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Selected AbstractsControversies in the laparoscopic treatment of hepatic hydatid diseaseHPB, Issue 4 2004Koray Acarli Background Laparoscopic treatment of hydatid disease of the liver can be performed safely in selected patients. Methods Six hundred and fifty patients were treated for hydatid disease of the liver between 1980 and 2003 at the Hepatopancreato-biliary Surgery Unit of Istanbul Medical Faculty, Istanbul University. Of these, 60 were treated laparoscopically between 1992 and 2000. A special aspirator-grinder apparatus was used for the evacuation of cyst contents. Ninety-two percent of the cysts were at stages I, II or III according to the ultrasonographic classification of Gharbi. Results Conversion to open surgery was necessary in eight patients due to intra-abdominal adhesions or cysts in difficult locations. There was no disease- or procedure-related mortality. Most of the complications were related to cavity infections (13.5%) and external biliary fistulas (I 1.5%) resulting from communications between the cysts and the biliary tree. There were two recurrences in a follow-up period ranging between 3.5 and I I years. Discussion Laparoscopic treatment of hydatid disease of the liver is an alternative to open surgery in well-selected patients. Important steps are the evacuation of the cyst contents without spillage, sterilization of the cyst cavity with scolicidal agents and cavity management using classical surgical techniques. Our specially designed aspirator-grinder apparatus was safely used to evacuate the cyst contents without causing any spillage. Knowledge of the relationship of the cyst with the biliary tree is essential in choosing the appropriate patients for the laparoscopic technique. In our experience of 650 cases, the biliary communication rate was as high as 18%; half of these can be detected preoperatively. In the remaining, biliary communications are usually detected during or after surgery. Endoscopie retrograde cholangiopancreatography (ERCP) and sphincterotomy are helpful to overcome this problem. As hydatid disease of the liver is a benign and potentially recurrent disease, we advocate the use of conservative techniques in both laparoscopic and open operations. [source] Antibiotics: Has the magic gone?JOURNAL OF THE SCIENCE OF FOOD AND AGRICULTURE, Issue 5 2007Yogesh Chander Abstract The emergence of antibiotic resistant bacteria has diminished the efficacy of several antibiotics that were used to treat infectious diseases in humans and animals. In recent years, the problem of antibiotic resistance has become more apparent as increasing numbers of bacteria have acquired resistance to multiple antibiotics. Antibiotics inhibit bacterial growth through a variety of mechanisms including inhibition of cell wall or protein synthesis, interference with DNA (or RNA) replication, and disruption of metabolic pathways or cell membrane. Bacteria develop resistance through genetic mutations or by acquiring resistant genes involved in the production of antibiotic degrading enzymes, overproduction of target molecules, efflux pumps to drain out antibiotics, and/or altered cell wall permeability to survive adverse physiological conditions. Published literature suggests that sub-therapeutic feeding of food animals for growth promotion along with casual use of antibiotics in household products such as soaps and creams is contributing to increased antimicrobial resistance in the environment. If steps are not taken to minimize selective pressure on bacteria, the effectiveness of antibiotics (hailed as ,magic bullets') may be marginalized. Important steps in the judicious use of antibiotics on the farm are: (1) education of farmers on the pitfalls of using antibiotics sub-therapeutically in the production of food animals; (2) development of animal production practices that reduce dependence on antibiotics; and (3) development of manure disposal practices that minimize the spread of residual antibiotics and antibiotic resistant bacteria into the environment. In addition, educating the general public on the use and misuse of antibiotics in daily life is also important if there is to be any significant impact on reducing the environmental spread of antibiotic resistance. Copyright © 2006 Society of Chemical Industry [source] Integration, scaling, space-group assignment and post-refinementACTA CRYSTALLOGRAPHICA SECTION D, Issue 2 2010Wolfgang Kabsch Important steps in the processing of rotation data are described that are common to most software packages. These programs differ in the details and in the methods implemented to carry out the tasks. Here, the working principles underlying the data-reduction package XDS are explained, including the new features of automatic determination of spot size and reflecting range, recognition and assignment of crystal symmetry and a highly efficient algorithm for the determination of correction/scaling factors. [source] Intracellular metabolite determination in the presence of extracellular abundance: Application to the penicillin biosynthesis pathway in Penicillium chrysogenum,BIOTECHNOLOGY & BIOENGINEERING, Issue 1 2010Rutger D. Douma Abstract Important steps in metabolic pathways are formed by the transport of substrates and products over the cell membrane. The study of in vivo transport kinetics requires accurate quantification of intra- and extracellular levels of the transported compounds. Especially in case of extracellular abundance, the proper determination of intracellular metabolite levels poses challenges. Efficient removal of extracellular substrates and products is therefore important not to overestimate the intracellular amounts. In this study we evaluated two different rapid sampling methods, one combined with cold filtration and the other with centrifugation, for their applicability to determine intracellular amounts of metabolites which are present in high concentrations in the extracellular medium. The filtration-based method combines fast sampling and immediate