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Selected AbstractsPatterns of Nest Predation on Artificial and Natural Nests in ForestsCONSERVATION BIOLOGY, Issue 2 2004DAWN M. BURKE ave de bosque; depredación de nidos; éxito de nidos; experimento de nidos artificiales; nidos naturales Abstract:,Artificial nest experiments have been used in an attempt to understand patterns of predation affecting natural nests. A growing body of literature suggests that neither relative rates nor patterns of predation are the same for artificial and natural nests. We studied nest predation and daily mortality rates and patterns at real and artificial ground and shrub nests to test the validity of artificial nest experiments. We monitored 1667 artificial and 344 natural nests, over seven trials, in three regions, across 58 sites in Ontario. We controlled for many of the factors thought to be responsible for previously reported differences between predation rates on natural and artificial nests. Although artificial nests in our study resembled natural nests, contained eggs of appropriate size, shape, and color of target bird species, and were placed in similar microhabitats as natural nests, the rates of predation on these nests did not parallel rates on natural nests for any region in terms of absolute rate or pattern. Predation rates on artificial nests did not vary between years, as they tended to for natural nests, and the magnitude of predation pressure on artificial ground nests compared with shrub nests did not show the same pattern as that on natural nests. In general, rates of predation on artificial nests were significantly higher than on natural nests. Our results suggest that conclusions derived from artificial nest studies may be unfounded. Given that many influential ideas in predation theory are based on results of artificial nest experiments, it may be time to redo these experiments with natural nests. Resumen:,Se han utilizado experimentos con nidos artificiales con la intención de entender los patrones de depredación que afectan a los nidos naturales. La bibliografía sugiere que ni las tasas relativas ni los patrones de depredación son iguales para nidos artificiales y naturales. Estudiamos las tasas y patrones de depredación de nidos y de mortalidad diaria en nidos reales y artificiales sobre el suelo y en matorrales para probar la validez de los experimentos con nidos artificiales. Monitoreamos 1667 nidos artificiales y 344 nidos naturales, en siete pruebas, en tres regiones, en 58 sitios en Notario. Controlamos muchos de los factores que se piensa son responsables de diferencias entre tasas de depredación en nidos naturales y artificiales reportadas previamente. Aunque los nidos artificiales en nuestro estudio se asemejaron a nidos naturales, contenían huevos de tamaño, forma y color adecuados para la especie de ave y fueron colocados en microhábitats similares a los de nidos naturales, las tasas de depredación en estos nidos no fueron similares a las tasas en nidos naturales en ninguna región en términos de tasa o patrón absoluto. Las tasas de depredación en nidos artificiales no variaron de un año a otro, como fue la tendencia en nidos naturales, y la magnitud de la presión de depredación en nidos sobre el suelo comparada con nidos en arbustos no mostró el mismo patrón que la depredación en nidos naturales. Nuestros resultados sugieren que las conclusiones derivadas de estudios con nidos artificiales pueden ser infundadas. Debido a que muchas ideas influyentes en la teoría de la depredación se basan en los resultados de experimentos con nidos artificiales, puede haber llegado el momento de volver a realizar estos experimentos utilizando nidos naturales. [source] Ecological Traits Predicting Amphibian Population Declines in Central AmericaCONSERVATION BIOLOGY, Issue 4 2003Karen R. Lips Populations of some species are extirpated, others have declined but survive, some have not obviously declined, and some are increasing. If amphibian populations at multiple sites were affected by the same factors, then surviving species should share traits that promote persistence, whereas declining species should share traits that promote susceptibility. Identifying these traits can help diagnose potential causes and thus help to direct conservation actions. Using logistic regression, we quantified the vulnerability of amphibian populations in four areas in Central America. We analyzed a species-specific database of taxonomic identity, geographic and elevational range, elevational distribution, adult and larval habitat, activity period, and maximum adult body size. We found that ( 1 ) all four sites exhibited the same pattern of decline ( there were no interactions between site and other variables ); ( 2 ) declining populations shared aquatic habitats, restricted elevational ranges, and large body sizes; and ( 3 ) there was an interaction between body size and elevational range. The most significant variable in the model was lifetime aquatic index, a factor unrelated to demographic vulnerability and one that therefore might indicate the potential causative agent( s ). Our results provide a predictive