have subsequently increased steadily. To reduce pertussis disease burden improved immunisation coverage and timeliness is required and consideration given to spreading the pertussis vaccine schedule over a wider age range. [source] 122 Local to Coastal-Scale Macrophyte Community Structure: Surprizing Patterns and Possible MechanismsJOURNAL OF PHYCOLOGY, Issue 2003B. A. Menge Understanding large-scale patterns in ecological communities is a central goal of ecology, and yet, rigorous quantitative geographic data on distribution, abundance and diversity are almost totally lacking. Even in rocky intertidal habitats, our data on community structure are spatially and temporally limited, with most surveys limited to a few sites over short time periods. When linked to studies of community dynamics on similar scales, such studies should provide insights into the determinants of pattern at more relevant scales. In 1999 PISCO, the Partnership for Interdisciplinary Studies of Coastal Oceans, initiated survey programs aimed at determining patterns of community structure along the US west coast from Washington to Baja California. Sites are regularly spaced along the coast in a nested design, and were physically similar. Surveys used randomly placed quadrats in transects run parallel to shore in high, mid and low zones. Results show that, contrary to expectation, macroalgal diversity along the northern coast was higher, not lower than that along the southern coast. Possible factors associated with this unexpected pattern include along-coast variation in tidal amplitude, time of tide, thermal stress, upwelling intensity and resulting nutrient gradients, disturbance from storms or sand burial, and grazing. We review evidence relevant to these factors, and focus on the possible role of grazing, using field experiments done under differing oceanographic conditions along the Oregon coast as a model. Although short-term grazing rates can vary with oceanographic condition, we hypothesize that despite these results and those of many similar studies showing strong grazing effects on local spatial and short time scales, that bottom-up factors are stronger determinants of macroalgal community structure on larger spatial scales and longer time scales. [source] Sequential detergent fractionation of primary neurons for proteomics studiesPROTEINS: STRUCTURE, FUNCTION AND BIOINFORMATICS, Issue 5 2008Simonetta Bernocco Dr. Abstract Proteomics studies employing primary neurons are difficult due to the neurons' characteristics. We have developed a detergent-based fractionation method which reduces complexity of the protein extracts, is sufficiently fast to allow differential proteomics analysis after treatments of neurons for short time periods, can be applied to small numbers of cells directly in culture plates, and allows differential extraction of proteins in a compartment-specific manner. The sequential use of detergent-containing buffers on neurons in culture plates yields four extracts enriched in cytosolic, membrane-bound or enclosed, nuclear, and cytoskeletal proteins. Fractionation of neurons was validated by comparison of the distribution of known subcellular marker proteins in the four extracts using Western blotting. Comparison of extracts by DIGE showed a clear difference in protein composition demonstrating significant variations with a fold change (FC) of at least 1.20 for 82% of the detected spots. Using proteins identified in these spots that could be assigned a subcellular localization based on descriptions in the Uniprot database, an extraction efficiency of 85% was calculated for cytosolic proteins in extract 1, 90% for membrane-bound and membrane-enclosed proteins in extract 2, 82% for nuclear proteins in extract 3 and 38% for cytoskeletal and RAFT proteins in extract 4. [source] Effects of different photoperiods on growth, stress and haematological parameters in juvenile great sturgeon Huso husoAQUACULTURE RESEARCH, Issue 16 2009Ali Bani Abstract The effects of constant light (24L:00D), no light (00L:24D) and two light,dark periods (18L:06D;12L:12D) on the growth, stress and haematological variables were assessed in juvenile great sturgeon, Huso huso. During the 8-week experimental period, juveniles (22.5 ± 0.6 g) were kept under a 150 lx light intensity in fibreglass tanks (0.8 m2, 500 L). Differences in growth were insignificant during the experiment, but lactate levels were higher in the 00L:24D and 24L:00D photoperiods compared with 12L:12D and 18L:06D photoperiods. Cortisol levels did not show differences among the various photoperiods. At the end of the experimental period, fish reared under a 12L:12D photoperiod had higher haemoglobin values and erythrocyte numbers than in the other photoperiods, while no differences were found between groups with regard to haematocrit values or leucocyte numbers. The highest survival rate (89%) was observed in the 12L:12D period in which the levels of lactate and cortisol as stress indicators were minimal. The results indicate that various photoperiods cause different stress levels in juvenile great sturgeon and have no significant effects on growth, at least in short time periods. [source] Bird Assemblage and Visitation Pattern at Fruiting Elmerrillia tsiampaca (Magnoliaceae) Trees in Papua New GuineaBIOTROPICA, Issue 2 2010Steffen Oppel ABSTRACT Most tropical trees produce fleshy fruits that attract frugivores that disperse their seeds. Early demography and distribution for these tree species depend on the effects of frugivores and their behavior. Anthropogenic changes that affect frugivore communities could ultimately result in changes in tree distribution and population demography. We studied the frugivore assemblage at 38 fruiting Elmerrillia tsiampaca, a rain forest canopy tree species in Papua New Guinea. Elmerrillia tsiampaca is an important resource for frugivorous birds at our study site because it produces abundant lipid-rich fruits at a time of low fruit availability. We classified avian frugivores into functional disperser groups and quantified visitation rates and behavior at trees during 56 canopy and 35 ground observation periods. We tested predictions derived from other studies of plant,frugivore interactions with this little-studied frugivore assemblage in an undisturbed rain forest. Elmerrillia tsiampaca fruits were consumed by 26 bird species, but most seeds were removed by eight species. The most important visitors (Columbidae, Paradisaeidae and Rhyticeros plicatus) were of a larger size than predicted based on diaspore size. Columbidae efficiently exploited the structurally protected fruit, which was inconsistent with other studies in New Guinea where structurally protected fruits were predominantly consumed by Paradisaeidae. Birds vulnerable to predation foraged for short time periods, consistent with the hypothesis that predator avoidance enhances seed dispersal. We identified seven functional disperser groups, indicating there is little redundancy in disperser groups among the regular and frequent visitors to this tropical rain forest tree species. [source] Determination of Drying Characteristics and Effective Diffusivity for Sugar CubesCHEMICAL ENGINEERING & TECHNOLOGY (CET), Issue 11 2004C. Akosman Abstract In this study, the drying characteristics of sugar cubes have been investigated. Drying experiments with sugar cubes were conducted in a laboratory-type tray dryer at temperatures ranging from 45 to 95,°C and different air velocities (0.43, 0.56, and 0.7,m/s). Drying rates increased with the increase in temperature and air velocity. At high temperatures, the moisture content of the solid reached equilibrium moisture value in short time periods. Experimental data were analyzed by using the analytical solution of the unsteady-state diffusion equation to determine the effective diffusivity in sugar cubes. [source] |