quenching of cellular metabolism in cold methanol, with rapid and effective removal of all compounds present outside the cells by means of direct filtration and subsequent filtration-based washing. In the centrifugation-based method, removal of the extracellular metabolites from the cells was achieved by means of multiple centrifugation and resuspension steps with the cold quenching solution. The cold filtration method was found to be highly superior to the centrifugation method to determine intracellular amounts of metabolites related to penicillin-G biosynthesis and allowed the quantification of compounds of which the extracellular amounts were 3,4 orders of magnitude higher than the intracellular amounts. Using this method for the first time allowed to measure the intracellular levels of the side chain precursor phenylacetic acid (PAA) and the product penicillin-G of the penicillin biosynthesis pathway, compounds of which the transport mechanism in Penicillium chrysogenum is still far from being sufficiently understood. Biotechnol. Bioeng. 2010;107: 105,115. © 2010 Wiley Periodicals, Inc. [source] How accurately can parameters from exponential models be estimated?CONCEPTS IN MAGNETIC RESONANCE, Issue 2 2005A Bayesian view Abstract Estimating the amplitudes and decay rate constants of exponentially decaying signals is an important problem in NMR. Understanding how the uncertainty in the parameter estimates depends on the data acquisition parameters and on the "true" but unknown values of the exponential signal parameters is an important step in designing experiments and determining the amount and quality of the data that must be gathered to make good parameter estimates. In this article, Bayesian probability theory is applied to this problem. Explicit relationships between the data acquisition parameters and the "true" but unknown exponential signal parameters are derived for the cases of data containing one and two exponential signal components. Because uniform prior probabilities are purposely employed, the results are broadly applicable to experimental parameter estimation. © 2005 Wiley Periodicals, Inc. Concepts Magn Reson Part A 27A: 73,83, 2005 [source] Specification and detection of performance problems with ASLCONCURRENCY AND COMPUTATION: PRACTICE & EXPERIENCE, Issue 11 2007Michael Gerndt Abstract Performance analysis is an important step in tuning performance-critical applications. It is a cyclic process of measuring and analyzing performance data, driven by the programmer's hypotheses on potential performance problems. Currently this process is controlled manually by the programmer. The goal of the work described in this article is to automate the performance analysis process based on a formal specification of performance properties. One result of the APART project is the APART Specification Language (ASL) for the formal specification of performance properties. Performance bottlenecks can then be identified based on the specification, since bottlenecks are viewed as performance properties with a large negative impact. We also present the overall design and an initial evaluation of the Periscope system which utilizes ASL specifications to automatically search for performance bottlenecks in a distributed manner. Copyright © 2006 John Wiley & Sons, Ltd. [source] Multimedia vectorization of floating-point MIN/MAX reductionsCONCURRENCY AND COMPUTATION: PRACTICE & EXPERIENCE, Issue 9 2006Aart J. C. Bik Abstract Finding the minimum or maximum value in an array forms an important step in a variety of applications. This paper discusses vectorization schemes that take advantage of the streaming-SIMD-extensions in commonly used floating-point MIN and MAX reductions. Performance advantages are demonstrated with experimental results. Copyright © 2006 John Wiley & Sons, Ltd. [source] Cytopathologic differential diagnosis of malignant mesothelioma, adenocarcinoma and reactive mesothelial cells: A logistic regression analysis,DIAGNOSTIC CYTOPATHOLOGY, Issue 1 2009Ebru Cakir M.D. Abstract Distinguishing malignant mesothelioma, adenocarcinoma and reactive mesothelial proliferation in both cytologic and surgical pathologic specimens is often a diagnostic challenge. Conventional cytomorphologic assessment is an important step in the differential diagnosis of these entities. The pleural effusion cytologies from 40 cases of malignant mesothelioma, 40 cases of adenocarcinoma and 30 cases of reactive mesothelial proliferation diagnosed between 1997 and 2007 were reviewed. Twenty-seven cytologic features which are regarded as useful in the differential diagnosis of mesothelioma, adenocarcinoma and benign mesothelial proliferation were assessed. These cytologic features were subjected to a stepwise logistic regression analysis. Three features were selected to distinguish malignant mesothelioma from adenocarcinoma: giant atypical mesothelial cell (P = 0.0001), nuclear pleomorphism (P = 0.0001) and acinar structures (P = 0.0001), the latter two being characteristics of adenocarcinoma. The variables selected to differentiate malignant mesothelioma from reactive mesothelial cells were: cell ball formation (P = 0.0001), cell in cell engulfment (P = 0.0001) and monolayer cell groups (P = 0.0001), the latter being a feature of benign mesothelial proliferation. When these selected variables were subjected to a stepwise logistic regression analysis, the logistic model correctly predicted 90% of cases of benign mesothelial proliferation versus 97.5% of malignant mesothelioma and 92.5% of malignant mesothelioma versus 92.5% of adenocarcinoma. Conventional cytomorphologic assessment is the first step to establish an accurate diagnosis in pleural effusions. Several cytologic features have predictive value to seperate malignant mesothelioma from adenocarcinoma and reactive mesothelial proliferation. Diagn. Cytopathol. 