Broad

Distribution by Scientific Domains

Kinds of Broad

  • very broad

  • Terms modified by Broad

  • broad absorption
  • broad acceptance
  • broad age range
  • broad agreement
  • broad applicability
  • broad application
  • broad approach
  • broad area
  • broad array
  • broad aspect
  • broad availability
  • broad background
  • broad band
  • broad bands
  • broad bandwidth
  • broad bean
  • broad body
  • broad category
  • broad class
  • broad component
  • broad concept
  • broad conception
  • broad consensus
  • broad context
  • broad continuum
  • broad coverage
  • broad definition
  • broad discussion
  • broad distribution
  • broad diversity
  • broad domain
  • broad emission
  • broad emission band
  • broad feature
  • broad framework
  • broad frequency range
  • broad generalization
  • broad geographic range
  • broad geographic scale
  • broad groups
  • broad host range
  • broad implication
  • broad interest
  • broad interpretation
  • broad issues
  • broad line
  • broad molecular weight distribution
  • broad money
  • broad overview
  • broad panel
  • broad pattern
  • broad peak
  • broad perspective
  • broad ph range
  • broad picture
  • broad process
  • broad question
  • broad range
  • broad recommendation
  • broad region
  • broad relevance
  • broad role
  • broad sample
  • broad scale
  • broad scope
  • broad search
  • broad selection
  • broad sense
  • broad set
  • broad spatial scale
  • broad specificity
  • broad spectrum
  • broad structure
  • broad substrate specificity
  • broad support
  • broad temperature range
  • broad term
  • broad themes
  • broad understanding
  • broad use
  • broad variation
  • broad variety
  • broad view

  • Selected Abstracts


    Broad-based incentive plans, HR practices and company performance

    HUMAN RESOURCE MANAGEMENT JOURNAL, Issue 4 2009
    Maya K. Kroumova
    The purpose of this paper is to further develop our knowledge of the complementarities between broad-based incentives and human resource (HR) management practices, and their combined impact on company performance. We focus on three HR practices that are expected, separately and in combination, to enhance the effectiveness of broad-based plans: information sharing, upward communication, and training in team skills. Using a sample of 305 Canadian firms, we find that companies with broad-based incentive plans have lower levels of upward communication and higher levels of information sharing compared with companies that do not offer incentives to the majority of their workforce. Further, we find that companies with broad-based incentive plans are more productive compared with companies with no such plans, and the presence of supporting HR practices increases their productivity advantage even further. In particular, upward communication combined with broad-based incentives has a strong positive relationship with productivity. [source]


    Bioterrorism: Introduction and Major Agents

    JOURNAL OF THE AMERICAN ACADEMY OF NURSE PRACTITIONERS, Issue 11 2001
    Charles Kemp FNP
    It is not if, but where and when. In light of the September 11 World Trade Center and Pentagon attacks, biological terrorist acts in the United States seem more likely than ever before. We know there are people willing to die to kill Americans and we know that nations with a history of supporting terrorism have biological warfare (BW) capability. Some of the states capable of BW include Iraq, Libya, Syria, and Iran,all of which have close ties to transnational terrorist groups such as Al-Qaeda, Armed Islamic Group of Algeria, and Al-Jihad of Egypt (Davis, 1999; McGovern, Christopher, & Eitzen, 1999; Sanger, & Kahn, 2001). The threat is not limited to these nations or groups, but all do present a clear danger. According to the U.S. Central Intelligence Agency, operatives of Al-Qaeda (the Osama bin Laden group) "have trained to conduct attacks with toxic chemicals or biological toxins" (Broad, & Peterson, 2001). [source]


    Broad versus narrow auditory tuning and corresponding bat-evasive flight behaviour in praying mantids

    JOURNAL OF ZOOLOGY, Issue 1 2001
    Jeffrey D. Triblehorn
    Abstract Most praying mantids possess a single tympanal ear located in the ventral midline between the metathoracic legs. The auditory system is generally most sensitive to ultrasound in the 25,50 kHz range. Flying males exhibit a short-latency, stereotyped, multi-component response to ultrasound that allows them to escape from attacking bats. This study describes a small subset of species that differs in three major respects from the majority of mantis species: (1) their auditory tuning is 1.5,2 times broader; (2) they are sensitive to frequencies above 60 kHz (up to 130 kHz in some species) with thresholds as low or lower than at 25,50 kHz; (3) the behavioural response of the broadly tuned (BT) species includes 10,50 times more flight cessations and can be far less stereotyped, i.e. more ,evitable', than that of narrowly tuned (NT) species. However, BT species do not differ from NT species in overall sensitivity. Two species from one subfamily, the Amelinae (family Mantidae), stand out because they are among the least sensitive of any hearing mantids so far tested. Although the two amelines differ from one another in tuning curve shape, they are both more broadly tuned than most mantids. The occurrence of BT species does not follow any obvious phylogenetic pattern; they are patchily distributed among the mantis families, and both BT and NT species can be found in the same subfamily or tribe. We suggest that BT species are responding to a shared ecological pressure. Based on their tuning, the nature of their behavioural response, and their geographic distribution, we hypothesize that high duty cycle (HDC) bats (Rhinolophidae and Hipposideridae) pose a special danger to BT mantids in addition to the threat that all flying mantids face from the more common and widely distributed low duty cycle (LDC) bats. [source]


    Treatment methods for the determination of ,2H and ,18O of hair keratin by continuous-flow isotope-ratio mass spectrometry