model with which to assess potential causes of population declines in other areas, and we generated a list of 52 species predicted to decline at a currently unaffected site in central Panama. Resumen: Las poblaciones de anfibios están declinando en todos los continentes donde ocurren, pero no todas las especies han sido afectadas por igual. Algunas especies han sido extirpadas, otras han declinado pero sobreviven, algunas no han declinado notablemente y otras están aumentando. Si las poblaciones de anfibios en varios sitios fueran afectadas por los mismos factores, las especies sobrevivientes deberían compartir características que promuevan la persistencia mientras que las especies en declinación deberían compartir características que promuevan la susceptibilidad. La identificación de estas características puede ayudar a diagnosticar las causas potenciales y así ayudar a dirigir medidas de conservación. Utilizando regresión logística, cuantificamos la vulnerabilidad de las poblaciones de anfibios en cuatro áreas de Centro América. Analizamos una base de datos de identidad taxonómica de especies, rango geográfico y altitudinal, distribución altitudinal, hábitat de larvas y adultos, período de actividad y máxima talla corporal de adultos. Encontramos que ( 1 ) los cuatro sitios presentaron el mismo patrón de declinación ( no hubo interacciones entre el sitio y otras variables ), ( 2 ) las poblaciones en declinación compartieron hábitats acuáticos, rangos altitudinales restringidos y tamaño corporal grande y ( 3 ) hubo interacción entre el tamaño corporal y el rango altitudinal. La variable más significativa del modelo fue el índice de vida acuática, un factor no relacionado con la vulnerabilidad demográfica y que, por lo tanto, podría indicar el agente causal potencial. Nuestros resultados proporcionan un modelo predictivo para evaluar las causas potenciales de declinación poblacional en otras áreas, y generamos una lista de 52 especies de declinación prevista en un sitio actualmente no afectado del centro de Panamá. [source] Treatment of unipolar psychotic depression: a randomized, double-blind study comparing imipramine, venlafaxine, and venlafaxine plus quetiapineACTA PSYCHIATRICA SCANDINAVICA, Issue 3 2010J. Wijkstra Wijkstra J, Burger H, van den Broek WW, Birkenhäger TK, Janzing JGE, Boks MPM, Bruijn JA, van der Loos MLM, Breteler LMT, Ramaekers GMGI, Verkes RJ, Nolen WA. Treatment of unipolar psychotic depression: a randomized, double-blind study comparing imipramine, venlafaxine, and venlafaxine plus quetiapine. Objective:, It remains unclear whether unipolar psychotic depression should be treated with an antidepressant and an antipsychotic or with an antidepressant alone. Method:, In a multi-center RCT, 122 patients (18,65 years) with DSM-IV-TR psychotic major depression and HAM-D-17 , 18 were randomized to 7 weeks imipramine (plasma-levels 200,300 ,g/l), venlafaxine (375 mg/day) or venlafaxine,quetiapine (375 mg/day, 600 mg/day). Primary outcome was response on HAM-D-17. Secondary outcomes were response on CGI and remission (HAM-D-17). Results:, Venlafaxine,quetiapine was more effective than venlafaxine with no significant differences between venlafaxine,quetiapine and imipramine, or between imipramine and venlafaxine. Secondary outcomes followed the same pattern. Conclusion:, That unipolar psychotic depression should be treated with a combination of an antidepressant and an antipsychotic and not with an antidepressant alone, can be considered evidence based with regard to venlafaxine,quetiapine vs. venlafaxine monotherapy. Whether this is also the case for imipramine monotherapy is likely, but cannot be concluded from the data. [source] Ploidy mosaicism in well-developed nuclear transplants produced by transfer of adult somatic cell nuclei to nonenucleated eggs of medaka (Oryzias latipes)DEVELOPMENT GROWTH & DIFFERENTIATION, Issue 9 2007Elena Kaftanovskaya Chromosomal abnormalities such as ploidy mosaicism have constituted a major obstacle to the successful nuclear transfer of adult somatic cell nuclei in lower vertebrates to date. Euploid mosaicism has been reported previously in well-developed amphibian transplants. Here, we investigated ploidy mosaicisms in well-developed transplants of adult somatic cell nuclei in medaka fish (Oryzias latipes). Donor nuclei from primary cultured cells from the adult caudal fin of a transgenic strain carrying the green fluorescent protein gene (GFP) were transferred to recipient nonenucleated eggs of a wild-type strain to produce 662 transplants. While some of the transplants developed beyond the body formation stage and several hatched, all exhibited varying degrees of abnormal morphology, limited growth and subsequent death. Twenty-one transplants, 19 embryos and two larvae, were selected for chromosomal analysis; all were well-developed 6-day-old or later embryonic stages exhibiting slight morphological abnormalities and the same pattern of GFP expression as that of the donor strain. In addition, all exhibited various levels of euploid mosaicism with haploid-diploid, haploid-triploid or haploid-diploid-triploid chromosome sets. No visible chromosomal