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Limited Ability (limited + ability)
Selected AbstractsLimited ability of Palestine Sunbirds Nectarinia osea to cope with pyridine alkaloids in nectar of Tree Tobacco Nicotiana glaucaFUNCTIONAL ECOLOGY, Issue 6 2004H. TADMOR-MELAMED Summary 1Secondary compounds are common in floral nectar but their relative effects on nectar consumption and utilization in nectarivorous birds are unclear. 2We studied the effect of two pyridine alkaloids, nicotine and anabasine, present in Tree Tobacco (Nicotiana glauca) nectar, on food consumption, gut transit time and sugar assimilation efficiency of the Palestine Sunbird (Nectarinia osea), a pollinator of N. glauca in east Mediterranean ecosystems. 3Sunbirds demonstrated dose-dependent deterrence; they were not deterred by the lowest natural concentrations of these alkaloids in nectar (0·1 ppm nicotine and 0·6 ppm anabasine) but they were significantly deterred by the average concentrations detected in nectar (0·5 ppm nicotine and 5 ppm anabasine). 4The two pyridine alkaloids reduced gut transit time (by 30,42%) and sugar assimilation efficiency (by 9,17%) compared with the control alkaloid-free diet. 5Sunbirds are able to cope with low, but not average, concentrations of nicotine and anabasine in N. glauca nectar. If sunbirds are efficient pollinators of N. glauca they may induce selection on it to reduce pyridine alkaloid production in the nectar. Alternatively, high concentrations in some N. glauca plants may lead the birds to visit more plants with lower alkaloid concentrations. Hence, they will be more efficient pollinators, especially if other nectar-producing plants are scarce. [source] Sensory biology of Phalangida harvestmen (Arachnida, Opiliones): a review, with new morphological data on 18 speciesACTA ZOOLOGICA, Issue 3 2009Rodrigo H. Willemart Abstract Phalangida includes three of the four suborders of Opiliones (Arachnida): Eupnoi, Dyspnoi and Laniatores. We review the literature on the sensory structures and capabilities of Phalangida, provide new morphological data for 18 species and discuss the 11 sensory structures that have been described in the group. Based on the published data encompassing both behaviour and morphology, three conclusions are apparent: (1) species of Phalangida appear to have limited abilities to detect stimuli at a distance; (2) close range olfaction probably helps to find foods with strong odours, but (3) they appear to be highly dependent on contact chemoreception to detect live prey, predators and mates. We also highlight the fact that legs I in the three suborders and pedipalps in Dyspnoi and Eupnoi are very important sensory appendages, thus legs II should not be called the ,sensory appendages' of harvestmen. In conclusion, we highlight the fact that the sensory capabilities, diet, prey capturing and handling ability, and foraging behaviour of species of Phalangida seem to be different from those of most other arachnids. Finally, we suggest future directions for studies in the field of the sensory system of the group. [source] Screening when some agents are nonstrategic: does a monopoly need to exclude?THE RAND JOURNAL OF ECONOMICS, Issue 4 2006Sergei Severinov We characterize the optimal screening mechanism for a monopolist facing consumers with privately known demands, some of whom have limited abilities to misrepresent their preferences. We show that consumers with better abilities to misrepresent information benefit from the presence of consumers who lack such abilities. Whenever the fraction of the latter group is positive, there is no exclusion: the firm supplies a positive quantity of the good to all consumers whose valuations exceed marginal cost of production. Our analysis is motivated by the evidence indicating that some individuals have limited ability to misrepresent themselves and imitate others. [source] Toward Adaptive Community Forest Management: Integrating Local Forest Knowledge with Scientific Forestry,ECONOMIC GEOGRAPHY, Issue 1 2002Daniel James Klooster Abstract: This case study of indigenous communities in highland Michoacán, Mexico, examines data on forest change, woodcutting practices, social history, and a recent forest inventory and management plan prepared by a professional forester. It assesses the social and environmental fit of both local knowledge and scientific forestry and considers their abilities to contribute to sustainable forest management. Both bodies of knowledge are limited in their ability to inform the social practice of environmental management. The local forest knowledge system is particularly hampered by a limited ability to monitor the forest's response to woodcutting, while scientific forestry lacks the institutional flexibility to ensure the just and effective implementation of restrictions and prescriptions. This article recommends cross-learning between scientific resource managers and woodcutters, participatory environmental monitoring to assess the results of different cutting techniques, and explicit management experiments to facilitate institutional learning at the community level. This kind of adaptive management approach permits the flexible integration of local knowledge, scientific forestry, and appropriate institutional parameters to modulate human needs and goals with the discordant harmonies of inhabited and heavily used forests in a constant state of flux under processes of succession, disturbance, and spatial variation. Several barriers to this kind of institutional innovation exist, but outside intervention has the potential to change the dynamics of institutional evolution. [source] Exacerbation of experimental autoimmune encephalomyelitis in rodents infected with murine gammaherpesvirus-68EUROPEAN JOURNAL OF IMMUNOLOGY, Issue 7 2003James Abstract Viral infections have long been suspected to play a role in the pathogenesis of multiple sclerosis. In the present study, two different rodent models of experimental autoimmune encephalomyelitis (EAE) were used to demonstrate the ability of murine gammaherpesvirus-68 (,HV-68) to exacerbate development of neurological symptoms. SJL mice received UV-inactivated ,HV-68 or intranasal,HV-68, followed by immunization against proteolipid-protein peptide 139,151. Infected mice became moribund within 10,days post-immunization, whereas mice exposed to UV-inactivated ,HV-68 recovered. In the second model, Lewis rats were exposed to UV-inactivated ,HV-68 or to ,HV-68, followed by passive transfer of encephalitogenic T lymphocytes specific for myelin basic protein. Consistently, infected rats had higher clinical scores, and this result was observed during acute or latent ,HV-68 infection. It is unlikely that this ,HV-68-induced exacerbation was due to significant viral replication within the central nervous system since nested PCR, viral plaque assays, and infectious-centers assays demonstrated no detectable virus in spinal cords or brains of infected rodents undergoing EAE. Taken together, these studies demonstrate increased clinical symptoms of EAE in rodents infected by a gammaherpesvirus that has a limited ability to invade the central nervous system. [source] Newborn human brain identifies repeated auditory feature conjunctions of low sequential probabilityEUROPEAN JOURNAL OF NEUROSCIENCE, Issue 10 2004Timo Ruusuvirta Abstract Natural environments are usually composed of multiple sources for sounds. The sounds might physically differ from one another only as feature conjunctions, and several of them might occur repeatedly in the short term. Nevertheless, the detection of rare sounds requires the identification of the repeated ones. Adults have some limited ability to effortlessly identify repeated sounds in such acoustically complex environments, but the developmental onset of this finite ability is unknown. Sleeping newborn infants were presented with a repeated tone carrying six frequent (P = 0.15 each) and six rare (P ,0.017 each) conjunctions of its frequency, intensity and duration. Event-related potentials recorded from the infants' scalp were found to shift in amplitude towards positive polarity selectively in response to rare conjunctions. This finding suggests that humans are relatively hard-wired to preattentively identify repeated auditory feature conjunctions even when such conjunctions occur rarely among other similar ones. [source] Population genetic structure reveals terrestrial affinities for a headwater stream insectFRESHWATER BIOLOGY, Issue 10 2007DEBRA S. FINN Summary 1. The spatial distribution of stream-dwelling organisms is often considered to be limited primarily according to the hierarchical structure of the hydrologic network, and previous conceptual models of population genetic structure have reflected this generality. Headwater specialists, however, are confined to short upstream sections of the network, and therefore are unlikely to respond in the same way as species with a broader range of habitat tolerance. 2. Here, we propose a model to describe spatial patterns of genetic diversity in headwater specialists with a limited ability for among-stream dispersal. The headwater model predicts a partitioning of genetic variance according to higher-elevation ,islands' of terrestrial habitat that provide required headwater stream conditions. The model therefore expects a geographic pattern of genetic variance similar to that expected for low-dispersal terrestrial species occupying the adjacent habitat. 3. Using a 1032-bp mitochondrial DNA fragment encompassing parts of the COI and COII genes, we demonstrate that Madrean Sky Islands populations of the giant water bug Abedus herberti conform to the proposed headwater model. Furthermore, they exhibit phylogeographic patterns broadly concordant with those shown for several terrestrial species in the region, including a major zone of discontinuity in the Chiricahua mountain range. 4. Overall, populations are highly isolated from one another, and a nested clade analysis suggested that A. herberti population structure, similarly to terrestrial Sky Islands species studied previously, has been influenced by Pleistocene climatic cycles causing expansion and contraction of temperate woodland habitat. 5. Because they have no ability to disperse among present-day mountaintop habitat islands, A. herberti and other headwater species with limited dispersal ability are vulnerable to the projected increasing rate of climatic warming in this region. [source] Using geophysical information to define benthic habitats in a large riverFRESHWATER BIOLOGY, Issue 1 2006DAVID L. STRAYER Summary 1. Most attempts to describe the distribution of benthic macroinvertebrates in large rivers have used local (grab-scale) assessments of environmental conditions, and have had limited ability to account for spatial variation in macroinvertebrate populations. 2. We tested the ability of a habitat classification system based on multibeam bathymetry, side-scan sonar, and chirp sub-bottom seismics to identify large-scale habitat units (,facies') and account for macroinvertebrate distribution in the Hudson River, a large tidal river in eastern New York. 3. Partial linear regression analysis showed that sediment facies were generally more effective than local or positional variables in explaining various aspects of the macroinvertebrate community (community structure, density of all invertebrates, density of fish forage, density of a pest species ,Dreissena polymorpha). 4. Large-scale habitats may be effective at explaining macroinvertebrate distributions in large rivers because they are integrative and describe habitat at the spatial scales of dominant controlling processes. [source] Can C4 plants contribute to aquatic food webs of subtropical streams?FRESHWATER BIOLOGY, Issue 6 2003Joanne E. Clapcott Summary 1. Recent stable isotope studies have revealed that C4 plants play a minor role in aquatic food webs, despite their often widespread distribution and production. We compared the breakdown of C3 (Eucalyptus) and C4 (Saccharum and Urochloa) plant litter in a small rain forest stream and used laboratory feeding experiments to determine their potential contribution to the aquatic food web. 2. All species of litter broke down at a fast rate in the stream, although Urochloa was significantly faster than Eucalyptus and Saccharum. This was consistent with the observed higher total organic nitrogen of Urochloa compared with the other two species. 3. The breakdown of Urochloa and Saccharum was, however, not associated with shredding invertebrates, which were poorly represented in leaf packs compared with the native Eucalyptus. The composition of the invertebrate fauna in packs of Urochloa quickly diverged from that of the other two species. 