    RAPID COMMUNICATIONS IN MASS SPECTROMETRY, Issue 17 2005
    Gabriel J. Bowen
    The structural proteins that comprise ,90% of animal hair have the potential to record environmentally and physiologically determined variation in ,2H and ,18O values of body water. Broad, systematic, geospatial variation in stable hydrogen and oxygen isotopes of environmental water and the capacity for rapid, precise measurement via methods such as high-temperature conversion elemental analyzer/isotope ratio mass spectrometry (TC/EA-IRMS) make these isotope systems particularly well suited for applications requiring the geolocation of hair samples. In order for such applications to be successful, however, methods must exist for the accurate determination of hair ,2H and ,18O values reflecting the primary products of biosynthesis. Here, we present the results of experiments designed to examine two potential inaccuracies affecting ,2H and ,18O measurements of hair: the contribution of non-biologic hydrogen and oxygen to samples in the form of sorbed molecular water, and the exchange of hydroxyl-bound hydrogen between hair keratin and ambient water vapor. We show that rapid sorption of molecular water from the atmosphere can have a substantial effect on measured ,2H and ,18O values of hair (comprising ,7.7% of the measured isotopic signal for H and up to ,10.6% for O), but that this contribution can be effectively removed through vacuum-drying of samples for 6 days. Hydrogen exchange between hair keratin and ambient vapor is also rapid (reaching equilibrium within 3,4 days), with 9,16% of the total hydrogen available for exchange at room temperature. Based on the results of these experiments, we outline a recommended sample treatment procedure for routine measurement of ,2H and ,18O in mammal hair. Copyright © 2005 John Wiley & Sons, Ltd. [source]


    Molecular analysis of juvenile hormone analog action in controlling the metamorphosis of the red flour beetle, Tribolium castaneum

    ARCHIVES OF INSECT BIOCHEMISTRY AND PHYSIOLOGY (ELECTRONIC), Issue 1 2009
    R. Parthasarathy
    Abstract The juvenile hormone analogs (JHA) are known to disrupt insect development but the molecular mechanisms of their action have been studied only in a few model insects belonging to orders Diptera and Lepidoptera. Here, we investigated the mechanisms of JHA action in red flour beetle, Tribolium castaneum, belonging to the order Coleoptera. Application of JHA during penultimate and final instar larval stages blocked larval-pupal metamorphosis and induced supernumerary larval molts. When compared to the control insects undergoing larval-pupal molt, down-regulation of expression of transcription factor, Broad, and up-regulation of other genes involved in 20-hydroxyecdysone (20E) action (FTZ-F1, E74) were observed in JHA-treated larvae undergoing supernumerary larval molts. The presence of JHA during the final instar larval stage blocked the midgut remodeling wherein programmed cell death (PCD) of larval cells and proliferation and differentiation of imaginal cells to pupal gut epithelium were impaired. The comparative analysis of 20E-induced gene expression in the midguts of JHA-treated and control insects revealed that JHA suppressed the expression of EcRA, EcRB, Broad, E74, E75A, and E75B, resulting in a block in PCD as well as proliferation and differentiation of imaginal cells. © 2008 Wiley Periodicals, Inc. [source]


    Influence of the mechanical behaviour of brittle,ductile fold,thrust belts on the development of foreland basins

    BASIN RESEARCH, Issue 2 2010
    Guy D. H. Simpson
    ABSTRACT A two-dimensional mathematical model considering coupling between a deforming elasto-visco-plastic fold,thrust belt, flexural subsidence and diffusional surface processes is solved using the Finite Element Method to investigate how the mechanical behaviour of brittle,ductile wedges influences the development of foreland basins. Results show that, depending mainly on the strength of the basal décollement, two end-member types of foreland basin are possible. When the basal detachment is relatively strong, the foreland basin system is characterised by: (1) Highly asymmetrical orogen formed by thrusts concentrated in the incoming pro-wedge. (2) Sedimentation on retro-side takes place in one major foredeep basin which grows throughout orogen evolution. (3) Deposition on the pro-side occurs initially in the foredeep, and continues in the wedge-top before isolated basins are advected towards the orogen core where they become uplifted and exhumed. (4) Most pro-wedge basins show an upward progression from low altitude, foredeep deposits at the base to high altitude, wedge-top deposits near the surface. In contrast, when the basal detachment behaves weakly due to the presence of low viscosity material such as salt, the foreland basin system is characterised by (1) Broad, low relief orogen showing little preferential vergence and predominance of folding relative to faulting. (2) Deposition mainly in wedge-top basins showing growth strata. (3) Many basins are initiated contemporaneously but form discontinuously due to the locus of active deformation jumping back and forth between different structures. Model results successfully reproduce first order observations of deforming brittle,ductile wedges and foreland basins. Moreover, the results support and provide a framework for understanding the existence of two main end-member foreland basin types, simple and complex, associated with fold,thrust belts whose detachments are relatively strong and weak, respectively. [source]


    Use of Quantitative Broad-based Polymerase Chain Reaction for Detection and Identification of Common Bacterial Pathogens in Cerebrospinal Fluid

    ACADEMIC EMERGENCY MEDICINE, Issue 7 2010
    Richard Rothman MD
    ACADEMIC EMERGENCY MEDICINE 2010; 17:741,747 © 2010 by the Society for Academic Emergency Medicine Abstract Background:, Conventional laboratory diagnosis of bacterial meningitis based on microscopy followed by culture is time-consuming and has only moderate sensitivity. Objectives:, The objective was to define the limit of detection (LOD), analytic specificity, and performance characteristics of a broad-based quantitative multiprobe polymerase chain reaction (PCR) assay for rapid bacterial detection and simultaneous pathogen-specific identification in patients with suspected meningitis. Methods:, A PCR algorithm consisting of initial broad-based detection of Eubacteriales by a universal probe, followed by pathogen identification using either pathogen-specific probes or Gram-typing probes, was employed to detect pathogens. The 16S rRNA gene, which contains both conserved and variable regions, was chosen as the target. Pathogen-specific probes were designed for Streptococcus pneumoniae, Neisseria meningitidis, Haemophilus influenzae, Staphylococcus epidermidis, Staphylococcus aureus, Escherichia coli, and Listeria monocytogenes. Gram-positive and -negative typing probes were designed based on conserved regions across all eubacteria. The LOD and time to detection were assessed by dilutional mocked-up samples. A total of 108 convenience cerebrospinal fluid (CSF) clinical samples obtained from the Johns Hopkins Hospital (JHH) microbiology laboratory were tested, and results were compared with hospital microbiologic culture reports. Results:, The LOD of the assay ranged from 101 to 102 colony-forming units (CFU)/mL. Pathogen-specific probes showed no cross-reactivity with other organisms. Time to detection was 3 hours. In clinical specimens, the universal probe correctly detected 16 of 22 culture-positive clinical specimens (sensitivity = 72.7%; 95% confidence interval [CI] = 49.8% to 89.3%), which were all correctly characterized by either pathogen-specific or Gram-typing probes. Adjusted sensitivity after removing probable microbiologic laboratory contaminants was 88.9% (95% CI = 65.3% to 98.6%). The universal probe was negative for 86 of 86 culture-negative specimens. Conclusions:, A broad-based multiprobe PCR assay demonstrated strong analytic performance characteristics. Findings from a pilot clinical study showed promise in translation to human subjects, supporting potential utility of the assay as an adjunct to traditional diagnostics for early identification of bacterial meningitis. [source]