abnormalities were observed. Thus, euploid mosaicism similar to that observed in amphibians was confirmed in well-developed nuclear transplants of fish. [source] Exploratory behavior in mice selectively bred for developmental differences in aggressive behaviorDEVELOPMENTAL PSYCHOBIOLOGY, Issue 1 2008Kathryn E. Hood Abstract The development and expression of exploratory behavior was assessed in the Cairns lines of Institute for Cancer Research (ICR) mice that were selectively bred for differences in aggressive behavior, with a high-aggressive 900 line, low-aggressive 100 line, and control 500 line. Four paradigms were employed. Developmental changes were evident in the complex novel arena, with older males faster to contact a novel object, and ambulating more than young males. Within the control 500 line, older males showed longer latency to emerge from the home cage, and shorter latency to contact novel objects. In the 900 line, younger males showed this same pattern. R. B. Cairns proposed that line differences in aggressive behavior arise through alterations in developmental timing [Cairns et al. [1983] Life-span developmental psychology (Vol. 5). New York: Academic Press; Gariépy et al. [2001] Animal Behaviour 61: 933,947]. The early appearance of mature patterns of exploratory behavior in 900 line males supports this interpretation. The 900 line males also appear to be behaviorally inhibited in novel settings such as the light,dark box and the neohypophagia paradigm, compared to the 500 and 100 lines (Experiments 1, 2, and 4). Moreover, in the most complex apparatus, the novel arena, 900 line males were slowest to exit the home cage, and fastest to contact a novel object. The apparent contrast in these parameters of exploratory behavior is discussed in relation to T. C. Schneirla's [1965 Advances in the study of behavior (Vol. 1). New York: PN Academic] approach,withdrawal theory. © 2007 Wiley Periodicals, Inc. Dev Psychobiol 50: 32,47, 2008. [source] The eyes have it: visual pop-out in infants and adultsDEVELOPMENTAL SCIENCE, Issue 2 2006Scott A. Adler Visual search studies with adults have shown that stimuli that contain a unique perceptual feature pop out from dissimilar distractors and are unaffected by the number of distractors. Studies with very young infants have suggested that they too might exhibit pop-out. However, infant studies have used paradigms in which pop-out is measured in seconds or minutes, whereas in adults pop-out occurs in milliseconds. In addition, with the previous infant paradigms the effects from higher cognitive processes such as memory cannot be separated from pop-out and selective attention. Consequently, whether infants exhibit the phenomenon of pop-out and have selective attention mechanisms as found in adults is not clear. This study was an initial attempt to design a paradigm that would provide a comparable measure between infants and adults, thereby allowing a more accurate determination of the developmental course of pop-out and selective attention mechanisms. To this end, we measured 3-month-olds' and adults' saccade latencies to visual arrays that contained either a + among Ls (target-present) or all Ls (target-absent) with set sizes of 1, 3, 5 or 8 items. In Experiment 1, infants' saccade latencies remained unchanged in the target-present conditions as set size increased, whereas their saccade latencies increased linearly in the target-absent conditions as set size increased. In Experiment 2, adults' saccade latencies in the target-present and target-absent conditions showed the same pattern as the infants. The only difference between the infants and adults was that the infants' saccade latencies were slower in every condition. These results indicate that infants do exhibit pop-out on a millisecond scale, that it is unaffected by the number of distractors, and likely have similar functioning selective attention mechanisms. Moreover, the results indicate that eye movement latencies are a more comparable and accurate measure for assessing the phenomenon of pop-out and underlying attentional mechanisms in infants. [source] Bite marks as evidence of predation in early vertebratesACTA ZOOLOGICA, Issue 2009Oleg A. Lebedev Abstract Study of lifetime bite traces on agnathans and fish (or gnathostomes) from Ukraine, Estonia, Latvia and north-western and central European Russia reveals evidence of predator,prey relationships in communities of Devonian age. Numerous bite traces on skeletal parts of agnathan pteraspidiforms and psammosteiforms, placoderm arthrodires and antiarchs and sarcopterygian porolepiforms and osteolepiforms are described. Evidence of healing shows that prey organisms responded to predation by reconstruction of damaged skeletal elements. Ichthyofaunistic analysis is used to establish possible predators. The most probable predators in the Middle and Late Devonian communities are sarcopterygian porolepiforms and osteolepiforms. Predatory tetrapods become evident during the Famennian. Global analysis of aquatic predators during the Silurian,Devonian interval shows a gradual increase in species numbers with time. During the Late Silurian, only