Clear Understanding (clear + understanding)

Distribution by Scientific Domains
Distribution within Medical Sciences


Selected Abstracts


,-Amyloid immunization approaches for Alzheimer's disease

DRUG DEVELOPMENT RESEARCH, Issue 2 2002
Bruno P. Imbimbo
Abstract Alzheimer's disease (AD) represents the third leading cause of death in the U.S. and the leading cause of dementia in the elderly population. Until recently, there was little hope of efficiently combating this devastating disease. The deposition of ,-amyloid (A,) is the major pathological hallmark of AD brains. Genetic, biochemical, and pharmacological evidence support the hypothesis that A, plays a key role in the development of the disease. Thus, in the last 5 years a number of pharmacological strategies have been developed to interfere with the A, cascade. The most revolutionary of these approaches was proposed in 1999 by scientists at Elan Pharmaceuticals, which immunized against A, transgenic mice with spontaneously developing A, pathology. The immunization was achieved by subcutaneous injections of a preaggregated form of the synthetic human 42-amino acid A, emulsified with Freund's adjuvant, an immune stimulant. The vaccination caused a near complete inhibition of A, plaque formation in younger animals and a marked reduction of the A, burden in older animals. The effects on A, plaques were accompanied by a reduction of A,-associated astrogliosis and neuritic dystrophy. These results were later confirmed by other groups with similar vaccination protocols, which also demonstrated that the A, immunization of transgenic animals normalize or reduce the cognitive impairment associated with A, pathology. Interestingly, effective removal of brain A, plaques was also obtained by peripherally administering A, antibodies. The mechanism with which the vaccine increases A, clearance is not fully understood. Centrally, the vaccine appears to activate A, phagocytosis by microglial monocytes. Peripherally, serum A, antibodies bind and sequester A,, thus altering its equilibrium between CNS and plasma. The dramatic results obtained in animal models of AD raised unprecedented hopes for both a preventive and a curative intervention for this devastating disorder. A vaccine preparation for human use (AN-1792) composed of preaggregated human A,42 peptide and a highly purified saponin derivative (QS-21) was developed by Elan Pharmaceuticals and Wyeth Ayerst and tested in AD patients. Unfortunately, a Phase IIa study aimed at evaluating the safety and immunological activity of AN-1792 in 360 AD patients was discontinued because 15 subjects receiving the vaccine developed serious signs of CNS inflammation. Both central activation of cytotoxic T cells and autoimmune reactions were proposed as potential mechanisms of toxicity. Other therapeutic A, vaccination strategies are being pursued, including immuno-conjugates and monoclonal antibodies. The future of these and other A, immunization approaches depend on a clear understanding of the mechanism of A, clearance and additional insight into the role of inflammation in the AD brain. Drug Dev. Res. 56:150,162, 2002. © 2002 Wiley-Liss, Inc. [source]


LIFE INSURANCE: REGULATION AS CONTRACT ENFORCEMENT,

ECONOMIC AFFAIRS, Issue 4 2004
Alan D. MorrisonArticle first published online: 28 JUN 200
Debating the minutiae of insurance regulation without a clear understanding of why insurance companies are regulated is futile. In this article I discuss the economic rationale for insurance business regulation and conclude that the appropriate role of the regulator is to enforce contracts which might otherwise be broken. I argue that if this is the case, regulation should be optional, and that it need not be a monopoly activity. [source]


COEVOLUTION DRIVES TEMPORAL CHANGES IN FITNESS AND DIVERSITY ACROSS ENVIRONMENTS IN A BACTERIA,BACTERIOPHAGE INTERACTION

EVOLUTION, Issue 8 2008
Samantha E. Forde
Coevolutionary interactions are thought to play a crucial role in diversification of hosts and parasitoids. Furthermore, resource availability has been shown to be a fundamental driver of species diversity. Yet, we still do not have a clear understanding of how resource availability mediates the diversity generated by coevolution between hosts and parasitoids over time. We used experiments with bacteria and bacteriophage to test how resources affect variation in the competitive ability of resistant hosts and temporal patterns of diversity in the host and parasitoid as a result of antagonistic coevolution. Bacteria and bacteriophage coevolved for over 150 bacterial generations under high and low-resource conditions. We measured relative competitive ability of the resistant hosts and phenotypic diversity of hosts and parasitoids after the initial invasion of resistant mutants and again at the end of the experiment. Variation in relative competitive ability of the hosts was both time- and environment-dependent. The diversity of resistant hosts, and the abundance of host-range mutants attacking these phenotypes, differed among environments and changed over time, but the direction of these changes differed between the host and parasitoid. Our results demonstrate that patterns of fitness and diversity resulting from coevolutionary interactions can be highly dynamic. [source]


Biological and ecological traits of benthic freshwater macroinvertebrates: relationships and definition of groups with similar traits

FRESHWATER BIOLOGY, Issue 2 2000
Philippe Usseglio-Polatera
Summary 1Relating species traits to habitat characteristics can provide important insights into the structure and functioning of stream communities. However, trade-offs among species traits make it difficult to predict accurately the functional diversity of freshwater communities. Many authors have pointed to the value of working with groups of organisms as similar as possible in terms of relationships among traits and have called for definition of groups of organisms with similar suites of attributes. 2We used multivariate analyses to examine separately the relationships among 11 biological traits and among 11 ecological traits of 472 benthic macroinvertebrate taxa (mainly genera). The main objective was to demonstrate (1) potential trade-offs among traits; (2) the importance of the different traits to separate systematic units or functional groupings; and (3) uniform functional groups of taxa that should allow a more effective use of macroinvertebrate biological and ecological traits. 3We defined eight groups and 15 subgroups according to a biological trait ordination which highlighted size (large to small), reproductive traits (K to r strategists), food (animal to plant material) and feeding habits (predator to scraper and/or deposit feeder) as ,significant' factors determining the ordination of taxa. This ordination partly preserved phylogenetic relationships among groups. 4Seven ecological groups and 13 ecological subgroups included organisms with combinations of traits which should be successively more adequate in habitats from the main channel to temporary waters, and from the crenon to the potamic sections of rivers, and to systems situated outside the river floodplain. These gradients corresponded to a gradual shift from (1) rheophilic organisms that lived in the main channel of cold oligotrophic mountain streams to (2) animals that preferred eutrophic habitats of still or temporary waters in lowlands. The groups with similar ecological traits had a more diverse systematic structure than those with similar biological traits. 5Monitoring and assessment tools for the management of water resources are generally more effective if they are based on a clear understanding of the mechanisms that lead to the presence or absence of species groups in the environment. We believe that groups with similar relationships among their species traits may be useful in developing tools that measure the functional diversity of communities. [source]