    NMR and the uncertainty principle: How to and how not to interpret homogeneous line broadening and pulse nonselectivity.

    CONCEPTS IN MAGNETIC RESONANCE, Issue 5 2008
    IV. (Un?)certainty
    Abstract Following the treatments presented in Parts I, II, and III, I herein address the popular notion that the frequency of a monochromatic RF pulse as well as that of a monochromatic FID is "in effect" uncertain due to the (Heisenberg) Uncertainty Principle, which also manifests itself in the fact that the FT-spectrum of these temporal entities is spread over a nonzero frequency band. I will show that the frequency spread should not be interpreted as "in effect" meaning a range of physical driving RF fields in the former, and "spin frequencies" in the latter case. The fact that a shorter pulse or a more quickly decaying FID has a wider FT-spectrum is in fact solely due to the Fourier Uncertainty Principle, which is a less well known and easily misunderstood concept. A proper understanding of the Fourier Uncertainty Principle tells us that the FT-spectrum of a monochromatic pulse is not "broad" because of any "uncertainty" in the RF frequency, but because the spectrum profile carries all of the pulse's features (frequency, phase, amplitude, length, temporal location) coded into the complex amplitudes of the FT-spectrum's constituent eternal basis harmonic waves. A monochromatic RF pulse's capability to excite nonresonant magnetizations is in fact a purely classical off-resonance effect that has nothing to do with "uncertainty". Analogously, "Lorentzian lineshape" means exactly the same thing physically as "exponential decay," and all inferences as to the physical reasons for that decay must be based on independent assumptions or observations. © 2008 Wiley Periodicals, Inc. Concepts Magn Reson Part A 32A: 373,404, 2008. [source]


    Quantification of Extinction Risk: IUCN's System for Classifying Threatened Species

    CONSERVATION BIOLOGY, Issue 6 2008
    GEORGINA M. MACE
    definición de prioridades de conservación; especies amenazadas; Lista Roja UICN; riesgo de extinción Abstract:,The International Union for Conservation of Nature (IUCN) Red List of Threatened Species was increasingly used during the 1980s to assess the conservation status of species for policy and planning purposes. This use stimulated the development of a new set of quantitative criteria for listing species in the categories of threat: critically endangered, endangered, and vulnerable. These criteria, which were intended to be applicable to all species except microorganisms, were part of a broader system for classifying threatened species and were fully implemented by IUCN in 2000. The system and the criteria have been widely used by conservation practitioners and scientists and now underpin one indicator being used to assess the Convention on Biological Diversity 2010 biodiversity target. We describe the process and the technical background to the IUCN Red List system. The criteria refer to fundamental biological processes underlying population decline and extinction. But given major differences between species, the threatening processes affecting them, and the paucity of knowledge relating to most species, the IUCN system had to be both broad and flexible to be applicable to the majority of described species. The system was designed to measure the symptoms of extinction risk, and uses 5 independent criteria relating to aspects of population loss and decline of range size. A species is assigned to a threat category if it meets the quantitative threshold for at least one criterion. The criteria and the accompanying rules and guidelines used by IUCN are intended to increase the consistency, transparency, and validity of its categorization system, but it necessitates some compromises that affect the applicability of the system and the species lists that result. In particular, choices were made over the assessment of uncertainty, poorly known species, depleted species, population decline, restricted ranges, and rarity; all of these affect the way red lists should be viewed and used. Processes related to priority setting and the development of national red lists need to take account of some assumptions in the formulation of the criteria. Resumen:,La Lista Roja de Especies Amenazadas de la UICN (Unión Internacional para la Conservación de la Naturaleza) fue muy utilizada durante la década de l980 para evaluar el estatus de conservación de especies para fines políticos y de planificación. Este uso estimuló el desarrollo de un conjunto nuevo de criterios cuantitativos para enlistar especies en las categorías de amenaza: en peligro crítico, en peligro y vulnerable. Estos criterios, que se pretendía fueran aplicables a todas las especies excepto microorganismos, eran parte de un sistema general para clasificar especies amenazadas y fueron implementadas completamente por la UICN en 2000. El sistema y los criterios han sido ampliamente utilizados por practicantes y científicos de la conservación y actualmente apuntalan un indicador utilizado para evaluar el objetivo al 2010 de la Convención de Diversidad Biológica. Describimos el proceso y el respaldo técnico del sistema de la Lista Roja de la IUCN. Los criterios se refieren a los procesos biológicos fundamentales que subyacen en la declinación y extinción de una población. Pero, debido a diferencias mayores entre especies, los procesos de amenaza que los afectan y la escasez de conocimiento sobre la mayoría de las especies, el sistema de la UICN tenía que ser amplio y flexible para ser aplicable a la mayoría de las especies descritas. El sistema fue diseñado para medir los síntomas del riesgo de extinción, y utiliza cinco criterios independientes que relacionan aspectos de la pérdida poblacional y la declinación del rango de distribución. Una especie es asignada a una categoría de amenaza si cumple el umbral cuantitativo por lo menos para un criterio. Los criterios, las reglas acompañantes y las directrices utilizadas por la UICN tienen la intención de incrementar la consistencia, transparencia y validez de su sistema de clasificación, pero requiere algunos compromisos que afectan la aplicabilidad del sistema y las listas de especies que resultan. En particular, se hicieron selecciones por encima de la evaluación de incertidumbre, especies poco conocidas, especies disminuidas, declinación poblacional, rangos restringidos y rareza; todas estas afectan la forma en que las listas rojas deberían ser vistas y usadas. Los procesos relacionados con la definición de prioridades y el desarrollo de las listas rojas nacionales necesitan considerar algunos de los supuestos en la formulación de los criterios. [source]