ischnacantid acanthodians, early osteichthyans and sarcopterygians are known to belong to this trophic group. By the end of the Devonian this list is complemented by chondrichthyans, arthrodires, porolepiform, osteolepiform, struniiform and rhizodontiform sarcopterygians and tetrapods. Only Devonian agnathans show no predatory groups. In sarcopterygians, predatory dentitions, which developed according to more or less the same pattern, show little change during the Devonian. [source] Error patterns in word reading among primary school children: A cross-orthographic studyDYSLEXIA, Issue 1 2004Louise Miller Guron Abstract A comparative investigation of word reading efficiency indicates that different strategies may be used by English and Swedish early readers. In a first study, 328 native English speakers from UK Years 3 and 6 completed a pen-and-paper word recognition task (the Wordchains test). Results were analysed for frequency and type of errors committed. A sample of 123 chronological-age-matched Swedish children carried out the same task on a matched Swedish test. For a sub-sample of 68 English/Swedish pairs matched on word recognition score and sex, significant differences were observed in a comparison of average and low scorers from the two language groups. The English children attempted more task items and committed more errors, while the Swedish group corrected their errors more, suggesting a difference in approach to the task. A second study of a larger Swedish sample (241 participants) found the same pattern of errors as Study 1. The implications of these findings are discussed in relation to the effects of orthographic depth and morphemic complexity. Copyright © 2004 John Wiley & Sons, Ltd. [source] Determining friction coefficients for interrill flows: the significance of flow filaments and backwater effectsEARTH SURFACE PROCESSES AND LANDFORMS, Issue 5 2003Dr David L. Dunkerley Abstract Friction coefficients in overland flows are customarily estimated from mean flow properties (depth, velocity, slope) that subsume spatial variations in flow arising from two major causes: microtopography and obstacles. This paper uses laboratory experiments in shallow flumes to examine the extent of non-uniformity in flow conditions associated with each cause. Randomly placed emergent obstacles in a flume with a shallow axial channel generally yielded higher hydraulic roughness than the same pattern of obstacles on a planar flume, as well as greater variation in roughness as the obstacle locations were altered. In both flumes, hydraulic roughness fell with increasing Reynolds number for 10% obstacle cover, showed a flattening trend at 20% cover, and exhibited a convex-downward trend at 30% obstacle cover. These results indicate the progressive onset of flow controls at narrow gaps in the obstacle field. In such flows, the use of mean flow properties conceals the existence of two main subdivisions of flow: flow filaments and backwater flows. In the experiments, flow filaments involved velocities more than twice the overall mean, whereas backwater flows were much slower than the mean. The existence of fast-moving flow filaments may be significant in understanding soil transport in surface runoff, and backwater depths may modify splash detachment. Similarly, friction coefficients that fail to reflect these important non-uniform flow components may not be optimal for hydraulic calculations or in erosion models. It is concluded that new approaches to observing and processing flow data may be required, in order to avoid the loss of important flow detail that is entailed in assuming uniform flow conditions. Copyright © 2003 John Wiley & Sons, Ltd. [source] A Quantified Ethogram for Oviposition in Triturus Newts: Description and Comparison of T. helveticus and T. vulgarisETHOLOGY, Issue 4 2005Karen M. Norris Female newts of the genus Triturus deposit and wrap their eggs individually in the submerged leaves of aquatic macrophytes. Although this behaviour has previously been described, the different elements of the oviposition process have not been fully characterized nor any attempt made to quantify the behavioural elements. The study examined the oviposition behaviour of the two similarly sized species, Triturus helveticus and T. vulgaris on a standardized substrate macrophyte, Rorippa nasturtium,aquaticum. Continuous focal sampling was used to develop a baseline of discrete behavioural elements enabling quantification and comparison of oviposition behaviour between the two species. The results showed that the same pattern of elements was followed for each egg laid and the same key elements of the process were present in each newt species. Although these are broadly similar in size, there were striking differences in certain aspects of the oviposition sequence between the two species. Key findings were that leaf sniffing and leaf flexing and a measure of the duration of ovipositing were all significantly greater in females of T. helveticus and females of T. vulgaris laid significantly more eggs than those of T. helveticus in a standard observation period. The work presented here defines a baseline ethogram and