4. Feeding experiments using a common shredding aquatic insect Anisocentropus kirramus showed a distinct preference for Eucalyptus over both C4 species. Anisocentropus was observed to ingest C4 plant litter, particularly in the absence of other choices, and faecal material collected was clearly of C4 origin, as determined by stable isotope analysis. However, the stable carbon isotope values of the larvae did not shift away from their C3 signature in any of the feeding trials. 5. These data suggest that shredders avoid the consumption of C4 plants, in favour of native C3 species that appear to be of lower food quality (based on C : N ratios). Lower rates of consumption and lack of assimilation of C4 carbon also suggest that shredders may have a limited ability to process this material, even in the absence of alternative litter sources. Large scale clearing of forest and vegetation for C4 crops such as sugarcane will undoubtedly have important consequences for stream ecosystem function. [source] Effects of low calcium concentrations on two common freshwater crustaceans, Gammarus lacustris and Astacus astacusFUNCTIONAL ECOLOGY, Issue 3 2002N. A. Rukke Summary 1.,Field studies indicate that low Ca concentrations limit the distribution and success of Ca-demanding freshwater crustaceans in soft-water localities. A long-lasting depletion of Ca caused by reversed acidification could thus be detrimental to such species. 2.,Experimental studies of Gammarus lacustris and Astacus astacus revealed decreased survival and retarded growth at ambient Ca concentrations <5 mg l,1, compared with animals reared at 10 mg l,1. 3.,A significant proportion of the total body Ca content was lost during the moult, but moulting frequencies were not affected by ambient Ca concentration. Complete postmoult calcification of the carapace could not be achieved at ambient Ca concentrations <5 mg l,1, and individuals reared at such conditions had a lower specific Ca content than individuals reared at sufficient Ca levels. 4.,A juvenile bottleneck regarding the susceptibility to Ca deficiency was shown in G. lacustris, as neonates had a relatively higher mass-specific Ca content and a higher Ca threshold for survival than adults. 5.,Because of a short postmoult calcification period of less than 2 days, G. lacustris had limited ability to compensate for low water Ca levels by obtaining Ca from food. However, food might be an important source of Ca for A. astacus living at low ambient Ca, because eating could be resumed during the relatively long calcification period (>15 days). [source] The effect of daily caffeine use on cerebral blood flow: How much caffeine can we tolerate?HUMAN BRAIN MAPPING, Issue 10 2009Merideth A. Addicott Abstract Caffeine is a commonly used neurostimulant that also produces cerebral vasoconstriction by antagonizing adenosine receptors. Chronic caffeine use results in an adaptation of the vascular adenosine receptor system presumably to compensate for the vasoconstrictive effects of caffeine. We investigated the effects of caffeine on cerebral blood flow (CBF) in increasing levels of chronic caffeine use. Low (mean = 45 mg/day), moderate (mean = 405 mg/day), and high (mean = 950 mg/day) caffeine users underwent quantitative perfusion magnetic resonance imaging on four separate occasions: twice in a caffeine abstinent state (abstained state) and twice in a caffeinated state following their normal caffeine use (native state). In each state, there were two drug conditions: participants received either caffeine (250 mg) or placebo. Gray matter CBF was tested with repeated-measures analysis of variance using caffeine use as a between-subjects factor, and correlational analyses were conducted between CBF and caffeine use. Caffeine reduced CBF by an average of 27% across both caffeine states. In the abstained placebo condition, moderate and high users had similarly greater CBF than low users; but in the native placebo condition, the high users had a trend towards less CBF than the low and moderate users. Our results suggest a limited ability of the cerebrovascular adenosine system to compensate for high amounts of daily caffeine use. Hum Brain Mapp 2009. © 2009 Wiley-Liss, Inc. [source] Dismantling the Built Drawing: Working with Mood in Architectural DesignINTERNATIONAL JOURNAL OF ART & DESIGN EDUCATION, Issue 1 2010Randall TealArticle first published online: 15 MAR 2010 From the late Middle Ages onward an emphasis on the rational and the technical aspects of design and design drawing gained hold of architectural practice. In this transformation, the phenomenon of mood has been frequently overlooked or seen as something to be added on to a design; yet the fundamental grounding of mood, as described in Martin Heidegger's philosophy, is anything but secondary to our experience of the world. In fact, other facilities such as embodied experience, tactile and spatial awareness, and temporal perception all spring from the basic encounter with mood. In this article I describe how a lack of attunement to, and limited ability with, the various manifestations of mood perpetuates a disconnection between the architectural drawing and real buildings. I argue that as long as educational frameworks relegate the emotional and experiential to the place of a supplement, then our design processes will continue to unconsciously promote environments of thinness and superficiality. [source] Assessment of pulp vitality: a reviewINTERNATIONAL JOURNAL OF PAEDIATRIC DENTISTRY, Issue 1 2009VELAYUTHAM GOPIKRISHNA Background., One of the greatest diagnostic challenges in clinical practice is the accurate assessment of pulp status. This may be further complicated in paediatric dentistry where the practitioner is faced with a developing dentition, traumatized teeth, or young children who have a limited ability to recall a pain history for the tooth in question. A variety of pulp testing approaches exist, and there may be confusion as to their validity or appropriateness in different clinical situations. Aim., The aim of this paper is to provide the clinician with a comprehensive review of current pulp testing methods. A key objective is to highlight the difference between sensitivity testing and vitality testing. A biological basis for pulp testing is also provided to allow greater insight into the interpretation of pulp testing results. The