    Salvage Logging, Ecosystem Processes, and Biodiversity Conservation

    CONSERVATION BIOLOGY, Issue 4 2006
    D.B. LINDENMAYER
    conservación de la biodiversidad; gestión forestal; procesos ecosistémicos Abstract:,We summarize the documented and potential impacts of salvage logging,a form of logging that removes trees and other biological material from sites after natural disturbance. Such operations may reduce or eliminate biological legacies, modify rare postdisturbance habitats, influence populations, alter community composition, impair natural vegetation recovery, facilitate the colonization of invasive species, alter soil properties and nutrient levels, increase erosion, modify hydrological regimes and aquatic ecosystems, and alter patterns of landscape heterogeneity. These impacts can be assigned to three broad and interrelated effects: (1) altered stand structural complexity; (2) altered ecosystem processes and functions; and (3) altered populations of species and community composition. Some impacts may be different from or additional to the effects of traditional logging that is not preceded by a large natural disturbance because the conditions before, during, and after salvage logging may differ from those that characterize traditional timber harvesting. The potential impacts of salvage logging often have been overlooked, partly because the processes of ecosystem recovery after natural disturbance are still poorly understood and partly because potential cumulative effects of natural and human disturbance have not been well documented. Ecologically informed policies regarding salvage logging are needed prior to major natural disturbances so that when they occur ad hoc and crisis-mode decision making can be avoided. These policies should lead to salvage-exemption zones and limits on the amounts of disturbance-derived biological legacies (e.g., burned trees, logs) that are removed where salvage logging takes place. Finally, we believe new terminology is needed. The word salvage implies that something is being saved or recovered, whereas from an ecological perspective this is rarely the case. Resumen:,Resumimos los impactos documentados y potenciales de la cosecha de salvamento , una forma de cosecha de madera que remueve árboles y otros materiales biológicos después de una perturbación natural. Tales operaciones pueden reducir o eliminar legados biológicos, modificar hábitats post perturbación, influir en poblaciones, alterar la composición de comunidades, impedir la recuperación de la vegetación natural, facilitar la colonización de especies invasoras, alterar las propiedades del suelo y de niveles de nutrientes, incrementar la erosión, modificar regímenes hidrológicos y ecosistemas acuáticos, y alterar patrones de heterogeneidad del paisaje. Estos impactos se pueden asignar a tres efectos amplios e interrelacionados: (1) alteración de la complejidad estructural del bosque; (2) alteración de procesos y funciones ecológicas; y (3) alteración de poblaciones de especies y de la composición de la comunidad. Algunos impactos pueden ser diferentes a o adicionales a los efectos de la cosecha de madera tradicional que no es precedida de una perturbación natural severa porque las condiciones antes, durante y después de la cosecha de salvamento pueden diferir de las que caracterizan a la cosecha de madera tradicional. Los impactos potenciales de la cosecha de salvamento a menudo han sido pasados por alto, en parte porque los procesos de recuperación del ecosistema después de una perturbación natural son poco conocidos y en parte porque los efectos acumulativos potenciales de perturbaciones naturales y humanas no han sido bien documentados. Se requieren políticas ecológicamente informadas para la cosecha de salvamento para que cuando ocurran las perturbaciones naturales se evite la toma de decisiones en situaciones de crisis. Estas políticas deberán establecer zonas exentas de salvamento y límites a las cantidades de legados biológicos derivados de la perturbación (e. g., árboles quemados, troncos) que son removidos donde se lleva a cabo la cosecha de salvamento. Finalmente, creemos que se requiere una nueva terminología. La palabra salvamento implica que algo esta siendo salvado o recuperado, y este raramente es el caso desde una perspectiva ecológica. [source]


    Making the Leap from Researcher to Planner: Lessons from Avian Conservation Planning in the Dominican Republic

    CONSERVATION BIOLOGY, Issue 1 2000
    Steven C. Latta
    Published accounts of national, multidisciplinary planning efforts and priority setting for avian conservation are not common. I describe the process and results of a broad-based, grassroots-oriented avian conservation planning workshop held in the Dominican Republic in which we designed a coordinated strategy for avian conservation in the country. The planning process sought to (1) increase communication and cooperation among conservationists; (2) familiarize participants with resources pertinent to avian conservation; (3) encourage the transfer of information between researchers and managers; (4) promote the concepts of long-term avian monitoring, avian conservation plans, and species management plans; and (5) develop a common, multidisciplinary strategy to promote the conservation of birds in the Dominican Republic. The workshop highlighted group discussions among research biologists, managers, educators, and public policy specialists to assess avian conservation needs and priorities with respect to each discipline and has since galvanized a significant portion of the conservation community around several cooperative projects involving diverse segments of the community. Avian biologists can play a significant role in conservation efforts through a willingness to work with key players in diverse fields and to envision holistic, multidisciplinary approaches to conservation issues. Resumen: Cuando los biologícos investigadores incursionan en la biología de la conservación enfrentan nuevos desafíos, especialmente en países extranjeros, al intentar prestar apoyo para esfuerzos de planificación de la conservación. Los informes publicados de esfuerzos de planificación nacional, multidisciplinaria y de establecimiento de prioridades para la conservación de aves no son comunes. Describo el proceso y los resultados de un taller nacional de planificación para conservación de aves en la República Dominicana que utilizaba un proceso fundamental de base amplia donde creamos una estrategia coordinada para la conservación de aves del país. El proceso de planeación buscaba (1) aumentar comunicación y cooperación entre conservacionistas, (2) familiarizar a los participantes con los recursos disponibles para la conservación de aves, (3) estimular la transferencia de información entre investigadores y manejadores, (4) promover los conceptos del monitoreo de aves a largo plazo, planes de conservación de especies y planes de manejo de especies y (5) desarrollar una estrategia multidisciplinaria común para promover la conservación de aves en la República Dominicana. El taller puso a relieve discusiones de grupo entre investigadores, manejadores, educadores y especialistas en política pública para evaluar las necesidaes y prioridades para la conservación de aves con respecto a cada disciplina, desde entonces se ha estimulado a una porción significativa de la comunidad conservacionista alrededor de proyectos de cooperación que involucran a diversos segmentos de la comunidad. Los ornitólogos pueden jugar un papel significativo en los esfuerzos de conservación mediante una buena disposición para trabajar con personas clave en diversas disciplinas y visualizar de una manera integral y multidisciplinaria las estrategias para abordar asuntos de conservación. [source]