Sensitivity of organic matter decomposition to warming varies with its quality

GLOBAL CHANGE BIOLOGY, Issue 4 2008
RICHARD T. CONANT
Abstract The relationship between organic matter (OM) lability and temperature sensitivity is disputed, with recent observations suggesting that responses of relatively more resistant OM to increased temperature could be greater than, equivalent to, or less than responses of relatively more labile OM. This lack of clear understanding limits the ability to forecast carbon (C) cycle responses to temperature changes. Here, we derive a novel approach (denoted Q10,q) that accounts for changes in OM quality during decomposition and use it to analyze data from three independent sources. Results from new laboratory soil incubations (labile Q10,q=2.1 ± 0.2; more resistant Q10,q=3.8 ± 0.3) and reanalysis of data from other soil incubations reported in the literature (labile Q10,q=2.3; more resistant Q10,q=3.3) demonstrate that temperature sensitivity of soil OM decomposition increases with decreasing soil OM lability. Analysis of data from a cross-site, field litter bag decomposition study (labile Q10,q=3.3 ± 0.2; resistant Q10,q=4.9 ± 0.2) shows that litter OM follows the same pattern, with greater temperature sensitivity for more resistant litter OM. Furthermore, the initial response of cultivated soils, presumably containing less labile soil OM (Q10,q=2.4 ± 0.3) was greater than that for undisturbed grassland soils (Q10,q=1.7 ± 0.1). Soil C losses estimated using this approach will differ from previous estimates as a function of the magnitude of the temperature increase and the proportion of whole soil OM comprised of compounds sensitive to temperature over that temperature range. It is likely that increased temperature has already prompted release of significant amounts of C to the atmosphere as CO2. Our results indicate that future losses of litter and soil C may be even greater than previously supposed. [source]


Modeling complex decay profiles of hepatitis B virus during antiviral therapy,,

HEPATOLOGY, Issue 1 2009
Harel Dahari
Typically, hepatitis B virus (HBV) decays in patients under therapy in a biphasic manner. However, more complex decay profiles of HBV DNA (e.g., flat partial response, triphasic, and stepwise), for which we have no clear understanding, have also been observed in some treated patients. We recently introduced the notion of a critical drug efficacy, ,c, such that if overall drug efficacy, ,tot, is higher than the critical drug efficacy (i.e., ,tot > ,c) then viral levels will continually decline on therapy, while if ,tot < ,c, then viral loads will initially decline but will ultimately stabilize at a new set point, as seen in flat partial responders. Using the idea of critical efficacy and including hepatocyte proliferation in a viral kinetic model, we can account for these complex HBV DNA decay profiles. The model predicts that complex profiles such as those exhibiting a plateau or shoulder phase, as well as a class of stepwise declines, occur only in patients in whom the majority of hepatocytes are infected before therapy. Conclusion: We show via kinetic modeling how a variety of HBV DNA decay profiles can arise in treated patients. (HEPATOLOGY 2009;49:32-38.) [source]


Recent trend of the partial discharge measurement technique using the UHF electromagnetic wave detection method

IEEJ TRANSACTIONS ON ELECTRICAL AND ELECTRONIC ENGINEERING, Issue 5 2007
Masayuki Hikita Member
Abstract The ultra high frequency (UHF) electromagnetic wave detection method has been widely studied and used in partial discharge (PD) measurement and as a diagnostic technique for insulation performance in gas-insulated switchgears (GIS) and transformers. The UHF method has advantages such as high sensitivity, wide detection range and reduced external disturbances. On the other hand, there are still some issues to be solved in the UHF methods, such as a clear understanding of the propagation characteristics of electromagnetic waves arising from the structure of the equipment, optimization of antenna design, calibration of charge, etc. This article deals with the present status and future trend of the technology of this promising UHF method of PD measurement, together with recent activities and results from our laboratory. Copyright © 2007 Institute of Electrical Engineers of Japan. Published by John Wiley & Sons, Inc. [source]


Clinical guidelines for nocturia

INTERNATIONAL JOURNAL OF UROLOGY, Issue 5 2010
The Committee for Establishment of the Clinical Guidelines for Nocturia of the Neurogenic Bladder Society
Abstract Nocturia is a bothersome condition, defined as a complaint whereby the individual has to wake one or more times per night in order to void. Nocturia that occurs twice or more per night can have a substantial adverse effect on the patient's quality of life (QOL), and in many cases treatment may be required. These guidelines provide a treatment algorithm for use by primary care physicians. The initial assessment is conducted through a history taking interview. With a clear understanding of symptoms, patients can be classified into three broad categories: (1) nocturia only, (2) nocturia and diurnal pollakisuria without other lower urinary tract symptoms, and (3) nocturia and diurnal pollakisuria accompanying other lower urinary tract symptoms. For treatment, the literature supporting each form of drug therapy was ranked and a recommendation grade was determined for each form of therapy. A grade of ,F (pending)' was applied to any drug not currently approved for use in Japan or for which the efficacy and safety in Japanese patients was unconfirmed at the time of evaluation. We recommend instruction and guidance on water intake that will generally result in 24-h urine volume of 20 to 25 mL/kg. This corresponds to a daily water intake of 2.0% to 2.5% of body weight. In Japan, desmopressin is indicated for central diabetes insipidus and nocturnal enuresis, but not indicated for nocturia. The therapeutic mechanism of the anticholinergic drugs for nocturia may depend on the action of the sensory nerve mediated by the muscarinic receptors. [source]