rationale for, and methods of, assessing pulpal blood flow are described. [source] Disc structure function and its potential for repairINTERNATIONAL JOURNAL OF RHEUMATIC DISEASES, Issue 1 2002J. Melrose The intervertebral disc (IVD) is the largest predominantly avascular, aneural, alymphatic structure of the human body. It provides articulation between adjoining vertebral bodies and also acts as a weight-bearing cushion dissipating axially applied spinal loads. The IVD is composed of an outer collagen-rich annulus fibrosus (AF) and a central proteoglycan (PG)-rich nucleus pulposus (NP). Superior and inferior cartilaginous endplates (CEPs), thin layers of hyaline-like cartilage, cover the ends of the vertebral bodies. The AF is composed of concentric layers (lamellae) which contain variable proportions of type I and II collagen, this tissue has high tensile strength. The NP in contrast is a gelatinous PG-rich tissue which provides weight-bearing properties to the composite disc structure. With the onset of age, cells in the NP progressively die as this tissue becomes depleted of PGs, less hydrated and more fibrous as the disc undergoes an age-dependent fibrocartilaginous transformation. Such age-dependent cellular and matrix changes can decrease the discs' biomechanical competence and trauma can further lead to failure of structural components of the disc. Annular defects are fairly common and include vertebral rim-lesions, concentric (circumferential) annular tears (separation of adjacent annular lamellae) and radial annular tears (clefts which initiate within the NP). While vascular in-growth around annular tears has been noted, evidence from human post-mortem studies indicate they have a limited ability to undergo repair. Several experimental approaches are currently under evaluation for their ability to promote the repair of such annular lesions. These include growth of AF fibrochondrocytes on a resorbable polycaprolactone (PCL) bio-membrane.1 Sheets of fibrochondrocytes lay down type-I collagen and actin stress fibres on PCL. These matrix components are important for the spatial assembly of the collagenous lamella during annular development and correct phenotypic expression of cells in biomatrices.1 An alternative approach employs preparation of tissue engineered IVDs where AF and NP cells are separately cultured in polyglycolic acid and sodium alginate biomatrices, either separately or within a manifold designed to reproduce the required IVD dimensions for its use as a prospective implant device.2 AF and NP cells have also been grown on tissue culture inserts after their recovery from alginate bead culture to form plugs of tissue engineered cartilage.3 A key component in this latter strategy was the stimulation of the high density disc cell cultures with osteogenic protein-1 (OP-1) 200 ng/mL.3 This resulted in the production of tissue engineered AF and NP plugs with compositions, histochemical characteristics and biomechanical properties approaching those of the native disc tissues.2,3 Such materials hold reat promise in future applications as disc or annular implants. The introduction of appropriate genes into disc cells by gene transduction methodology using adenoviral vectors or ,gene-gun' delivery systems also holds considerable promise for the promotion of disc repair processes.4 Such an approach with the OP-1 gene is particularly appealing.5 The anchoring of discal implants to vertebral bodies has also been evaluated by several approaches. A 3D fabric based polyethylene biocomposite holds much promise as one such anchorage device6 while biological glues used to seal fibrocartilaginous structures such as the AF and meniscus8 following surgical intervention, also hold promise in this area. Several very promising new experimental approaches and strategies are therefore currently under evaluation for the improvement of discal repair. The aforementioned IVD defects are a common cause of disc failure and sites of increased nerve in-growth in symptomatic IVDs in man and are thus often sources of sciatic-type pain. Annular defects such as those described above have formerly been considered incapable of undergoing spontaneous repair thus a clear need exists for interventions which might improve on their repair. Based on the rapid rate of progress and the examples outlined above one may optimistically suggest that a successful remedy to this troublesome clinical entity will be developed in the not so distant future. References 1JohnsonWEBet al. (2001) Directed cytoskeletal orientation and intervertebral disc cell growth: towards the development of annular repair techniques. Trans Orthop Res Soc26, 894. 2MizunoHet al. (2001) Tissue engineering of a composite intervertebral disc. Trans Orthop Res Soc26, 78. 3MatsumotoTet al. (2001) Formation of transplantable disc shaped tissues by nucleus pulposus and annulus fibrosus cells: biochemical and biomechanical properties. Trans Orthop Res Soc26, 897. 4NishidaKet al. (2000) Potential applications of gene therapy to the treatment of intervertebral disc disorders. Clin Orthop Rel Res379 (Suppl), S234,S241. 5MatsumotoTet al. (2001) Transfer of osteogenic protein-1 gene by gene gun system promotes matrix synthesis in bovine intervertebral disc and articular cartilage cells. Trans Orthop Res Soc26, 30. 6ShikinamiY , Kawarada (1998) Potential application of a triaxial three-dimensional fabric (3-DF) as an implant. Biomaterials19, 617,35. [source] Genetics of the relationship between the ciliate Paramecium bursaria and its symbiotic algaeINVERTEBRATE BIOLOGY, Issue 4 2007Yuki Tonooka Abstract. Paramecium bursaria, a freshwater protozoan, typically harbors hundreds of symbiotic algae (Chlorella sp.) in its cytoplasm. The relationship between host paramecia and symbiotic algae is stable and mutually beneficial in natural environments. We recently collected an aposymbiotic strain of P. bursaria. Infection experiments revealed that the natural aposymbiotic strain (Ysa2) showed unstable symbiosis with Chlorella sp. The algae aggregated at the posterior region of the host, resulting in aposymbiotic cell production after cell division. Cross-breeding analyses were performed to determine the heritability of the aposymbiotic condition. In crosses of Ysa2 with symbiotic strains of P. bursaria, F1 progeny were able to form stable symbioses with Chlorella