2009. © 2008 Wiley-Liss, Inc. [source] A latitudinal gradient of beta diversity for exotic vascular plant species in North AmericaDIVERSITY AND DISTRIBUTIONS, Issue 3 2008Hong Qian ABSTRACT Determining relationships between the ranges of introduced species and geographical and environmental factors is an important step in understanding the mechanisms and processes of the spread of introduced species. In this study, I examined the beta diversity and latitude relationship for all naturalized exotic species of vascular plants in North America at a continental scale. Beta diversity was calculated as the absolute value of the slope of the relationship between the natural logarithm of the Simpson index of similarity (lnS) and spatial distance between pairs of state-level exotic floras within four latitudinal zones examined. Relative contributions of spatial distance and environmental difference to species turnover between exotic floras were examined. I found that beta diversity decreased monotonically from low to high latitudes: beta diversity for the southernmost zone was shallower than that for the northernmost zone by a factor of 2.6. Regression models of lnS in relation to spatial distance and environmental (climatic and topographical) difference for each latitudinal zone demonstrated that the explanatory power of these variables diminishes monotonically with latitude: the explained variance in lnS is 70.4%, 62.1%, 53.9%, and 33.9%, respectively, for the four latitudinal zones from south to north. For the southernmost zone, 58.3% of the variance in lnS is explained by climate variables and topography, and spatial distance explains only 2.3% of the variance. In contrast, for the northernmost zone, more than half the amount (22.5%) of the explained variance in lnS is attributable to spatial distance, and the remaining (18.9%) of the explained variance is attributable to climate variables and topography. [source] Community effects of praying mantids: a meta-analysis of the influences of species identity and experimental designECOLOGICAL ENTOMOLOGY, Issue 4 2002William F. Fagan Abstract ,1. Generalist arthropod predators are ubiquitous in terrestrial ecosystems but experimental studies have yielded little agreement as to their effects on prey assemblages. Drawing on results from a suite of experimental field studies, a meta-analysis was conducted of the impact of praying mantids (Mantodea: Mantidae) on arthropod assemblages in order to identify predictable and unpredictable effects of these extremely generalised predators. 2. Results across different experiments were synthesised using the log response ratio framework, with a focus on quantifying net mantid impacts on arthropod density across taxonomic orders and trophic levels of arthropods, paying special attention to the contribution of mantid species identity and experimental design variables, such as the use of cages, length of experiment, and manipulated mantid density. 3. Calculated on a per mantid-day basis, the net impacts of Tenodera sinensis on arthropod density were generally weaker but more predictable than the effects of Mantis religiosa. Mantids in general had weak negative effects on density for most taxa but exhibited strong negative and positive effects on some taxa. Tenodera sinensis tended to have negative effects on Homoptera, Diptera, and Hemiptera and herbivores as a group, however M. religiosa exhibited greater variation in response of different taxa that appeared to be affected more strongly by experimental design. The effects of Stagmomantis carolina tended to be negative or non-significant. 4. Experimental cages had little influence on either the sign or magnitude of net community impacts for T. sinensis, however cage experiments reversed the sign of the mean effect for two of six taxonomic orders when the experimental predator was M. religiosa. Cages also increased the variability of effect size greatly for M. religiosa but not for T. sinensis. 5. It was concluded that it is possible to use log response ratios to determine general, predictable trends in a well-studied system. Similar meta-analyses of generalist predator effects in other systems should produce predictions of how these predators influence food webs, an important step towards defining more clearly the influences of generalist predators on community structure and dynamics. [source] The effect of concentrated smoke products on the restoration of highly disturbed mineral sands in southeast VictoriaECOLOGICAL MANAGEMENT & RESTORATION, Issue 2 2003By Terry D. Coates Summary Recent studies have recognized the potential of broad-scale surface application of smoke compounds for enhancing germination from the soil seed-bank in fire-prone vegetation communities. Results suggest that smoke technology may play, in the future, a significant role in the restoration and management of areas supporting indigenous vegetation. An important step in the development of smoke-based restoration tools is the conduct of in situ field trials in a range of geographical locations and environmental conditions. However, most of the published work on the effectiveness of smoke products in promoting seedbank germination has been conducted at sites in southwestern Australia. The present study examines the effect of commercially available smoke-water products on the regeneration of a highly disturbed former mine-site at the Royal Botanic Gardens Cranbourne, in southeastern Victoria. Various combinations of concentrated smoke products and topsoil harvested from a nearby heathy woodland community were applied to exposed, uniform mineral sands to test their effect on seedling density and species richness of regrowth. The trials showed that after 12 months a number of common, herbaceous species including Austrodanthonia setacea, Opercularia varia and Platysace heterophylla were recorded in significantly higher numbers in areas treated with a commercial smoke-water. However, there was no overall improvement in the density of seedlings or the richness of species as a result of the application of the smoke products. Similarly, total seedling density and species richness were not affected by the addition of topsoil, either alone or in combination with smoke