    Mock as screen and optic

    CRITICAL QUARTERLY, Issue 3 2004
    Simon Jarvis
    As its unique approach to the question of generational differences, this essay takes the relationship looks at poetry and modernity; that is, what happens when a style [such as the mock heroic, or the poetically inflated] starts to feel its age, yet doesn't die; and how its readers cope with its resurrections. Moving nimbly from Nigel Slater to Alexander Pope and back, the essay abandons the usual and reduced conception of 'mock' - that it describes trivial happenings but in an elevated language - and instead looks for a better conception, suggesting instead that mock is ubiquitous, both in literature and the everyday, as a broad and all-pervasive style of thinking and feeling. [source]


    Complementary and integrative medical therapies, the FDA, and the NIH: definitions and regulation

    DERMATOLOGIC THERAPY, Issue 2 2003
    Michael H. Cohen
    ABSTRACT: ,,The National Center for Complementary and Alternative Medicine (NCCAM) presently defines complementary and alternative medicine (CAM) as covering "a broad range of healing philosophies (schools of thought), approaches, and therapies that mainstream Western (conventional) medicine does not commonly use, accept, study, understand, or make available. The research landscape, including NCCAM-funded research, is continually changing and subject to vigorous methodologic and interpretive debates. Part of the impetus for greater research dollars in this arena has been increasing consumer reliance on CAM to dramatically expand. State (not federal) law controls much of CAM practice. However, a significant federal role exists in the regulation of dietary supplements. The U.S. Food and Drug Administration (FDA) regulates foods, drugs, and cosmetics in interstate commerce. No new "drug" may be introduced into interstate commerce unless proven "safe" and "effective" for its intended use, as determined by FDA regulations. "Foods", however, are subject to different regulatory requirements, and need not go through trials proving safety and efficacy. The growing phenomenon of consumer use of vitamins, minerals, herbs, and other "dietary supplements" challenged the historical divide between drugs and foods. The federal Dietary Supplements Health Education Act (DSHEA) allows manufacturers to distribute dietary supplements without having to prove safety and efficacy, so long as the manufacturers make no claims linking the supplements to a specific disease. State law regulates the use of CAM therapies through a variety of legal rules. Of these, several major areas of concern for clinicians are professional licensure, scope of practice, and malpractice. Regarding licensure, each state has enacted medical licensing that prohibits the unlicensed practice of medicine and thereby criminalizes activity by unlicensed CAM providers who offer health care services to patients. Malpractice is defined as unskillful practice which fails to conform to a standard of care in the profession and results in injury. The definition is no different in CAM than in general medicine; its application to CAM, however, raises novel questions. Courts rely on medical consensus regarding the appropriateness of a given therapy. A framework for assessing potential liability risk involves assessing the medical evidence concerning safety and efficacy, and then aligning clinical decisions with liability concerns. Ultimately research will or will not establish a specific CAM therapy as an important part of the standard of care for the condition in question. Legal rules governing CAM providers and practices are, in many cases, new and evolving. Further, laws vary by state and their application depends on the specific clinical scenario in question. New research is constantly emerging, as are federal and state legislative developments and judicial opinions resulting from litigation. [source]


    Promoting design leadership through skills development programs

    DESIGN MANAGEMENT REVIEW, Issue 3 2002
    Alan Topalian
    Recognizing that design management is still in its formative stages, Alan Topalian has prepared a "brief" specifying a conceptual approach to lifting the profile and effectiveness of the discipline within the corporation. Going beyond current strategies, he discusses the audiences, content, methodologies, and desired outcomes of an education effort he believes should be broad-based, pragmatic, and hands-on. [source]


    The ,Neoliberal Turn' and the New Social Policy in Latin America: How Neoliberal, How New?

    DEVELOPMENT AND CHANGE, Issue 5 2008
    Maxine Molyneux
    ABSTRACT The term neoliberal is widely used as shorthand to describe the policy environment of the last three decades. Yet the experience of the Latin American region suggests that it is too broad a descriptor for what is in fact a sequenced, fragmented and politically indeterminate process. This article examines the evolution of social protection in the region, and argues for a more grounded, historical approach to neoliberalism, and for some analytic refinement to capture the different ,moments' in its policy evolution, its variant regional modalities, and its co-existence with earlier policies and institutional forms. It suggests that totalizing conceptions of neoliberalism as imposing an inexorable market logic with predetermined social and political outcomes fail to capture the variant modalities, adaptations and indeed resistance to the global diffusion of the structural reforms. This article outlines the systems of social welfare prevailing in Latin America prior to the reforms, and then examines the principle elements of what has been termed the ,New Social Policy' in Latin America, engaging three issues: the periodization of neoliberalism; the role of the state; and the place of politics in the neoliberal reform agenda. [source]