sp. However, unstable symbiosis, resembling Ysa2 infection, occurred in some F2 progeny of sibling crosses between symbiotic F1 clones. Infection experiments using aposymbiotic F2 cells showed that these F2 subclones have limited ability to reestablish the symbiosis. These results indicate that the maintenance of stable symbiosis is genetically controlled and heritable, and that Ysa2 is a mutant lacking the mechanisms to establish stable symbiosis with Chlorella sp. [source] Detection and survival of Campylobacter in chicken eggsJOURNAL OF APPLIED MICROBIOLOGY, Issue 5 2003O. Sahin Abstract Aims:Campylobacter jejuni, a food-borne human pathogen, is widespread in poultry; however, the sources of infection and modes of transmission of this organism on chicken farms are not well understood. The objective of this study was to determine if vertical transmission of C. jejuni occurs via eggs. Methods and Results: Using a temperature differential method, it was shown that Campylobacter had limited ability to penetrate the eggshell. When C. jejuni was directly inoculated into the egg yolk and the eggs were stored at 18°C, the organism was able to survive for up to 14 days. However, viability of C. jejuni was dramatically shortened when injected into the albumen or the air sac. When freshly laid eggs from Campylobacter -inoculated specific pathogen-free (SPF) layers were tested, C. jejuni -contamination was detected in three of 65 pooled whole eggs (5,10 eggs in each pool) via culture and PCR. However, the organism was not detected from any of the 800 eggs (80 pools), collected from the same SPF flock, but kept at 18°C for 7 days before testing. Likewise, Campylobacter was not recovered from any of 500 fresh eggs obtained from commercial broiler-breeder flocks that were actively shedding Campylobacter in faeces. Also, none of the 1000 eggs from broiler breeders obtained from a commercial hatchery were positive for Campylobacter. Conclusions: These results suggest that vertical transmission of C. jejuni through the egg is probably a rare event and does not play a major role in the introduction of Campylobacter to chicken flocks. Significance and Impact of the Study: Control of Campylobacter transmission to chicken flocks should focus on sources of infection that are not related to eggs. [source] The Effects of Source Credibility in the Presence or Absence of Prior Attitudes: Implications for the Design of Persuasive Communication CampaignsJOURNAL OF APPLIED SOCIAL PSYCHOLOGY, Issue 6 2010G. Tarcan Kumkale Most theories of persuasion predict that limited ability and motivation to think about communications should increase the impact of source credibility on persuasion. Furthermore, this effect is assumed to occur, regardless of whether or not the recipients have prior attitudes. In this study, the effects of source credibility, ability, and motivation (knowledge, message repetition, relevance) on persuasion were examined meta-analytically across both attitude formation and change conditions. Findings revealed that the Source Credibility × Ability/Motivation interaction emerged only when participants lacked prior attitudes and were unable to form a new attitude based on the message content. In such settings, the effects of source credibility decayed rapidly. The implications of these findings for applied communication campaigns are discussed. [source] Expression of GFAT1 and OGT in podocytes: Transport of glucosamine and the implications for glucose uptake into these cellsJOURNAL OF CELLULAR PHYSIOLOGY, Issue 2 2010Dorota Rogacka Glutamine:fructose-6-phosphate amidotransferase (GFAT) and N -acetylglucosaminyltransferase (OGT) participate in glucosamine (GlcN) production and its utilization in O -glycosylation, one of key post-translational modifications of nuclear and cytoplasmic proteins. For this purpose, cells require a high rate of intracellular production of GlcN and/or significant GlcN delivery. We studied the expression of GFAT1 and OGT and measured uptake of glucose and GlcN in cultured rat podocytes, the main cellular component of glomerular filtration barrier. RT-PCR revealed the presence of both GFAT1 and OGT mRNA. Immunofluorescence of GFAT1 has shown staining signal diffused within the cytoplasm of the cell body and processes. However, OGT was distinctly visible around the nucleus and, in diffuse form, within the cytoplasm of cell bodies and processes. Glucose was transported (1.3,±,0.2,nmol/min/mg protein) mainly by facilitative transporter systems whilst GlcN uptake (1.1,±,0.2,nmol/min/mg protein) in a significant part, involved a sodium-dependent transporter. There was interplay between glucose and GlcN uptake. In the presence of GlcN (50,µM), the rate of glucose uptake decreased by about 50%. The rate of GlcN uptake decreased by 28% in the presence of 5.6,mM glucose. Our results suggest that cultured podocytes possess limited ability to synthesize GlcN internally and therefore may need to receive GlcN from the extracellular environment. J. Cell. Physiol. 225: 577,584, 2010. © 2010 Wiley-Liss, Inc. [source] Blood Pressure Components in Clinical HypertensionJOURNAL OF CLINICAL HYPERTENSION, Issue 9 2006Michel E. Safar MD This review offers a critical evaluation of the remarkable progress in antihypertensive therapy since its inception. Despite the introduction of newer, more sophisticated drugs, treatment results have remained stable. Problems impeding further improvement include limited patient compliance, clinical inertia, incomplete adherence to guidelines, and dependence on brachial artery cuff pressures for diagnosis, risk assessment, and treatment response. Brachial artery systolic and pulse pressures do not reliably represent aortic or carotid artery pressures, which are better risk predictors for the heart and brain. Mean pressure, which is the same throughout the arterial tree, is directly measurable by cuff oscillometry, and might become the best single risk predictor. Available drugs have limited ability to decrease the aortic stiffness that is responsible for the elevated systolic blood pressure of aging. Therefore, to improve risk assessment and therapeutic benefit, we might include mean blood pressure and pulse pressure into blood pressure measurements, pursue efforts to measure central blood pressure, and search for new drugs to reduce arterial stiffness. [source] Pathogen inactivation