products. [source] Conservation and management of the Arctic charr: a forward viewECOLOGY OF FRESHWATER FISH, Issue 1 2007C. E. Adams Abstract , In this study, we synthesised the views of 34 participants in a workshop to consider the status and future conservation and management of the Arctic charr (Salvelinus alpinus L.). These are expressed as a series of resolutions deriving from a conference on Arctic charr conservation held in Perth, Scotland in June 2004. Agreed resolutions from the conference were as follows. (i) The unique diversity of Arctic charr should be recognised for the contribution it makes to biodiversity of northern aquatic communities. (ii) The recognition by the public, nongovernmental organisations and national governments of the importance of Arctic charr in northern ecosystems is an important step to the management and protection that should be pursued. (iii) The taxonomic status of highly variable charr populations requires to be reviewed. (iv) There should be a separate system, complementary to the taxonomic one, which systematically catalogues the biological diversity of S. alpinus. (v) The Arctic charr provides a unique natural resource to study the process of evolution and this requires the highest level of protection from anthropogenic effects. (vi) The status of conservation policy for Arctic charr needs to be urgently reviewed to take account of its unique position in the fauna. [source] Mutations for the peopleEMBO MOLECULAR MEDICINE, Issue 5 2010Vessela Kristensen Abstract Similar cancer types may nevertheless differ widely in the genetic mutations they carry. In this Closeup, Kristensen and Borresen-Dale discuss how identifying these mutations can define which therapy is most likely to succeed in eliminating the cancerous cells and how the methodology developed by Dias-Santagata et al and described in this issue, is an important step in making mutation screening a reality in the clinical practice worldwide. See related article by Dias-Santagata D et al DOI 10.1002/emmm.201000070 [source] Development and field validation of a predictive copper toxicity model for the green alga Pseudokirchneriella subcapitataENVIRONMENTAL TOXICOLOGY & CHEMISTRY, Issue 10 2003Karel A. C. De Schamphelaere Abstract In this sudy, the combined effects of pH, water hardness, and dissolved organic carbon(DO) concentration and type on the chronic (72-h) effect of copper on growth inhibition of the green alga Pseudokirchneriella subcapitata were investigated. Natural dissolved organic matter (DOM) was collected at three sites in Belgium and The Netherlands using reverse osmosis. A full central composite test design was used for one DOM and a subset of the full design for the two other DOMs. For a total number of 35 toxicity tests performed, 72-h effect concentration resulting in 10% growth inhibition (EbC10s) ranged from 14.2 to 175.9 ,g Cu/L (factor 12) and 72-h EbC50s from 26.9 to 506.8 ,g Cu/L (factor 20). Statistical analysis demonstrated that DOC concentration, DOM type, and pH had a significant effect on copper toxicity; hardness did not affect toxicity at the levels tested. In general, an increase in pH resulted in increased toxicity, whereas an increase of the DOC concentration resulted in decreased copper toxicity. When expressed as dissolved copper, significant differences of toxicity reduction capacity were noted across the three DOM types tested (up to factor 2.5). When expressed as Cu2+ activity, effect levels were only significantly affected by pH; linear relationships were observed between pH and the logarithm of the effect concentrations expressed as free copper ion activity, that is, log(EbC50) and log(EbC10): (1) log(EbC50) = ,1.431 pH + 2.050 (r2 = 0.95), and (2) log(EbC10) = ,1.140 pH , 0.812 (r2 = 0.91). A copper toxicity model was developed by linking these equations to the WHAM V geochemical speciation model. This model predicted 97% of the EbC50dissolved and EbC10dissolved values within a factor of two of the observed values. Further validation using toxicity test results that were obtained previously with copper-spiked European surface waters demonstrated that for 81% of tested waters, effect concentrations were predicted within a factor of two of the observed. The developed model is considered to be an important step forward in accounting for copper bioavailability in natural systems. [source] Many zeros does not mean zero inflation: comparing the goodness-of-fit of parametric models to multivariate abundance dataENVIRONMETRICS, Issue 3 2005David I. Warton Abstract An important step in studying the ecology of a species is choosing a statistical model of abundance; however, there has been little general consideration of which statistical model to use. In particular, abundance data have many zeros (often 50,80 per cent of all values), and zero-inflated count distributions are often used to specifically model the high frequency of zeros in abundance data. However, in such cases it is often taken for granted that a zero-inflated model is required, and the goodness-of-fit to count distributions with and without zero inflation is not often compared for abundance data. In this article, the goodness-of-fit was compared for several marginal models of abundance in 20 multivariate datasets (a total of 1672 variables across all datasets) from different sources. Multivariate abundance data are quite commonly collected in applied ecology, and the properties of these data may differ from abundances collected in autecological studies. Goodness-of-fit was assessed using AIC values, graphs of observed vs expected proportion of zeros in a dataset, and graphs of the sample mean,variance relationship. The negative binomial model was the best fitting of the count distributions, without zero-inflation. The high frequency of zeros was well described by the systematic component of the model (i.e. at some places predicted abundance was high, while at others it was zero) and so it was rarely necessary to modify the random component of the model (i.e. fitting a