The seasonal abundance of blowflies infesting drying fish in south-west India

JOURNAL OF APPLIED ECOLOGY, Issue 2 2001
R. Wall
Summary 1Blowfly infestation of sun-drying fish is a major economic problem in many developing countries of Asia, Africa and the Pacific. To consider the ecology of infestation, adult and larval blowfly populations were monitored between 27 October 1997 and 27 April 1999 at a fish landing and drying site, approximately 5 km north of Calicut, in Kerala state on the coast of south-west India. 2During the 548-day sampling period, a total of 96 953 adult Diptera was collected from 16 sticky targets, placed inside and outside eight fish-storage sheds. Of these, 91 912 (95%) were Chrysomya megacephala, 3719 (4%) were other Calliphoridae and 1322 (1%) were other species, largely Sarcophagidae. 3The population of C. megacephala showed pronounced seasonal fluctuations in response to climate, particularly relative humidity. Significantly shorter-frequency fluctuations within fish-processing sheds were also evident, the periodicity of which corresponded approximately to C. megacephala generation cycles. Spatial variation in C. megacephala abundance was evident within the site, higher populations occurring closest to the beach and numbers declining with distance inland. 4The pattern of drying fish infestation by C. megacephala broadly followed changes in the density of adult flies and the seasonal change in weather, with peaks during the monsoon and troughs in the dry hot periods. High relative humidity played a significant but secondary role in increasing infestation. 5Quantification of the relationship between larval infestation and percentage fish loss suggests that, given the infestation levels observed, between 10% and 60% post-harvest wet weight losses would be expected in the monsoon period, depending on the species of fish landed. 6The study emphasizes the importance of developing a clear understanding of the basic ecology and spatial and temporal dynamics of an insect pest, prior to the design or implementation of any pest management programme. [source]


Size matters sometimes: wall height and the structure of subtidal benthic invertebrate assemblages in south-eastern Australia and Mediterranean Spain

JOURNAL OF BIOGEOGRAPHY, Issue 12 2003
A. R. Davis
Abstract Aim, Variation in the structure of shallow subtidal invertebrate assemblages was examined over three spatial scales; within reef, between reef and between continents. We sought to provide a context from which to examine and interpret ecological processes between continents. In addition, we predicted that variation in pattern would increase as the scale of examination increased. Location, Reefs near Wollongong and within Jervis Bay in south-eastern Australia and Mediterranean reefs on the Costa Brava (Catalonia), north-eastern Spain. Methods, We compared assemblages on vertical rock walls of two heights , short (< 2 m) and tall (> 3 m) in two temperate regions over the same depth range. Specifically we examined the diversity and cover of invertebrates, the cover and biomass of foliose and crustose algae, the size of invertebrate colonies and the biomass of urchins on short and tall walls (n = 3) at each of two locations in each country. Results, Foliose algae dominated rock walls in Spain and although invertebrate cover was high, colonies were generally very small. Two urchin species were commonly encountered on rock walls in Spain, Arbacia lixula and Paracentrotus lividus; their biomass was relatively low and did not differ significantly between short and tall walls. These findings contrasted strongly with south-eastern Australia, where foliose algae were almost completely absent. A single urchin species, Centrostephanus rodgersii occurred with extremely high biomass on short walls, which were dominated by grazer-resistant crustose calcareous algae. In contrast, the biomass of this urchin was low on tall walls, which were dominated by invertebrates, usually exceeding 95% in cover. Invertebrate colonies were significantly larger on both short and tall walls in south-eastern Australia relative to the Mediterranean. Findings within a country were consistent between the replicate rock walls and between locations. In contrast to our prediction, however, there was significant variation among walls within a location, but not among locations within a continent. Temporal variation in the structure of these assemblages was not examined, but appears limited. Main conclusions, We conclude that submarine topography, i.e. the presence of short or tall rock walls, as a function of rock type and structure, has a marked impact on community structure in south-eastern Australia, but made little difference to the structure of the assemblage in Mediterranean Spain. The differences in structure we observed between walls of different heights in Australia were correlated with differences in the biomass of urchins and they appear to be major determinants of assemblage structure. Interactions among species are often reported from disparate parts of the globe with little or no reference to the structure of the assemblage of which they are a part; we contend that this will hinder interpretation. Our data are consistent with the organisms in these two regions experiencing distinct selection pressures; for example high levels of urchin grazing activity in south-eastern Australia, and shading and whiplash associated with an algal canopy in the Mediterranean. It may not be appropriate to contrast processes operating at very large (intercontinental) scales unless context can be established with a clear understanding of ecological pattern. Objectivos, En el presente trabajo hemos examinado la variación en estructura de comunidades de invertebrados de aguas someras a tres escalas espaciales: dentro de arrecifes rocosos, entre arrecifes y entre continentes. Nuestro objetivo era proveer un contexto para examinar y interpretar procesos ecológicos entre continentes. Además, realizamos la predicción de que el modelo de variación aumentaría conforme aumentaba la escala de observación. Localidad, Arrecifes rocosos cerca de Wollongong y en Jarvis Bay en la zona sudeste de Australia y arrecifes rocosos mediterráneos en la Costa Brava (Cataluña), en el nordeste de España. Metodos, Comparamos comunidades en paredes rocosas verticales de dos alturas , bajas (< 2 m) y altas (> 3 m) en dos regiones templadas y dentro del mismo rango de profundidades. Específicamente, examinamos la diversidad y el recubrimiento de invertebrados, el recubrimiento y la biomasa de algas foliosas e incrustantes, la medida de las colonias de invertebrados y la biomasa de erizos en paredes bajas y altas (n = 3) en dos localidades de cada país. Resultados, Las algas foliosas dominaban las paredes rocosas en España y, aunque el recubrimiento de invertebrados era alto, las colonias eran generalmente muy pequeñas. Dos especies de erizos eran comunes en las paredes rocosas en España: Arbacia lixula y Paracentrotus lividus. Su biomasa total era relativamente pequeña y no mostraba diferencias significativas entre paredes bajas y altas. Estos resultados contrastan con los hallados en el sudeste de Australia, donde las algas foliosas eran prácticamente ausentes. Una única especie de erizo, Centrostephanus rodgersii, se encontraba en las paredes bajas, donde presentaba elevadas biomasas. Estas paredes estaban dominadas por algas incrustantes y carbonatadas resistentes al ramoneo por erizos. En cambio, la biomasa de este erizo era baja en paredes altas, que estaban dominadas por invertebrados, con recubrimientos normalmente por encima del 95%. Las colonias de invertebrados eran significativamente más grandes tanto en las paredes altas como bajas en el sudeste de Australia en comparación con el Mediterráneo. Los resultados dentro de cada país eran consistentes entre las réplicas de paredes estudiadas y entre localidades. Contrariamente a nuestra predicción, sin embargo, había una variación significativa entre paredes dentro de una localidad pero no entre localidades dentro de un continente. La variación temporal en estructura en estas comunidades no fue estudiada, pero parece ser limitada. Conclusiones Principales, Concluimos que la topografía submarina, esto es, la presencia de paredes bajas o altas en función del tipo de roca y estructura, tiene un efecto importante en la estructura de las comunidades en el sudeste de Australia. Este factor, sin embargo, tiene un efecto muy limitado en el Mediterráneo español. Las diferencias en estructura observadas entre paredes de diferentes alturas en Australia se correlacionan con diferencias en la biomasa de erizos, los cuales parecen ser determinantes en la estructura de las comunidades. Frecuentemente se estudian interacciones entre especies en zonas alejadas del globo con escasa o nula referencia a la estructura de la comunidad de la que forman parte. En nuestra opinión este hecho impide una correcta interpretación. Nuestros datos son consistentes con la idea de que los organismos en las dos regiones estudiadas experimentan diversas presiones selectivas, por ejemplo, niveles altos de ramoneo por erizos en el sudeste de Australia, y oscurecimiento y disturbancia mecánica asociadas a la cobertura de algas en el Mediterráneo. No parece apropiado comparar procesos que operan a escalas muy amplias (intercontinentales) sin establecer antes un contexto con una comprensión clara de los parámetros ecológicos. [source]