technology: cleansing the blood supplyJOURNAL OF INTERNAL MEDICINE, Issue 3 2005H. G. KLEIN Abstract., Klein HG (The Johns Hopkins School of Medicine and Warren G. Magnuson Clinical Center, National Institutes of Health, Bethesda, MD, USA). Pathogen inactivation technology: cleansing the blood supply (Review). J Intern Med 2005; 257: 224,237. The calculated residual infectious risk of HIV, hepatitis B virus (HBV) and hepatitis C virus (HCV) from blood transfusion is extremely low. However, the risk of bacterial contamination remains and a variety of other agents including emerging viruses, protozoa and tick-borne agents threaten blood supplies and undermine public confidence in blood safety. Traditional methods of donor screening and testing have limited ability to further reduce disease transmission and cannot prevent an emerging infectious agent from entering the blood supply. Pathogen inactivation technologies have all but eliminated the infectious risks of plasma-derived protein fractions, but as yet no technique has proved sufficiently safe and effective for traditional blood components. Half-way technologies can reduce the risk of pathogen transmission from fresh frozen plasma and cryoprecipitate. Traditional methods of mechanical removal such as washing and filtration have limited success in reducing the risk of cell-associated agents, but methods aimed at sterilizing blood have either proved toxic to the cells or to the recipients of blood components. Several promising methods that target pathogen nucleic acid have recently entered clinical testing. [source] Imaging biomarkers in multiple sclerosisJOURNAL OF MAGNETIC RESONANCE IMAGING, Issue 4 2010M. Filippi MD Abstract Recent years have witnessed impressive advances in the use of magnetic resonance imaging (MRI) for the assessment of patients with multiple sclerosis (MS). Complementary to the clinical evaluation, conventional MRI provides crucial pieces of information for the diagnosis of MS. However, the correlation between the burden of lesions observed on conventional MRI scans and the clinical manifestations of the disease remains weak. The discrepancy between clinical and conventional MRI findings in MS is explained, at least partially, by the limited ability of conventional MRI to characterize and quantify the heterogeneous features of MS pathology. Other quantitative MR-based techniques, however, have the potential to overcome such a limitation of conventional MRI. Indeed, magnetization transfer MRI, diffusion tensor MRI, proton MR spectroscopy, and functional MRI are contributing to elucidate the mechanisms that underlie injury, repair, and functional adaptation in patients with MS. Such techniques are likely to benefit from the use of high-field MR systems and thus allow in the near future providing additional insight into all these aspects of the disease. This review summarizes how MRI is dramatically changing our understanding of the factors associated with the accumulation of irreversible disability in MS and highlights the reasons why they should be used more extensively in studies of disease evolution and clinical trials. J. Magn. Reson. Imaging 2010;31:770,788. ©2010 Wiley-Liss, Inc. [source] Hyaluronan-based polymers in the treatment of osteochondral defectsJOURNAL OF ORTHOPAEDIC RESEARCH, Issue 5 2000Luis A. Solchaga Articular cartilage in adults has limited ability for self-repair. Some methods devised to augment the natural healing response stimulate some regeneration, but the repair is often incomplete and lacks durability. Hyaluronan-based polymers were tested for their ability to enhance the natural healing response. It is hypothesized that hyaluronan-based polymers recreate an embryonic-like milieu where host progenitor cells can regenerate the damaged articular surface and underlying bone. Osteochondral defects were made on the femoral condyles of 4-month-old rabbits and were left empty or filled with hyaluronan-based polymers. The polymers tested were ACP sponge, made of crosslinked hyaluronan, and HYAFF-11 sponge, made of benzylated hyaluronan. The rabbits were killed 4 and 12 weeks after surgery, and the condyles were processed for histology. All 12-week defects were scored with a 29-point scale, and the scores were compared with a Kruskall-Wallis analysis of variance on ranks. Untreated defects filled with bone tissue up to or beyond the tidemark, and the noncalcified surface layer varied from fibrous to hyaline-like tissue. Four weeks after surgery, defects treated with ACP exhibited bone filling to the level of the tidemark and the surface layer was composed of hyaline-like cartilage well integrated with the adjacent cartilage. At 12 weeks, the specimens had bone beyond the tidemark that was covered with a thin layer of hyaline cartilage. Four weeks after surgery, defects treated with HYAFF-11 contained a rim of chondrogenic cells at the interface of the implant and the host tissue. In general, the 12-week defects exhibited good bone fill and the surface was mainly hyaline cartilage. Treated defects received significantly higher scores than untreated defects (p < 0.05), and ACP-treated defects scored significantly higher than HYAFF-11-treated defects (p < 0.05). The introduction of these hyaluronan-based polymers into defects provides an appropriate scaffolding and favorable microen-vironment for the reparative process. Further work is required to fully assess the long-term outcome of defects treated with these polymers. [source] Morphological and Physiological Differentiation among Vegetative Compatibility Groups of Verticillium dahliae in Relation to V. longisporumJOURNAL OF PHYTOPATHOLOGY, Issue 7-8 2001K. Zeise Abstract Twenty-four isolates of Verticillium dahliae from various geographic regions and host origins were assigned to vegetative compatibility groups (VCG) based on complementation between nitrate-non-utilizing (nit) mutants. The VCG assignment was associated with clearly distinguishable morphological and physiological characteristics. Most isolates of VCG 2B produced deep black colonies, small conidia (3.62 × 0.02 , m), and spherical microsclerotia. They exhibited polyphenol oxidase (PPO) activity, high sporulation rate in shake cultures, fluorescence on sanguinarine-amended PDA (snPDA) and excretion of dark pigment on Czapek Dox agar. The isolates assigned to VCG 4B had significantly longer