zero-inflated distribution). A Gaussian model based on transformed abundances fitted data surprisingly well, and rescaled per cent cover was usually poorly fitted by a count distribution. In conclusion, results suggest that the high frequency of zeros commonly seen in multivariate abundance data is best considered to come from distributions where mean abundance is often very low (hence there are many zeros), as opposed to claiming that there are an unusually high number of zeros compared to common parametric distributions. Copyright © 2005 John Wiley & Sons, Ltd. [source] Risk factors for faecal sand excretion in Icelandic horsesEQUINE VETERINARY JOURNAL, Issue 4 2005L. HUSTED Summary Reasons for performing study: Sandy soil is often mentioned as a risk factor in the development of sand-related gastrointestinal disease (SGID) in the horse. There are other variables, but few studies confirm any of these. Objective: To investigate soil type, pasture quality, feeding practice in the paddock, age, sex and body condition score as risk factors for sand intake in the horse. Methods: Faeces were collected from 211 Icelandic horses on 19 different studs in Denmark together with soil samples and other potential risk factors. Sand content in faeces determined by a sand sedimentation test was interpreted as evidence of sand intake. Soil types were identified by soil analysis and significance of the data was tested using logistic analysis. Results: Of horses included in the study, 56.4% showed sand in the faeces and 5.7% had more than 5 mm sand as quantified by the rectal sleeve sedimentation test. Soil type had no significant effect when tested as main effect, but there was interaction between soil type and pasture quality. Significant interactions were also found between paddock feeding practice and pasture quality. Conclusion: To evaluate the risk of sand intake it is important to consider 3 variables: soil type, pasture quality and feeding practice. Pasture quality was identified as a risk factor of both short and long grass in combination with sandy soil, while clay soil had the lowest risk in these combinations. Feeding practice in the paddock revealed feeding directly on the ground to be a risk factor when there was short (1,5 cm) or no grass. Also, no feeding outdoors increased the risk on pastures with short grass, while this had no effect in paddocks with no grass. More than 50% of all horses investigated in this study had sand in the faeces. Potential relevance: The identification of risk factors is an important step towards prevention of SGID. Further research is necessary to determine why some horses exhibit more than 5 mm sand in the sedimentation test and whether this is correlated with geophagic behaviour. [source] Semantic confusion regarding the development of multisensory integration: a practical solutionEUROPEAN JOURNAL OF NEUROSCIENCE, Issue 10 2010Barry E. Stein Abstract There is now a good deal of data from neurophysiological studies in animals and behavioral studies in human infants regarding the development of multisensory processing capabilities. Although the conclusions drawn from these different datasets sometimes appear to conflict, many of the differences are due to the use of different terms to mean the same thing and, more problematic, the use of similar terms to mean different things. Semantic issues are pervasive in the field and complicate communication among groups using different methods to study similar issues. Achieving clarity of communication among different investigative groups is essential for each to make full use of the findings of others, and an important step in this direction is to identify areas of semantic confusion. In this way investigators can be encouraged to use terms whose meaning and underlying assumptions are unambiguous because they are commonly accepted. Although this issue is of obvious importance to the large and very rapidly growing number of researchers working on multisensory processes, it is perhaps even more important to the non-cognoscenti. Those who wish to benefit from the scholarship in this field but are unfamiliar with the issues identified here are most likely to be confused by semantic inconsistencies. The current discussion attempts to document some of the more problematic of these, begin a discussion about the nature of the confusion and suggest some possible solutions. [source] Multilayer Amorphous-Si-B-C-N/,-Al2O3/,-Al2O3 Membranes for Hydrogen Purification,,ADVANCED ENGINEERING MATERIALS, Issue 6 2010Ravi Mohan Prasad Abstract The hydrogen and carbon monoxide separation is an important step in the hydrogen production process. If H2 can be selectively removed from the product side during hydrogen production in membrane reactors, then it would be possible to achieve complete CO conversion in a single-step under high temperature conditions. In the present work, the multilayer amorphous-Si-B-C-N/,-Al2O3/,-Al2O3 membranes with gradient porosity have been realized and assessed with respect to the thermal stability, geometry of pore space and H2/CO permeance. The ,-Al2O3 support has a bimodal pore-size distribution of about 0.64 and 0.045 µm being macroporous and the intermediate ,-Al2O3 layer,deposited from boehmite colloidal dispersion,has an average pore-size of 8,nm being mesoporous. The results obtained by the N2 -adsorption method indicate a decrease in the volume of micropores,0.35 vs. 0.75,cm3,g,1,and a smaller pore size ,6.8 vs. 7.4 Å,in membranes with the intermediate mesoporous ,-Al2O3 layer if compared to those without. The three times Si-B-C-N coated multilayer membranes show higher H2/CO permselectivities of about 10.5 and the H2 permeance of about 1.05,×,10,8 mol m,2 s,1 Pa,1. If compared to the state of the art of microporous membranes, the multilayer Si-B-C-N/,-Al2O3/,-Al2O3 membranes are appeared to be interesting candidates for hydrogen separation because of their tunable nature and high-temperature and high-pressure stability. [source] The Politics of a European Civil CodeEUROPEAN LAW JOURNAL, Issue 