FGF-23 Is a Potent Regulator of Vitamin D Metabolism and Phosphate Homeostasis,

JOURNAL OF BONE AND MINERAL RESEARCH, Issue 3 2004
Takashi Shimada
Abstract We analyzed the effects of an FGF-23 injection in vivo. FGF-23 caused a reduction in serum 1,25-dihydroxyvitamin D by altering the expressions of key enzymes for the vitamin D metabolism followed by hypophosphatemia. This study indicates that FGF-23 is a potent regulator of the vitamin D and phosphate metabolism. Introduction: The pathophysiological contribution of FGF-23 in hypophosphatemic diseases was supported by animal studies in which the long-term administration of recombinant fibroblast growth factor-23 reproduced hypophosphatemic rickets with a low serum 1,25-dihydroxyvitamin D [1,25(OH)2D] level. However, there is no clear understanding of how FGF-23 causes these changes. Materials and Methods: To elucidate the molecular mechanisms of the FGF-23 function, we investigated the short-term effects of a single administration of recombinant FGF-23 in normal and parathyroidectmized animals. Results: An injection of recombinant FGF-23 caused a reduction in serum phosphate and 1,25(OH)2D levels. A decrease in serum phosphate was first observed 9 h after the injection and was accompanied with a reduction in renal mRNA and protein levels for the type IIa sodium-phosphate cotransporter (NaPi-2a). There was no increase in the parathyroid hormone (PTH) level throughout the experiment, and hypophosphatemia was reproduced by FGF-23 in parathyroidectomized rats. Before this hypophosphatemic effect, the serum 1,25(OH)2D level had already descended at 3 h and reached the nadir 9 h after the administration. FGF-23 reduced renal mRNA for 25-hydroxyvitamin D-1,-hydroxylase and increased that for 25-hydroxyvitamin D-24-hydroxylase starting at 1 h. In addition, an injection of calcitriol into normal mice increased the serum FGF-23 level within 4 h. Conclusions: FGF-23 regulates NaPi-2a independently of PTH and the serum 1,25(OH)2D level by controlling renal expressions of key enzymes of the vitamin D metabolism. In conclusion, FGF-23 is a potent regulator of phosphate and vitamin D homeostasis. [source]


Bilinear modelling of batch processes.