    Democratization and State Feminism: Gender Politics in Africa and Latin America

    DEVELOPMENT AND CHANGE, Issue 3 2002
    Ihejirika, Philomina E. Okeke
    This article addresses the link between state feminism and democratization in the global South. The authors use the contrasting cases of Chile and Nigeria to show some of the factors that encourage women to exploit the opportunities presented by transitions to democracy, and link the outcome of state feminism to the strategies and discourses available to women during democratization. Based on evidence from the cases analysed, the authors propose that the strategic options available to women are shaped by at least three factors: (1) the existence of a unified women's movement capable of making political demands; (2) existing patterns of gender relations, which influence women's access to arenas of political influence and power; and (3) the content of existing gender ideologies, and whether women can creatively deploy them to further their own interests. State feminism emerged in Chile out of the demands of a broad,based women's movement in a context of democratic transition that provided feminists with access to political institutions. In Nigeria, attempts at creating state feminism have consistently failed due to a political transition from military to civilian rule that has not provided feminists with access to political arenas of influence, and the absence of a powerful women's movement. [source]


    An endoderm-specific transcriptional enhancer from the mouse Gata4 gene requires GATA and homeodomain protein,binding sites for function in vivo

    DEVELOPMENTAL DYNAMICS, Issue 10 2009
    Anabel Rojas
    Abstract Several transcription factors function in the specification and differentiation of the endoderm, including the zinc finger transcription factor GATA4. Despite its essential role in endoderm development, the transcriptional control of the Gata4 gene in the developing endoderm and its derivatives remains incompletely understood. Here, we identify a distal enhancer from the Gata4 gene, which directs expression exclusively to the visceral and definitive endoderm of transgenic mouse embryos. The activity of this enhancer is initially broad within the definitive endoderm but later restricts to developing endoderm-derived tissues, including pancreas, glandular stomach, and duodenum. The activity of this enhancer in vivo is dependent on evolutionarily-conserved HOX- and GATA-binding sites, which are bound by PDX-1 and GATA4, respectively. These studies establish Gata4 as a direct transcriptional target of homeodomain and GATA transcription factors in the endoderm and support a model in which GATA4 functions in the transcriptional network for pancreas formation. Developmental Dynamics 238:2588,2598, 2009. © 2009 Wiley-Liss, Inc. [source]


    The molecular receptive range of an olfactory receptor in vivo (Drosophila melanogaster Or22a)

    DEVELOPMENTAL NEUROBIOLOGY, Issue 14 2006
    Daniela Pelz
    Abstract Understanding how odors are coded within an olfactory system requires knowledge about its input. This is constituted by the molecular receptive ranges (MRR) of olfactory sensory neurons that converge in the glomeruli of the olfactory bulb (vertebrates) or the antennal lobe (AL, insects). Aiming at a comprehensive characterization of MRRs in Drosophila melanogaster we measured odor-evoked calcium responses in olfactory sensory neurons that express the olfactory receptor Or22a. We used an automated stimulus application system to screen [Ca2+] responses to 104 odors both in the antenna (sensory transduction) and in the AL (neuronal transmission). At 10,2 (vol/vol) dilution, 39 odors elicited at least a half-maximal response. For these odorants we established dose-response relationships over their entire dynamic range. We tested 15 additional chemicals that are structurally related to the most efficient odors. Ethyl hexanoate and methyl hexanoate were the best stimuli, eliciting consistent responses at dilutions as low as 10,9. Two substances led to calcium decrease, suggesting that Or22a might be constitutively active, and that these substances might act as inverse agonists, reminiscent of G-protein coupled receptors. There was no difference between the antennal and the AL MRR. Furthermore we show that Or22a has a broad yet selective MRR, and must be functionally described both as a specialist and a generalist. Both these descriptions are ecologically relevant. Given that adult Drosophila use approximately 43 ORs, a complete description of all MRRs appears now in reach. © 2006 Wiley Periodicals, Inc. J Neurobiol, 2006 [source]


    Subthreshold depression as a risk indicator for major depressive disorder: a systematic review of prospective studies

    ACTA PSYCHIATRICA SCANDINAVICA, Issue 5 2004
    P. Cuijpers
    Objective:, In order to examine whether the incidence of major depressive disorder (MDD) is increased in subjects with subthreshold depression, or sD (clinically relevant depressive symptoms, without meeting criteria for a full-blown MDD), we conducted a review of prospective studies examining the incidence of MDD in subjects with sD. Method:, A systematic literature search was conducted. For all studies, the relative risk of developing MDD was calculated, based on person-years. Results:, Twenty studies (23 comparisons) were found, based on community samples, general medical patients and high-risk subjects. Most comparisons showed that subjects with sD had a consistently larger chance of developing MDD. The studies differed considerably in the definition of sD, the recency (occurrence of the last sD) and the in-/exclusion of lifetime MDD. Conclusion:, The incidence of MDD in subjects with sD is larger than in subjects without sD. Otherwise, the concept of sD is too broad to be used. In future studies, some consensus should be reached regarding the definition of sD. [source]


    Using the ,protective environment' framework to analyse children's protection needs in Darfur

    DISASTERS, Issue 4 2009
    Alastair Ager
    A major humanitarian concern during the continuing crisis in Darfur, Sudan, has been the protection of children, although there has been little in the way of comprehensive analysis to guide intervention. Founded on a situational analysis conducted between October 2005 and March 2006, this paper documents the significant threats to children's well-being directly linked to the political conflict. It demonstrates the role of non-conflict factors in exacerbating these dangers and in promoting additional protection violations, and it uses the ,protective environment' framework (UNICEF Sudan, 2006a) to identify systematic features of the current environment that put children at risk. This framework is shown to provide a coherent basis for assessment and planning, prompting broad, multidisciplinary analysis, concentrating on preventive and protective action, and fostering a systemic approach (rather than placing an undue focus on the discrete needs of ,vulnerable groups'). Constraints on its present utility in emergency settings are also noted. [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]