6 2004Martijn W. Hesselink That plan forms an important step towards a European Civil Code. In its Plan, the Commission tries to depoliticise the codification process by asking a group of academic experts to prepare what it calls a ,common frame of reference'. This paper argues that drafting a European Civil Code involves making many choices that are essentially political. It further argues that the technocratic approach which the Commission has adopted in the Action Plan effectively excludes most stakeholders from having their say during the stage when the real choices are made. Therefore, before the drafting of the CFR/ECC starts, the Commission should submit a list of policy questions regarding the main issues of European private law to the European Parliament and the other stakeholders. Such an alternative procedure would repoliticise the process. It would increase the democratic basis for a European Civil Code and thus its legitimacy. [source] Is retinoic acid genetic machinery a chordate innovation?EVOLUTION AND DEVELOPMENT, Issue 5 2006Cristian Cañestro SUMMARY Development of many chordate features depends on retinoic acid (RA). Because the action of RA during development seems to be restricted to chordates, it had been previously proposed that the "invention" of RA genetic machinery, including RA-binding nuclear hormone receptors (Rars), and the RA-synthesizing and RA-degrading enzymes Aldh1a (Raldh) and Cyp26, respectively, was an important step for the origin of developmental mechanisms leading to the chordate body plan. We tested this hypothesis by conducting an exhaustive survey of the RA machinery in genomic databases for twelve deuterostomes. We reconstructed the evolution of these genes in deuterostomes and showed for the first time that RA genetic machinery,that is Aldh1a, Cyp26, and Rar orthologs,is present in nonchordate deuterostomes. This finding implies that RA genetic machinery was already present during early deuterostome evolution, and therefore, is not a chordate innovation. This new evolutionary viewpoint argues against the hypothesis that the acquisition of gene families underlying RA metabolism and signaling was a key event for the origin of chordates. We propose a new hypothesis in which lineage-specific duplication and loss of RA machinery genes could be related to the morphological radiation of deuterostomes. [source] Mapacalcine specifically blocks hypoxia-induced calcium influx in rat hepatocytesFEBS JOURNAL, Issue 9 2003Dominique Crenesse Post ischaemic cell calcium invasion has been described as one of the main causes of graft failure. Protective effects of calcium antagonists have been investigated but are not convincing and their mechanisms of action remain unclear. In this work we tested the protective effect of a new calcium inhibitor described to block a calcium current insensitive to all known calcium blockers. Specific mapacalcine receptors were first characterized on rat hepatocytes membranes using the 125I-labeled mapacalcine. 45Ca fluxes were then measured on cultured hepatocytes submitted (or not) to an hypoxic period. The action of mapacalcine was investigated on the ischaemia-induced calcium influx. We demonstrate here that: (a) there are specific receptors for mapacalcine in rat hepatocytes; (b) Mapacalcine is able to specifically block ischaemia,induced calcium influx with an IC50 of 0.3 µm and does not significantly interact with the basal calcium flux. Our work demonstrates that the mapacalcine receptor is a cellular structure directly involved in the phenomenon of postischaemic cell invasion by calcium. Specific block of ischaemia-induced Ca2+ influx by mapacalcine suggests that the development of a panel of pharmacological drugs acting on this receptor could lead to the discovery of therapeutic agents able to protect cells against one of the events responsible for organ failure after transplantation or simply after an ischaemic period. Moreover, identification of the cellular protein which binds mapacalcine may become an important step in the research of mechanisms involved in postischaemic cell invasion by calcium. [source] Aggregative adherence of uropathogenic Proteus mirabilis to cultured epithelial cellsFEMS IMMUNOLOGY & MEDICAL MICROBIOLOGY, Issue 2 2007Sérgio P.D. Rocha Abstract Proteus mirabilis is an important cause of urinary tract infection (UTI) in patients with complicated urinary tracts. Thirty-five strains of P. mirabilis isolated from UTI were examined for the adherence capacity to epithelial cells. All isolates displayed the aggregative adherence (AA) to HEp-2 cells, a phenotype similarly presented in LLC-MK2 cells. Biofilm formation on polystyrene was also observed in all strains. The mannose-resistant Proteus -like fimbriae (MR/P), Type I fimbriae and AAF/I, II and III fimbriae of enteroaggregative Escherichia coli were searched by the presence of their respective adhesin-encoding genes. Only the MR/P fimbrial subunits encoding genes mrpA and mrpH were detected in all isolates, as well as MR/P expression. A mutation in mrpA demonstrated that MR/P is involved in aggregative adherence to HEp-2 cells, as well as in biofilm formation. However, these phenotypes are multifactorial, because the mrpA mutation reduced but did not abolish both phenotypes. The present results reinforce the importance of MR/P as a virulence factor in P. mirabilis due to its association with AA and biofilm formation, which is an important step for the establishment of UTI in catheterized patients. [source] Human salivary aggregation in Streptococcus intermedius type g strains: relationship with IgAFEMS IMMUNOLOGY & MEDICAL MICROBIOLOGY, Issue 2 2004Taihei Yamaguchi Abstract Bacterial aggregation is an important step in elimination from the human body to protect against infection. Streptococcus intermedius K1K aggregates in human saliva. In this study, the salivary agglutinin was identified. The aggregation level was very strong in sonic-treated saliva and 1-,m filtrate. Preincubation of human saliva with anti-human , chain serum