conidia (4.73 × 0.04 , m), spherical microsclerotia and white, fluffy colonies due to enhanced production of aerial mycelium. They excreted only traces of dark pigment, exhibited PPO activity, did not fluoresce on snPDA and had limited ability to sporulate in shake cultures. Except for lacking PPO activity the only heterokaryon self-incompatible isolate (HSI) was similar to VCG 4B. Ten isolates of Verticillium longisporum from cruciferous hosts did not produce nit mutants. They had clearly longer conidia (7.41 × 0.05 , m), formed elongate microsclerotia, and only poorly sporulated in shake cultures. They did not excrete dark pigment, lacked PPO, and failed to fluoresce on snPDA. The results indicate a clear morphological and physiological differentiation not only between the two species V. longisporum and V. dahliae but also among the VCGs of V. dahliae. [source] Soil-aggregate formation as influenced by clay content and organic-matter amendmentJOURNAL OF PLANT NUTRITION AND SOIL SCIENCE, Issue 1 2007Stephen Wagner Abstract Naturally occurring wetting-and-drying cycles often enhance aggregation and give rise to a stable soil structure. In comparatively dry regions, such as large areas of Australia, organic-matter (OM) contents in topsoils of arable land are usually small. Therefore, the effects of wetting and drying are almost solely reliant on the clay content. To investigate the relations between wetting-and-drying cycles, aggregation, clay content, and OM in the Australian environment, an experiment was set up to determine the relative influence of both clay content (23%, 31%, 34%, and 38%) and OM amendments of barley straw (equivalent to 3.1,t,ha,1, 6.2,t,ha,1, and 12.4,t,ha,1) on the development of water-stable aggregates in agricultural soil. The aggregate stability of each of the sixteen composite soils was determined after one, three, and six wet/dry cycles and subsequent fast and slow prewetting and was then compared to the aggregate stabilities of all other composite soils. While a single wet/dry cycle initiated soil structural evolution in all composite soils, enhancing macroaggregation, the incorporation of barley straw was most effective for the development of water-stable aggregates in those soils with 34% and 38% clay. Repeated wetting-and-drying events revealed that soil aggregation is primarily based on the clay content of the soil, but that large straw additions also tend to enhance soil aggregation. Relative to untreated soil, straw additions equivalent to 3.1,t,ha,1 and 12.4,t,ha,1 increased soil aggregation by about 100% and 250%, respectively, after three wet/dry cycles and fast prewetting, but were of less influence with subsequent wet/dry cycles. Straw additions were even more effective in aggregating soil when combined with slow prewetting; after three wet/dry cycles, the mean weight diameters of aggregates were increased by 70% and 140% with the same OM additions and by 160% and 290% after six wet/dry cycles, compared to samples without organic amendments. We suggest that in arable soils poor in OM and with a field texture grade of clay loam or finer, the addition of straw, which is often available from preceding crops, may be useful for improving aggregation. For a satisfactory degree of aggregate stability and an improved soil structural form, we found that straw additions of at least 6.2,t,ha,1 were required. However, rapid wetting of straw-amended soil will disrupt newly formed aggregates, and straw has only a limited ability to sustain structural improvement. [source] Joint projections of temperature and precipitation change from multiple climate models: a hierarchical Bayesian approachJOURNAL OF THE ROYAL STATISTICAL SOCIETY: SERIES A (STATISTICS IN SOCIETY), Issue 1 2009Claudia Tebaldi Summary., Posterior distributions for the joint projections of future temperature and precipitation trends and changes are derived by applying a Bayesian hierachical model to a rich data set of simulated climate from general circulation models. The simulations that are analysed here constitute the future projections on which the Intergovernmental Panel on Climate Change based its recent summary report on the future of our planet's climate, albeit without any sophisticated statistical handling of the data. Here we quantify the uncertainty that is represented by the variable results of the various models and their limited ability to represent the observed climate both at global and at regional scales. We do so in a Bayesian framework, by estimating posterior distributions of the climate change signals in terms of trends or differences between future and current periods, and we fully characterize the uncertain nature of a suite of other parameters, like biases, correlation terms and model-specific precisions. Besides presenting our results in terms of posterior distributions of the climate signals, we offer as an alternative representation of the uncertainties in climate change projections the use of the posterior predictive distribution of a new model's projections. The results from our analysis can find straightforward applications in impact studies, which necessitate not only best guesses but also a full representation of the uncertainty in climate change projections. For water resource and crop models, for example, it is vital to use joint projections of temperature and precipitation to represent the characteristics of future climate best, and our statistical analysis delivers just that. [source] Global Public Health Implications of a Mass Gathering in Mecca, Saudi Arabia During the Midst of an Influenza PandemicJOURNAL OF TRAVEL MEDICINE, Issue 2 2010Kamran Khan MD Background. Every year millions of pilgrims from around the world gather under extremely crowded conditions in Mecca, Saudi Arabia to perform the Hajj. In 2009, the Hajj coincided with influenza season during the midst of an influenza A (H1N1) pandemic. After the Hajj, resource-limited countries with large numbers of traveling pilgrims could be vulnerable, given their limited ability to purchase H1N1 vaccine and capacity to respond to a possible wave of H1N1 introduced via returning pilgrims. Methods. We studied the worldwide migration of pilgrims traveling to Mecca to perform the Hajj in 2008 using data from the Saudi Ministry of Health and international air traffic departing Saudi Arabia after the 2008 Hajj using worldwide