JOURNAL OF CHEMOMETRICS, Issue 5 2008
Part I: theoretical discussion
Abstract When studying the principal component analysis (PCA) or partial least squares (PLS) modelling of batch process data, one realizes that there is a wide range of approaches. In many cases, new modelling approaches are presented just because they work properly for a particular application, for example, on-line monitoring and a given number of processes. A clear understanding of why these approaches perform successfully and which are the advantages and disadvantages in front of the others is seldom supplied. Why does modelling after batch-wise unfolding capture changing dynamics? What are the consequences of variable-wise unfolding? Is there any best unfolding method? When should several models for a single process be used? In this paper, it is shown how these and other related questions can be answered by properly analyzing the dynamic covariance structures of the various approaches. Copyright © 2008 John Wiley & Sons, Ltd. [source]


Cognitive therapy integrated with life review techniques: an eclectic treatment approach for affective symptoms in older adults

JOURNAL OF CLINICAL NURSING, Issue 1 2004
William J. Puentes DNSc
Background., An important aspect of nursing theory development has been the adaptation of theory from other disciplines within the metaparadigm of nursing. This eclectic approach to theory development enhances the broad humanistic theory base on which effective, professional nursing practice is based. Aims and objectives., The aim of this article is to describe the process of integrating two distinct psychotherapeutic approaches into one coherent mental health nursing intervention for the treatment of affective symptoms in older adults. Guidelines for using this integration process in psychiatric mental health nursing clinical practice are presented and illustrated through the case study approach. Methods., A case study is presented describing a clinical situation in which life review techniques were used to enhance the outcomes of a cognitive therapy experience for older adults enrolled in outpatient psychotherapy treatment for acute adjustment disorder with an affective component. Conclusions and relevance to clinical practice., The advanced practice psychiatric mental health nurse who approaches psychotherapeutic interventions with older adult clients from an eclectic approach can achieve successful outcomes by having a clear understanding of (i) the dynamics of the various psychotherapeutic approaches, (i) the skill level of the practitioner, (iii) the psychosocial sophistication of the client, and (iv) the pathology being treated. In addition, active involvement by the client in a treatment process that matches his/her psychosocial skill and coping resource level will contribute to effective resolution of pathology. A cognitive therapy approach supplemented by life review techniques is an excellent example of an effective, eclectic treatment approach of affective disorders in older adults. [source]


Feeding habits of chimpanzees (Pan troglodytes), red-tail monkeys (Cercopithecus ascanius schmidti) and blue monkeys (Cercopithecus mitis stuhlmanii) on figs in Budongo Forest Reserve, Uganda

AFRICAN JOURNAL OF ECOLOGY, Issue 2 2001
Mnason Tweheyo
Abstract Feeding habits of chimpanzees, red-tail and blue monkeys on figs (Ficus) were studied in compartment N3 of Budongo Forest Reserve, western Uganda, from September 1997 to March 1998. The aim was to examine the spatial and temporal foraging habits of chimpanzees, red-tail monkeys and blue monkeys on figs in the forest reserve. Both scan and focal sampling methods were used to assess the foraging habits of the primates. It was found that the primates fed on emerging leaves of Ficus mucuso Ficalho, F. varifolia Warb. and F. exasperata Vahl. They also preferred ripe fruits to emerging, young and unripe fruits. The primates spent 78% of the morning eating fruits and leaves and inhabited fig trees with fruits for about 4 h. Fig trees with ripe fruits attracted larger numbers of primate groups. It is concluded that information on the feeding habits of chimpanzees and monkeys is required in order to have a clear understanding of the social behaviour and pattern of movement of the primates and to assist in predicting the likely impacts of poor forest management, forest degradation and loss of food resources on their populations. Résumé On a étudié les habitudes alimentaires des chimpanzés, des red tails et des cercopithèques à diadème dans les figuiers (Ficus), dans le compartiment N3 de la Réserve Forestière de Budongo, à l'ouest de l'Ouganda, de septembre 1997 à mars 1998. Le but était d'examiner les habitudes alimentaires, dans l'espace et dans le temps, des chimpanzés, des red tails et des cercopithèques à diadème, dans les figuiers de la réserve forestière. On a utilisé les méthodes par scanner et par échantillonnage focal pour évaluer les habitudes alimentaires des primates. On a découvert que les primates se nourrissaient des jeunes feuilles de Ficus mucoso Ficalho, de F.varifolia Warb et de F.exasperata Vahl. Ils préféraient aussi les fruits mûrs aux fruits verts. Les primates passaient 78% de la matinée à manger des fruits et des feuilles et restaient environ 4 heures dans les figuiers qui avaient des fruits. Les figuiers dont les fruits étaient mûrs attiraient un plus grand nombre de groupes de primates. On en a conclu qu'il était nécessaire d'avoir des informations sur les habitudes alimentaires des chimpanzés et des singes pour bien comprendre le comportement social et schéma de déplacement des primates et pour aider à prévoir les impacts éventuels d'une piètre gestion forestière, de la dégradation de la forêt et de la disparition des ressources alimentaires sur leurs populations. [source]


Electron correlation: The many-body problem at the heart of chemistry

JOURNAL OF COMPUTATIONAL CHEMISTRY, Issue 8 2007
David P. Tew
Abstract The physical interactions among electrons and nuclei, responsible for the chemistry of atoms and molecules, is well described by quantum mechanics and chemistry is therefore fully described by the solutions of the Schrödinger equation. In all but the simplest systems we must be content with approximate solutions, the principal difficulty being the treatment of the correlation between the motions of the many electrons, arising from their mutual repulsion. This article aims to provide a clear understanding of the physical concept of electron correlation and the modern methods used for its approximation. Using helium as a simple case study and beginning with an uncorrelated orbital picture of electronic motion, we first introduce Fermi correlation, arising from the symmetry requirements of the exact wave function, and then consider the Coulomb correlation arising from the mutual Coulomb repulsion between the electrons. Finally, we briefly discuss the general treatment of electron correlation in modern electronic-structure theory, focussing on the Hartree-Fock and coupled-cluster methods and addressing static and dynamical Coulomb correlation. © 2007 Wiley Periodicals, Inc. J Comput Chem 28: 1307,1320, 2007 [source]