or anti-human whole saliva serum completely inhibited aggregation, but preincubation with anti-human , chain serum or anti-Fc fragment of human IgG serum had no effect. Agglutinin of human saliva that could aggregate the strain K1K was purified using DEAE,Sepharose CL-6B, Phenyl,Sepharose CL-4B and Sephacryl S200HR gel filtration. Purified salivary agglutinin was characterized with electrophoresis and immunological techniques, indicating that purified material was IgA. Bacterial aggregation was dependent on the presence of calcium. Saliva filtrate specimens from eight healthy men and eight women showed different aggregation activities. Three men and one woman had little activity. These data show that the present bacterial aggregation was an immunoreaction between IgA in saliva and the bacteria dependent on the levels of calcium. In addition, the IgA in human saliva related with possible calcium-dependent antigen(s) on the surface of strain K1K. [source] Principles and approaches to abate seabird by-catch in longline fisheriesFISH AND FISHERIES, Issue 1 2005Eric Gilman Abstract Mortality in longline fisheries is a critical global threat to most albatross and large petrel species. Here we identify key principles and approaches to identify and achieve broad use of effective seabird by-catch avoidance methods. Despite the availability of highly effective and cost-saving seabird avoidance methods, few longline fleets employ them. Given the political context and capacity of management authorities of the majority of longline fisheries, it is critical to identify seabird avoidance strategies that are not only highly effective, but are also economically viable and commercially practical. Adoption of an international performance standard for longline baited hook,sink rate, and prescribing minimum gear weighting designs that meet this standard that are achievable by all longline fisheries, would be an important step forward towards resolving low use of seabird avoidance methods by vessels, including those in illegal, unregulated and unreported fisheries. Due to differences between fleets, no single seabird avoidance measure is likely to be effective and practical in all longline fisheries. Therefore, testing of seabird avoidance methods in individual fleets is needed to determine efficacy and economic viability. Longline fishers should directly participate in these trials as they have a large repository of knowledge and skills to effectively develop and improve seabird by-catch avoidance techniques, and this provides industry with a sense of ownership for uptake of effective by-catch reduction methods. Establishing protected areas containing seabird colonies and adjacent waters within a nation's EEZ can be an expedient method to address seabird by-catch. However, establishing high seas marine protected areas to restrict longline fishing in seabird foraging areas, which would require extensive and dynamic boundaries and large buffer zones, may not be a viable short-term solution because of the extensive time anticipated to resolve legal complications with international treaties, to achieve international consensus and political will, and to acquire requisite extensive resources for surveillance and enforcement. Analysis of results of research on seabird avoidance methods reveals that the most reliable comparisons of the efficacy of alternative strategies are from comparing the effectiveness of methods tested in a single experiment. Benefits from standardizing the reporting of seabird by-catch rates to account for seabird abundance are described. To provide the most precise inputs for seabird population models, estimates of seabird mortality in longline fisheries should account for seabird falloff from hooks before hauling, delayed mortality of seabirds caught but freed from gear, and mortality caused by hooks discarded in offal. [source] Flexible, Stretchable, Transparent Conducting Films Made from Superaligned Carbon NanotubesADVANCED FUNCTIONAL MATERIALS, Issue 6 2010Chen Feng Abstract A straightforward roll-to-roll process for fabricating flexible and stretchable superaligned carbon nanotube films as transparent conducting films is demonstrated. Practical touch panels assembled by using these carbon nanotube conducting films are superior in flexibility and wearability,and comparable in linearity,to touch panels based on indium tin oxide (ITO) films. After suitable laser trimming and deposition of Ni and Au metal, the carbon nanotube film possesses excellent performance with two typical values of sheet resistances and transmittances (208,, ,,1, 90% and 24,, ,,1, 83.4%), which are comparable to ITO films and better than the present carbon nanotube conducting films in literature. The results provide a route to produce transparent conducting films more easily, effectively, and cheaply, an important step for realizing industrial-scale applications of carbon nanotubes for transparent conducting films. [source] Roles of partly unfolded conformations in macromolecular self-assemblyGENES TO CELLS, Issue 1 2001Keiichi Namba From genes to cells there are many steps of hierarchical increments in building up complex frameworks that provide intricate networks of macromolecular interactions, through which cellular activities such as gene expression, signal processing, energy transduction and material conversion are dynamically organized and regulated. The self-assembly of macromolecules into large complexes is one such important step, but this process is by no means a simple aggregation of macromolecules with predefined, rigid complementary structures. In many cases the component molecules undergo either domain rearrangements or folding of disordered portions, which occurs only following binding to their correct partners. The partial disorder is used in some cases to prevent spontaneous assembly at inappropriate times or locations. It is also often used for finely tuning the equilibrium and activation energy of reversible binding. In other cases, such as protein translocation across membranes, an