    Grasshopper (Orthoptera: Acridoidea) species diversity in the Pampas, Argentina

    DIVERSITY AND DISTRIBUTIONS, Issue 2 2000
    María Marta Cigliano
    Abstract., A study was conducted to describe the major features of geographical and temporal variation in the diversity of grassland grasshopper species (Orthoptera: Acridoidea) in different sites of the Pampas, Argentina. Species richness and relative abundance were assessed at 12 sites in eastern La Pampa and western Buenos Aires provinces, from 1994 through 1999. Mean species richness at the regional level was 10, and 34 grasshopper species were collected throughout of the study. Comparison with grasshopper species diversity from the Great Plains of North America is discussed. An evaluation of the proportions of species in each of the three distribution groups (broad, intermediate and narrow) revealed that, over all sites, broadly distributed species made up 14.7% of species composition and intermediately and narrowly distributed species made up 26.5% and 58.8%, respectively. The three top-ranked species in the studied sites were Dichroplus elongatus, D. pratensis and Staurorhectus longicornis. Results showed that, contrary to what was expected, one of the widely distributed species in the region (i.e. Baeacris punctulatus) does not always constitute one of the most abundant species. Finally, the loss of one of the historically most common species in the Pampas, D. maculipennis, is also discussed. [source]


    The role of leaf inclination, leaf orientation and plant canopy architecture in soil particle detachment by raindrops

    EARTH SURFACE PROCESSES AND LANDFORMS, Issue 12 2005
    Kirsten Foot
    Abstract A laboratory investigation of the effect of plant architecture on soil particle detachment by rainfall is described. The effects of leaf inclination, leaf orientation, effective canopy area, leaf area index, leaf subcatchment area, lowest canopy area, largest canopy area, canopy overlap area and an alternative leaf area index are examined using artificial plants. Detachment from a 30 cm diameter splash cup filled with sand (150 µm,1 mm particle size) was measured under three types of plant (small leaved, broad leaved and long narrow leaved) for a 10 minute simulated rainstorm of 75 mm/h intensity. There were no significant differences in soil particle detachment between the three plant types or between detachment under the plants and detachment of bare soil. No significant relationships were obtained between detachment and any of the plant parameters. Soil particle detachment by leaf drips can offset any protective effects of the canopy so that detachment does not differ significantly from that on bare soil. Plant architecture significantly affected the distance from the plant stem at which detachment was concentrated even though the canopy diameters of the plants were similar. There would appear to be no advantages in a detailed description of plant architecture and its effects in process-based models of soil erosion. Parameters such as plant height and plant canopy area are sufficient descriptors for modelling plant effects. Copyright © 2005 John Wiley & Sons, Ltd. [source]


    Controlling factors of gullying in the Maracujá Catchment, southeastern Brazil

    EARTH SURFACE PROCESSES AND LANDFORMS, Issue 11 2005
    L. de A. P. Bacellar
    Abstract Hundreds of gullies (,voçorocas') of huge dimensions (up to 400,500 m long, 150 m wide and 50 m deep) are very common in the small Maracujá Catchment in southeastern Brazil. These erosional features, which occur with an uneven intensity throughout the area, started due to bad soil management practices at the beginning of European settlement, at the end of the 17th century, and nowadays are still evolving, but at a slower rate. As surface soils are usually very resistant to erosion, the outcrop of the more erodible basement saprolites seems to be an essential condition for their beginning. An analysis of well known erosion controlling factors was performed, aiming to explain the beginning and evolution of these gullies and to understand the reasons for their spatial distribution. Data shows that geology and, mainly, geomorphology are the main controlling factors, since gullies tend to be concentrated in basement rock areas with lower relief (domain 2) of Maracujá Catchment, mainly at the fringes of broad and flat interfluves. At the detailed scale (1:10 000), gullies are more common in amphitheatre-like headwater hollows that frequently represent upper Quaternary gullies (paleogullies), which demonstrate the recurrence of channel erosion. So, gullies occur in areas of thicker saprolites (domain 2), in places with a natural concentration of surface and underground water (hollows). Saprolites of the preserved, non-eroded hollows are usually pressurized (confined aquifer) due to a thick seal of Quaternary clay layer, in a similar configuration to the ones found in hollows of mass movement (mudflow) sites in southeastern Brazil. Therefore, the erosion of the resistant soils by human activities, such as road cuts and trenches (,valos'), or their mobilization by mudflow movements, seem to be likely mechanisms of gullying initiation. Afterwards, gullies evolve by a combination of surface and underground processes, such as wash and tunnel erosion and falls and slumps of gully walls. Copyright © 2005 John Wiley & Sons, Ltd. [source]


    The influence of plant cover and land use on slope,channel decoupling in a foothill catchment: a case study from the Carpathian Foothills, southern Poland

    EARTH SURFACE PROCESSES AND LANDFORMS, Issue 5 2002
    Jolanta, chowicz
    Abstract This paper examines the influence of plant cover and land use on slope,channel decoupling in the Stara Rzeka Stream catchment (22·4 km2) and its subcatchment Dworski Potok Stream (0·3 km2). The Stara Rzeka catchment is situated in the marginal part of the Carpathian Foothills and is characterized by a relief of low and medium hills. The catchment is used for agriculture but unlike other foothill catchments, it has a relatively extensive unfragmented area of forests (41·3 per cent). Grasslands and pastures (13·8 per cent) are mainly along the broad and flat valley floor. In the cultivated area (38·5 per cent) of the northern low hill part of the catchment, the fields are long, narrow and separated by boundary strips. They stretch from the hilltops to the valley bottom and are traditionally ploughed along the slopes. The research into slope wash was carried out at six sites downslope (August 1989 to October 1990) and on experimental plots (1989,1991). Transport of suspended matter was determined in the channels of the Stara Rzeka and Dworski Potok Streams (1987,1991). The results show that transport and export of the material on the slopes depend on the morphology of the slope and on the agricultural use of the area. The mosaic of fields which are used differently makes the soil wash process very intensive only if the slopes are ploughed and unprotected by a dense cover of vegetation. The material displaced is mostly accumulated at the foot of the slopes or at the bottom of the valley. Footslope areas and flat valley bottoms covered with grass function as a barrier separating the slope and the river bed. These features generally negate the transfer of slope-originated material to the bed of the stream. Copyright © 2002 John Wiley & Sons, Ltd. [source]


    Basin geochemistry and isotopic ratios of fishes and basal production sources in four neotropical rivers