A Hypothesis for the Chemical Basis for Perception of Sour Taste

JOURNAL OF FOOD SCIENCE, Issue 2 2005
Suzanne D. Johanningsmeiner
ABSTRACT: Sour taste has been considered the simplest of the basic tastes because it is elicited only by hydrogen ions. However, there is not a sufficiently clear understanding of that relationship to allow sour taste intensity to be predicted and rationally modified in foods. On the basis of analysis of sensory data from our laboratory and reanalysis of previously published data, we propose a new hypothesis for the chemical basis for sour taste perception: The intensity of sour taste perception in acid solutions or acidified foods is linearly related to the molar concentration of all organic acid species with at least 1 protonated carboxyl group plus the molar concentration of free hydrogen ions. This hypothesis implies that, on a molar basis, different organic acids will be equally sour, provided at least 1 carboxyl group is protonated. The major effect of pH on sour taste will be to determine the degree of protonation of organic acids. If this hypothesis is confirmed, it will provide a new understanding of the chemical basis for this basic taste perception and have broad usefulness in the formulation of products in which sour taste is an important component of flavor. [source]


Opioids and opiates: analgesia with cardiovascular, haemodynamic and immune implications in critical illness

JOURNAL OF INTERNAL MEDICINE, Issue 2 2006
P. E. MOLINA
Abstract. Traumatic injury, surgical interventions and sepsis are amongst some of the clinical conditions that result in marked activation of neuroendocrine and opiate responses aimed at restoring haemodynamic and metabolic homeostasis. The central activation of the neuroendocrine and opiate systems, known collectively as the stress response, is elicited by diverse physical stressor conditions, including ischaemia, glucopenia and inflammation. The role of the hypothalamic,pituitary,adrenal axis and sympathetic nervous system in counterregulation of haemodynamic and metabolic alterations has been studied extensively. However, that of the endogenous opiates/opioid system is still unclear. In addition to activation of the opiate receptor through the endogenous release of opioids, pharmacotherapy with opiate receptor agonists is frequently used for sedation and analgesia of injured, septic and critically ill patients. How this affects the haemodynamic, cardiovascular, metabolic and immune responses is poorly understood. The variety of opiate receptor types, their specificity and ubiquitous location both in the central nervous system and in the periphery adds additional complicating factors to the clear understanding of their contribution to the stress response to the various physical perturbations. This review aims at discussing scientific evidence gathered from preclinical studies on the role of endogenous opioids as well as those administered as pharmacological agents on the host cardiovascular, neuroendocrine, metabolic and immune response mechanisms critical for survival from injury in perspective with clinical observations that provide parallel assessment of relevant outcome measures. When possible, the clinical relevance and corresponding scenarios where this evidence can be integrated into our understanding of the clinical implications of opiate effects will be examined. Overall, the scientific basis to enhance clinical judgment and expectations when using opioid sedation and analgesia in the management of the injured, septic or postsurgical patient will be discussed. [source]


In defence of the meltwater (megaflood) hypothesis for the formation of subglacial bedform fields,

JOURNAL OF QUATERNARY SCIENCE, Issue 3 2010
John Shaw
Abstract Characteristics of large-scale fluting and hummocky terrain on the Canadian Prairies test glacial and meltwater hypotheses for landform genesis. These tests defend the meltwater model. Neither sedimentary nor glaciotectonic processes can fully explain such erosional landforms. Province-scale flow paths, which mark palaeo-ice streams and subglacial flood routes, contain large-scale fluting with flanking hummock terrain. Antecedent relief causes these paths to differ from other flood landscapes such as the Scablands. Proponents of the glacial hypothesis use an invalid analogy between Icelandic and Prairie landsystems. They suggest that groove-ploughing formed large-scale fluting, and that ice pushing created hummocky terrain. However, landform location, form, and extent, surface lags, truncated architecture, and landform associations favour the meltwater hypothesis. A simple thought experiment and clear understanding of the principle of least number of assumptions answer the criticisms that meltwater forms cannot cross-cut and that the meltwater hypothesis disregards proper hypothesis testing. An example of cross-cutting erosional marks supports this theory. No narrow tract of smoothed terrain with fluting terminates at the glacially thrust Neutral Hills, negating an important point in the glacial hypothesis. While neither the glacial hypothesis nor postglacial winnowing explain boulder and cobble lags with percussion marks, meltwater processes explain them well. Copyright © 2009 John Wiley & Sons, Ltd. [source]


Experimental and statistical analysis methods for peptide detection using surface-enhanced Raman spectroscopy

JOURNAL OF RAMAN SPECTROSCOPY, Issue 3 2008
Breeana L. Mitchell
Abstract Surface-enhanced Raman spectroscopy (SERS) has the potential to make a significant impact in biology research due to its ability to provide information orthogonal to that obtained by traditional techniques such as mass spectrometry (MS). While SERS has been well studied for its use in chemical applications, detailed investigations with biological molecules are less common. In addition, a clear understanding of how methodology and molecular characteristics impact the intensity, the number of peaks, and the signal-to-noise of SERS spectra is largely missing. By varying the concentration and order of addition of the SERS-enhancer salt (LiCl) with colloidal silver, we were able to evaluate the impact of these variables on peptide spectra using a quantitative measure of spectra quality based on the number of peaks and peak intensity. The LiCl concentration and order of addition that produced the best SERS spectra were applied to a panel of synthetic peptides with a range of charges and isoelectric points (pIs) where the pI was directly correlated with higher spectral quality. Those peptides with moderate to high pIs and spectra quality scores were differentiated from each other using the improved method and a hierarchical clustering algorithm. In addition, the same method and algorithm was applied to a set of highly similar phosphorylated peptides, and it was possible to successfully classify the majority of peptides on the basis of species-specific peak differences. Copyright © 2008 John Wiley & Sons, Ltd. [source]