unfolded terminus appears to be the prerequisite for the process as an initiation signal, as well as the physical necessity to be taken into narrow channels. Self-assembly processes of viruses and bacterial flagella are typical examples where the induced folding of disordered chains plays a key role in regulating the addition of new components to a growing assembly. Various aspects of mechanistic roles of natively unfolded conformations of proteins are overviewed and discussed in this short review. [source] Clubs, Spades, Diamonds and Disadvantage: the Geography of Electronic Gaming Machines in MelbourneGEOGRAPHICAL RESEARCH, Issue 1 2001D.C. Marshall Opportunities to gamble, particularly on electronic gaming machines (EGMs) have been rapidly increasing in Australia during the 1990s. The increase in expenditure on gambling and the related problems have subsequently become a growing concern, particularly in relation to disadvantaged sectors of the population. Given this, the development of a geography of gambling is an important step in understanding the implications of this rapidly expanding industry. This paper addresses this issue at two distinct geographical scales in metropolitan Melbourne and considers the distribution of EGMs in relation to levels of economic well-being. Findings suggest that patterns evident at the wider Melbourne scale of greater concentration of EGMs in less advantaged regions are also reflected at a local level. These findings are related to the wider issues of accessibility to gambling facilities and problem gambling. [source] Organic Light-Emitting Diodes Based on Poly(9,9-dioctylfluorene- co -bithiophene) (F8T2)ADVANCED FUNCTIONAL MATERIALS, Issue 6 2009Peter A. Levermore Abstract A study of the optical properties of poly(9,9-dioctylfluorene- co -bithiophene) (F8T2) is reported, identifying this polymer as one that possesses a desirable combination of charge transport and light emission properties. The optical and morphological properties of a series of polymer blends with F8T2 dispersed in poly(9,9-dioctylfluorene) (PFO) are described and almost pure-green emission from light emitting diodes (LEDs) based thereon is demonstrated. High luminance green electroluminescence from LEDs using only a thin film of F8T2 for emission is also reported. The latter demonstration for a polymer previously primarily of interest for effective charge transport constitutes an important step in the development of emissive materials for applications where a union of efficient light emission and effective charge transport is required. [source] Retroviral labeling of Schwann cells: In vitro characterization and in vivo transplantation to improve peripheral nerve regenerationGLIA, Issue 1 2001Afshin Mosahebi Abstract Transplantation of Schwann cells (SCs) is a promising treatment modality to improve neuronal regeneration. Identification of the transplanted cells is an important step when studying the development of this method. Genetic labeling is the most stable and reliable method of cell identification, but it is still unclear whether it has deleterious effect on SC characteristics. Our aim was to achieve a stable population of SCs transduced with the lacZ gene at a high frequency using a retroviral vector in vitro, and to follow the labeled SC in vitro to assess their viability and phenotypic marker expression. Furthermore, we transplanted lacZ -labeled SCs in a conduit to repair peripheral nerve to investigate their effect on nerve regeneration in vivo. Rat and human SCs were cultured and transduced with an MFG lacZ nls marker gene, achieving a transduction rate of 80% and 70%, respectively. Rat SCs were kept in culture for 27 weeks and examined every 4 weeks for expression of lacZ, viability, and phenotypic marker expression of GFAP, p75, MHC I and II. Throughout this period, transduced rat SCs remained viable and continued to proliferate. The proportion of cells expressing lacZ dropped only by 10% and the expression of phenotypic markers remained stable. Transduced human SCs were followed up for 4 weeks in culture. They proliferated and continued to express the lacZ gene and phenotypic marker expression of GFAP and p75 was preserved. Primary culture of transduced rat SCs were transplanted, syngeneically, in a conduit to bridge a 10 mm gap in sciatic nerve and the grafts were examined after 3 weeks for the presence and participation of labeled SCs and for axonal regeneration distance. Transplanted transduced rat SCs were clearly identified, taking part in the regeneration process and enhancing the axonal regeneration rate by 100% (at the optimal concentration) compared to conduits without SCs. Thus, retroviral introduction of lacZ gene has no deleterious effect on SCs in vitro and these SCs take part and enhance nerve regeneration in vivo. GLIA 34:8,17, 2001. © 2001 Wiley-Liss, Inc. [source] One-Step Process for Creating Triple-Shape Capability of AB Polymer NetworksADVANCED FUNCTIONAL MATERIALS, Issue 1 2009Marc Behl Abstract Triple-shape polymers can move from a first shape (A) to a second shape (B) and from there to a third shape (C), where both shape changes are induced by temperature increases. This triple-shape capability is obtained for multiphase polymer networks after application of a complex thermomechanical programming process, which consists of two steps; these steps create shapes (B) and (A), while shape (C) is defined by the covalent crosslinks of the polymer network. Here, the creation of the triple-shape capability for an AB polymer network system by a simple one-step process similar to a conventional dual-shape programming process is reported. The polymer networks are based on poly(, -caprolactone) (PCL) and poly(cyclohexyl methacrylate); favorable compositions for obtaining a triple shape effect have a PCL content between 35 and 60 wt%. This finding substantially facilitates handling of the triple-shape technology and is an important step toward the realization of potential applications in which more than one shape change is required. [source] |