airline ticket sales data. We used gross national income (GNI) per capita as a surrogate marker of a country's ability to mobilize an effective response to H1N1. Results. In 2008, 2.5 million pilgrims from 140 countries performed the Hajj. Pilgrims (1.7 million) were of international (non-Saudi) origin, of which 91.0% traveled to Saudi Arabia via commercial flights. International pilgrims (11.3%) originated from low-income countries, with the greatest numbers traveling from Bangladesh (50,419), Afghanistan (32,621), and Yemen (28,018). Conclusions. Nearly 200,000 pilgrims that performed the Hajj in 2008 originated from the world's most resource-limited countries, where access to H1N1 vaccine and capacity to detect and respond to H1N1 in returning pilgrims are extremely limited. International efforts may be needed to assist resource-limited countries that are vulnerable to the impact of H1N1 during the 2009 to 2010 influenza season. [source] The Effect of Adolescent Neighborhood Poverty on Adult EmploymentJOURNAL OF URBAN AFFAIRS, Issue 4 2004Steven R. Holloway Urban poverty grew more spatially concentrated during the 1970s and 1980s as industrial economies dramatically restructured. Some policies attempted to address the problems of impoverished neighborhoods by stimulating in-situ economic development, while others sought to geographically disperse the poor. Poverty grew less concentrated during the 1990s because of robust national economic growth and dispersal-oriented federal policies. Before celebrating, however, the long term effects of growing up in poor neighborhoods need to be considered. We used National Longitudinal Survey of Youth (NLSY) data, geocoded to census tracts, to examine the effects of neighborhood poverty rates encountered during adolescence on adult employment. Living in poor neighborhoods during adolescence carries a long-term labor market disadvantage, caused at least in part by the limited ability to accumulate early work experience. Males appear to be more sensitive to these neighborhood effects than females. [source] ASSET PRICING WITH NO EXOGENOUS PROBABILITY MEASUREMATHEMATICAL FINANCE, Issue 1 2008Gianluca Cassese In this paper, we propose a model of financial markets in which agents have limited ability to trade and no probability is given from the outset. In the absence of arbitrage opportunities, assets are priced according to a probability measure that lacks countable additivity. Despite finite additivity, we obtain an explicit representation of the expected value with respect to the pricing measure, based on some new results on finitely additive measures. From this representation we derive an exact decomposition of the risk premium as the sum of the correlation of returns with the market price of risk and an additional term, the purely finitely additive premium, related to the jumps of the return process. We also discuss the implications of the absence of free lunches. [source] CPMK2, an SLT2-homologous mitogen-activated protein (MAP) kinase, is essential for pathogenesis of Claviceps purpurea on rye: evidence for a second conserved pathogenesis-related MAP kinase cascade in phytopathogenic fungiMOLECULAR MICROBIOLOGY, Issue 2 2002Géraldine Mey Summary Cpmk2 , encoding a mitogen-activated protein (MAP) kinase from the ascomycete Claviceps purpurea , is an orthologue of SLT2 from Saccharomyces cerevisiae , the first isolated from a biotrophic, non-appressorium-forming pathogen. Deletion mutants obtained by a gene replacement approach show impaired vegetative properties (no conidiation) and a significantly reduced virulence, although they retain a limited ability to colonize the host tissue. Increased sensitivity to protoplasting enzymes indicates that the cell wall structure of the mutants may be altered. As the phenotypes of these mutants are similar to those observed in strains of the rice pathogen, Magnaporthe grisea , that have been deprived of their MAP kinase gene mps1 , the ability of cpmk2 to complement the defects of , mps1 was investigated. Interestingly, the C. purpurea gene, under the control of its own promoter, was able to complement the M. grisea mutant phenotype: transformants were able to sporulate and form infection hyphae on onion epidermis and were fully pathogenic on barley leaves. This indicates that, despite the differences in infection strategies, which include host and organ specificity, mode of penetration and colonization of host tissue, CPMK2 / MPS1 defines a second MAP kinase cascade (after the Fus3p/PMK1 cascade) essential for fungal pathogenicity. [source] Junk-food in marine ecosystemsOIKOS, Issue 7 2008Henrik Österblom The abundance and availability of food are critical determininants of reproductive success and population dynamics of marine top predators. However, recent work has indicated that the quality of the food may also be critically important for some marine predators. The ,junkfood hypothesis' was originally suggested as a potential explanation for a dramatic population decline of Stellers sea lions Eumetopias jubatus in the Gulf of Alaska. According to the hypothesis, a dietary switch to prey of low energy content led to detrimental effects on the population of sea lions. A number of observations indicate that the hypothesis is relevant for several population parameters. Recent work on piscivorous seabirds has provided substantial evidence indicating the relevance of this hypothesis in food webs in e.g. the North Pacific, the North Sea and the Baltic Sea. The emergence of ,junk-food' in these systems may be coupled to large scale changes in climatological and oceanographic forcing, although predation, fishing and competition provide additional plausible hypotheses. It may be possible to predict which kinds of animals will be particularly sensitive to food quality; these seem to be species with limited ability to carry food loads, with energetically-expensive foraging behaviour, and with digestive anatomy evolved to minimize mass at the cost of digestive efficiency. This review suggests that the junk-food hypothesis is a highly relevant factor in relation to sustaining ecosystem resilience, and is an important consideration in ecosystem management. Sustaining healthy populations of marine top-predators requires an understanding of the role of food quality, in addition to food abundance and availability. [source] |