    ECOLOGY OF FRESHWATER FISH, Issue 3 2007
    David B. Jepsen
    Abstract,,, We analysed stable carbon and nitrogen isotopic ratios of dissolved inorganic carbon (DIC), plants, detritus and fishes to estimate the relative importance of dominant production sources supporting food webs of four Venezuelan rivers with divergent geochemical and watershed characteristics. Based on samples taken during the dry season at each site, fishes from two nutrient-poor, blackwater rivers had significantly lower ,13C values (mean = ,31.4, and ,32.9,) than fishes from more productive clearwater and whitewater rivers (mean = ,25.2, and ,25.6, respectively). Low carbon isotopic ratios of fishes from blackwaters were likely influenced by low ,13C of DIC assimilated by aquatic primary producers. Although floodplains of three savanna rivers supported high biomass of C4 grasses, relatively little carbon from this source appeared to be assimilated by fishes. Most fishes in each system assimilated carbon derived mostly from a combination of microalgae and C3 macrophytes, two sources with broadly overlapping carbon isotopic signatures. Even with this broad overlap, several benthivorous grazers from blackwater and whitewater rivers had isotopic values that aligned more closely with algae. We conclude that comparative stable isotopic studies of river biota need to account for watershed geochemistry that influences the isotopic composition of basal production sources. Moreover, isotopic differences between river basins can provide a basis for discriminating spatial and temporal variation in the trophic ecology of fishes that migrate between watersheds having distinct geochemical characteristics. [source]


    The 10 most important things known about addiction

    ADDICTION, Issue 1 2010
    Doug Sellman
    ABSTRACT If you were asked: ,What are the most important things we know about addiction?' what would you say? This paper brings together a body of knowledge across multiple domains and arranged as a list of 10 things known about addiction, as a response to such a question. The 10 things are: (1) addiction is fundamentally about compulsive behaviour; (2) compulsive drug seeking is initiated outside of consciousness; (3) addiction is about 50% heritable and complexity abounds; (4) most people with addictions who present for help have other psychiatric problems as well; (5) addiction is a chronic relapsing disorder in the majority of people who present for help; (6) different psychotherapies appear to produce similar treatment outcomes; (7) ,come back when you're motivated' is no longer an acceptable therapeutic response; (8) the more individualized and broad-based the treatment a person with addiction receives, the better the outcome; (9) epiphanies are hard to manufacture; and (10) change takes time. The paper concludes with a call for unity between warring factions in the field to use the knowledge already known more effectively for the betterment of tangata whaiora (patients) suffering from addictive disorders. [source]


    Difference in the time of mating activity between host-associated populations of the rice stem borer, Chilo suppressalis (Walker)

    ENTOMOLOGICAL SCIENCE, Issue 3 2006
    Hideki UENO
    Abstract Mating activities of the rice stem borer, Chilo suppressalis, were compared between rice- and wateroat-feeding populations, and two potential temporal factors that may act as reproductive barriers were examined. Seasonal data of the number of moths attracted to pheromone traps showed that the peak of emergence at the rice field was approximately 10 days earlier than that at the wateroat vegetation in the first flight season, although there was a broad overlap of emergence at the two locations. Both field observations and a laboratory experiment showed that moths from the rice field started mating earlier than those from the wateroat vegetation. However, whereas the difference was distinctive in the laboratory experiment, mating activity at the wateroat vegetation shifted significantly to an earlier time phase than that observed in the laboratory. Body size data showed that the male moths attracted to the pheromone traps at the wateroat vegetation were significantly larger than those at the rice field, suggesting that the traps at the two locations mainly attracted moths originating from different host plants. However, pheromone-trapped males at the rice field were significantly larger than those reared from overwintering samples. These results support the idea that males from the wateroat vegetation migrate to the rice field. The differences in seasonal and temporal mating activity and their effects on development of reproductive isolation between host-associated populations are discussed. [source]


    Region-specific changes in gene expression in rat brain after chronic treatment with levetiracetam or phenytoin

    EPILEPSIA, Issue 9 2010
    Bjørnar Hassel
    Summary Purpose:, It is commonly assumed that antiepileptic drugs (AEDs) act similarly in the various parts of the brain as long as their molecular targets are present. A few experimental studies on metabolic effects of vigabatrin, levetiracetam, valproate, and lamotrigine have shown that these drugs may act differently in different brain regions. We examined effects of chronic treatment with levetiracetam or phenytoin on mRNA levels to detect regional drug effects in a broad, nonbiased manner. Methods:, mRNA levels were monitored in three brain regions with oligonucleotide-based microarrays. Results:, Levetiracetam (150 mg/kg for 90 days) changed the expression of 65 genes in pons/medulla oblongata, two in hippocampus, and one in frontal cortex. Phenytoin (75 mg/kg), in contrast, changed the expression of only three genes in pons/medulla oblongata, but 64 genes in hippocampus, and 327 genes in frontal cortex. Very little overlap between regions or drug treatments was observed with respect to effects on gene expression. Discussion:, We conclude that chronic treatment with levetiracetam or phenytoin causes region-specific and highly differential effects on gene expression in the brain. Regional effects on gene expression could reflect regional differences in molecular targets of AEDs, and they could influence the clinical profiles of AEDs. [source]


    National Qualification Frameworks: from policy borrowing to policy learning

    EUROPEAN JOURNAL OF EDUCATION, Issue 2 2010
    BORHENE CHAKROUN
    This article takes up the issue of the internationalisation of Vocational Education and Training (VET) reforms, expressed in the way policy instruments such as National Qualifications Frameworks (NQF) are introduced in the European Training Foundation's (ETF) partner countries. There is an international debate and different perspectives regarding NQFs. These perspectives have largely talked past each other. The article brings together these perspectives and highlights the issues at stake in this field. Through the analysis of ETF interventions in different regions, the article makes a case for new approaches of intervention, namely policy learning, that aim at enabling national stakeholders and that are conducive for home-grown VET policies. The discussion is broad in scope, not only because the article reviews developments in qualifications frameworks across-regions, but also because it highlights the complex interaction of the global and local development when introducing NQFs and the impact of such reforms on VET systems. [source]