SCREENING FOR CARDIOVASCULAR DISEASE IN PATIENTS WITH ADVANCED CHRONIC KIDNEY DISEASE

JOURNAL OF RENAL CARE, Issue 2010
Rajan Sharma BSc
SUMMARY Cardiovascular disease remains the major cause of mortality and morbidity in patients with advanced chronic kidney disease (CKD) and after renal transplantation. The mechanisms for cardiotoxicity are multiple. Identifying high-risk patients remains a challenge. Given, the poor long-term outcome of dialysis patients who do not receive renal transplantation and the lower supply of donor kidneys relative to demand, optimal selection of renal transplantation candidates is crucial. This requires a clear understanding of the validity of cardiac tests in this patient group. This paper explores the strengths and weaknesses of currently available diagnostic tools in patients with advanced CKD. Echocardiography is very useful for the detection of cardiomyopathy and prognosis. Stress echocardiography, myocardial perfusion imaging and coronary angiography are the best tools for the assessment of coronary artery disease. All predict outcome. No single gold standard investigation exists. At present, there is not an optimal technique for predicting sudden cardiac death in this patient group. Ultimately, the choice of cardiac test will always be determined by patient preference, local expertise and availability. [source]


Destructive deformation of the digits with auto-amputation: a review of pseudo-ainhum

JOURNAL OF THE EUROPEAN ACADEMY OF DERMATOLOGY & VENEREOLOGY, Issue 6 2007
RM Rashid
Abstract Pseudo-ainhum is an auto-amputation of the digits. Although extremely rare, it is a traumatic and painful experience that can be alleviated with early recognition and intervention. The scientific literature is filled with reports of this interesting but unfortunate phenomenon. To date, a firm causative aetiology has not yet been established. Although reports on this phenomenon have attempted to further our understanding of pseudo-ainhum, a clear understanding has been complicated by the interchangeable use of terms describing this auto-amputation. In this review, we discuss the current understanding, diagnostic criteria, and management of pseudo-ainhum. Furthermore, the nomenclature of pseudo-ainhum is clarified. Ideally, this will allow for more efficient exploration of pseudo-ainhum, its causes, and therapeutic approaches. [source]


Potato glycoalkaloids: formation and strategies for mitigation

JOURNAL OF THE SCIENCE OF FOOD AND AGRICULTURE, Issue 11 2008
Prabhat K Nema
Abstract With the increasing production and consumption of potato and its products, glycoalkaloid (GA) formation and toxicity are likely to become an important focus for food safety researchers and public health agencies. Not only the presence of GA, particularly in the form of ,-solanine and ,-chaconine, but also the changes occurring as a result of various post-harvest handling practices and storage, are critical issues influencing the quality of stored potatoes. Studies on various factors (pre-harvest, during harvest and post-harvest) affecting GA have been carried out from time to time, but it is difficult to compare the results of one study with another due to wide variation in the parameters chosen. This review aims to develop a clear understanding of these issues. Published information on the types of GA, their effects on health, their typical concentrations in potatoes, their formation mechanisms, and how their levels can be controlled by following appropriate post harvest practices and storage regimes are critically analysed. The levels of GA in potato can be controlled effectively by adopting appropriate post-harvest practices. Further studies are necessary, however, to investigate best practices, which either check completely or retard substantially their formation. Copyright © 2008 Society of Chemical Industry [source]


The Knowledge of Detained Juveniles About the Juvenile Justice System

JUVENILE AND FAMILY COURT JOURNAL, Issue 3 2005
THERESA RAJACK-TALLEY
ABSTRACT This article examines the knowledge and perceptions of detained juveniles about the roles of juvenile justice officials and the nature of the juvenile justice system. Data were collected through interviews in a group setting. The small sample size limited the generalizability of the findings but provided specific information important for future research and policymaking on an under-studied group. The study found that the experiences of the juveniles with the justice system provided only limited understanding of the system's processes and confusion about juvenile justice officials' roles. The juveniles did not have a clear understanding of how each official's role operated within a set of roles that constitutes the system. Further, they did not fully understand the cumulative effect of juvenile processing. [source]


Estimating the potential role of commercial over-harvesting in resource viability: a case study of five useful tree species in South Africa

LAND DEGRADATION AND DEVELOPMENT, Issue 3 2005
C. M. Shackleton
Abstract There is a growing commercialization of non-timber forest products (NTFPs) as a means of livelihood by rural communities throughout the developing world. This often occurs in the absence of any clear understanding of or guidelines regarding sustainable yields and ecological impacts, which may undermine the success of NTFP enterprises, especially from arid regions. This paper reports on the use of size class profiles and three quantitative indices to examine population profiles of five potentially useful tree species used as NTFPs in the semiarid lowveld of South Africa. We also contrast the population densities of the five tree species in 2003 with data from 1992. Low stem densities and population profiles indicated that three of the five species would preclude the establishment of NTFP enterprises based on their products. The other two species seem to have sufficient densities for some harvesting to take place, within an adaptive management framework. However, the longitudinal data indicated that the density of both these species had significantly declined over an eleven-year period, highlighting the need for appropriate management institutions. Additionally, the proportion of mature stems cut, and the degree of cutting per stem, had increased for all five species over the eleven years. The three quantitative indices of population stability were not correlated with one another, and hence provided a useful suite of measures sensitive to different aspects of size class profiles and their interpretation. Copyright © 2005 John Wiley & Sons, Ltd. [source]


Meta-analysis of transmitter effects on avian behaviour and ecology

METHODS IN ECOLOGY AND EVOLUTION, Issue 2 2010
Douglas G. Barron
Summary 1. Researchers often attach transmitters and other devices to free-living birds without a clear understanding of potential deleterious consequences to their study organisms, and thus to their data. Studies investigating this topic have generally been limited to a single species or type of device. 2. To achieve a broader understanding we used a meta-analysis of 84 studies to ask: (1) Do devices have an overall effect on birds? (2) Which aspects of avian behaviour and ecology are affected? (3) What attributes of birds influence transmitter effects? (4) What attributes of devices influence their effects? (5) Are effects partially a consequence of capture and restraint? 3. We found a significant negative effect of devices on birds, both overall and for 8 of the 12 specific aspects analysed. The most substantial effects were that birds with devices had markedly increased energy expenditure and were much less likely to nest. 4. Effects were independent of attributes of the birds (sex, age, primary method of locomotion and body mass). We also found no evidence that proportionally heavier devices had greater effects, although researchers generally avoided using heavy devices. Breast-mounted and harness attachments increased device-induced behaviours such as preening, however, and the risk of device-induced mortality differed between attachment methods. 5. Other than foraging behaviours, no effects were a consequence of capture or restraint. 6.Synthesis and applications. We provide the first comprehensive evidence that transmitters and other devices negatively affect birds and may bias resulting data. Researchers should balance the benefits of using these techniques against potential costs to the birds and reliability of the data obtained. [source]


Fine-scale spatial genetic structure and dispersal among spotted salamander (Ambystoma maculatum) breeding populations

MOLECULAR ECOLOGY, Issue 2 2007
KELLY R. ZAMUDIO
Abstract We examined fine-scale genetic variation among breeding aggregations of the spotted salamander (Ambystoma maculatum) to quantify dispersal, interpopulation connectivity and population genetic structure. Spotted salamanders rely on temporary ponds or wetlands for aggregate breeding. Adequate breeding sites are relatively isolated from one another and field studies suggest considerable adult site fidelity; therefore, we expected to find population structure and differentiation at small spatial scales. We used microsatellites to estimate population structure and dispersal among 29 breeding aggregations in Tompkins County, New York, USA, an area encompassing 1272 km2. Bayesian and frequency-based analyses revealed fine-scale genetic structure with two genetically defined demes: the North deme included seven breeding ponds, and the South deme included 13 ponds. Nine ponds showed evidence of admixture between these two genetic pools. Bayesian assignment tests for detection of interpopulation dispersal indicate that immigration among ponds is common within demes, and that certain populations serve as sources of immigrants to neighbouring ponds. Likewise, spatial genetic correlation analyses showed that populations , 4.8 km distant from each other show significant genetic correlation that is not evident at higher scales. Within-population levels of relatedness are consistently larger than expected if mating were completely random across ponds, and in the case of a few ponds, within-population processes such as inbreeding or reproductive skew contribute significantly to differentiation from neighbouring ponds. Our data underscore the importance of these within-population processes as a source of genetic diversity across the landscape, despite considerable population connectivity. Our data further suggest that spotted salamander breeding groups behave as metapopulations, with population clusters as functional units, but sufficient migration among demes to allow for potential rescue and recolonization. Amphibian habitats are becoming increasingly fragmented and a clear understanding of dispersal and patterns of population connectivity for taxa with different ecologies and life histories is crucial for their conservation. [source]


A review of molecular techniques to type Candida glabrata isolates

MYCOSES, Issue 6 2010
S. Abbes
Summary Candida glabrata has emerged as a common cause of fungal infection causing mucosal and systemic infections. This yeast is of concern because of its reduced antifungal susceptibility to azole antifungals such as fluconazole. A clear understanding of the epidemiology of Candida infection and colonisation required a reliable typing system for the evaluation of strain relatedness. In this study, we discuss the different molecular approaches for typing C. glabrata isolates. Recent advances in the use of molecular biology-based techniques have enabled investigators to develop typing systems with greater sensitivities. Several molecular genotypic approaches have been developed for fast and accurate identification of C. glabrata in vitro. These techniques have been widely used to study diverse aspects such as nosocomial transmission. Molecular typing of C. glabrata could also provide information on strain variation, such as microvariation and microevolution. [source]


Turning the tide: Enabling sustainable development for Africa's mobile pastoralists

NATURAL RESOURCES FORUM, Issue 3 2008
Jonathan Davies
Abstract Sustainable development for Africa's mobile pastoralists is slowly becoming a reality. Success depends to a large extent on understanding the dynamics of drylands environments, accepting the logic of customary mobile livestock keeping, and enabling effective governance. Appropriate investment in pastoralism requires a clear understanding of the values that are attached to it and innovative approaches to marketing of the goods and services that emanate from the system. To make development truly sustainable it is imperative that the environmental services of pastoralism are recognised, rewarded and promoted. Constraints to sustainable pastoral development include low and misdirected public and private investment, weak security of resource rights, low human capital, weak pastoral voice and poor governance. Successful and sustainable development is observed in pastoral regions where customary governance has been legitimized, resource rights secured and economic development of the pastoral sector, as opposed to transformation of livestock keeping, has prevailed. This article presents state-of-the-art knowledge on sustainable pastoralism, gathered through the GEF/UNDP/IUCN World Initiative for Sustainable Pastoralism (WISP), with data and case studies taken from three recently published WISP reports: "Global Economic Review of Pastoralism", "Pastoralism as Conservation in the Horn of Africa", and "Policy Impacts on Pastoral Environments". [source]


Reshaping their views: Science as liberal arts

NEW DIRECTIONS FOR TEACHING & LEARNING, Issue 103 2005
Judith Bramble
General-education science courses should provide students with a foundation of knowledge about how the natural world works, a clear understanding of the nature of science and scientific inquiry, and an appreciation for the relationship between science and society. This chapter suggests a variety of approaches to engage students in their own learning and, with appropriate reflection, help them construct more scientific worldviews. [source]


Testing the implied mediational role of cognitive age

PSYCHOLOGY & MARKETING, Issue 10 2001
Kevin P. Gwinner
Although the concept of cognitive age has been positioned in the psychology, marketing, and gerontology literatures as an important variable that mediates the relationship between specific antecedents and consequences, a test of its implied mediational role has not been done. As such, researchers and marketing managers lack a clear understanding of cognitive age's usefulness among a variety of important segmentation variables. This study employs mediated regression analysis to formally explore this implied mediational role with the use of five antecedent variables and three consumer-behavior outcomes. Results indicate that cognitive age either fully or partially mediates the relationship between antecedents and consequences, but not for all possible relationships. A structural-equation model is then developed to further explore the substantive relationships between the variables. © 2001 John Wiley & Sons, Inc. [source]