shows how it can be used to reveal quantifiable differences in closely related species. This demonstrates its value in furthering our understanding of oviposition , a key aspect of female behaviour currently understudied in Triturus behavioural ecology, despite its intrinsic interest and value in understanding recruitment and maintenance of populations. [source] Passive avoidance training decreases synapse density in the hippocampus of the domestic chickEUROPEAN JOURNAL OF NEUROSCIENCE, Issue 4 2006A. M. Nikolakopoulou Abstract The bird hippocampus (Hp), although lacking the cellular lamination of the mammalian Hp, possesses comparable roles in spatial orientation and is implicated in passive avoidance learning. As in rodents it can be divided into dorsal and ventral regions based on immunocytochemical, tracing and electrophysiological studies. To study the effects of passive avoidance learning on synapse morphometry in the Hp, spine and shaft synapse densities of 1-day-old domestic chicks were determined in dorsal and ventral Hp of each hemisphere by electron microscopy, 6 and 24 h following training to avoid pecking at a bead coated with a bitter-tasting substance, methyl anthranilate (MeA). The density of asymmetric spine and shaft synapses in MeA-trained birds at 6 h post-training was significantly lower in the dorsal and ventral Hp of the right hemisphere relative to control (untrained) chicks, but by 24 h this difference was absent. A hemispheric asymmetry was apparent in the ventral Hp where the water-trained group showed enhanced shaft and spine synapse density in the left hemisphere, whilst in the MeA-trained group only asymmetric shaft synapses follow the same pattern in relation to the right hemisphere. There were no differences in asymmetric shaft synapses in the dorsal Hp at 6 h post-training, but at 24 h post-training there was a reduction in the density of shaft synapses in the right hemisphere in MeA compared with control birds. These data are discussed in relation to the pruning effects of stress and learning on synapse density in chick Hp. [source] Unusual cone and rod properties in subterranean African mole-rats (Rodentia, Bathyergidae)EUROPEAN JOURNAL OF NEUROSCIENCE, Issue 6 2004Leo Peichl Abstract We have determined the presence of spectral cone types, and the population densities of cones and rods, in subterranean mole-rats of the rodent family Bathyergidae, for which light and vision seems of little importance. Most mammals have two spectral cone types, a majority of middle- to long-wave-sensitive (L-) cones, and a minority of short-wave-sensitive (S-)cones. We were interested to see whether the subterranean bathyergids show the same pattern. In three species, Ansell's mole-rat Cryptomys anselli, the giant mole-rat Cryptomys mechowi and the naked mole-rat Heterocephalus glaber, spectral cone types and rods were assessed immunocytochemically with opsin-specific antibodies. All three species had rod-dominated retinae but possessed significant cone populations. A quantitative assessment in C. anselli and C. mechowi revealed surprisingly low photoreceptor densities of 100 000,150 000/mm2, and high cone proportions, , 10% (8000,15 000/mm2). In all three species, the vast majority of the cones were strongly S-opsin-immunoreactive; L-opsin immunoreactivity was much fainter. In C. anselli, , 20% of the cones showed exclusive S-opsin label, , 10% exclusive L-opsin label and , 70% strong S-opsin and faint L-opsin double label (potential dual-pigment cones). This is the first observation in any mammal of an S-opsin dominance and low levels of L-opsin across the entire retina. It contrasts starkly with the situation in the muroid blind mole-rat Spalax ehrenbergi, which has been reported to possess L-opsin but no S-opsin. Evidently, within rodents an adaptation to subterranean life is compatible with very different spectral cone properties. [source] Resetting the brain clock: time course and localization of mPER1 and mPER2 protein expression in suprachiasmatic nuclei during phase shiftsEUROPEAN JOURNAL OF NEUROSCIENCE, Issue 4 2004Lily Yan Abstract The mechanism whereby brief light pulses reset the mammalian circadian clock involves acute Per gene induction. In a previous study we investigated light-induced expression of mPer1 and mPer2 mRNA in the suprachiasmatic nuclei (SCN), with the aim of understanding the relationship between gene expression and behavioural phase shifts. In the present study, we examine the protein products of mPer1 and mPer2 genes in the core and shell region of SCN for 34 h following a phase-shifting light pulse, in order to further explore the molecular mechanism of photic entrainment. The results indicate that, during the delay zone of the phase response curve, while endogenous levels of mPER1 and mPER2 protein are falling, a light pulse produces an increase in the expression of both proteins. In contrast, during the advance zone of the phase response curve, while levels of endogenous mPER1 and mPER2 proteins are rising, a light pulse results in a further increase in mPER1 but not mPER2 protein. The regional distribution of mPER1 and mPER2 protein in the SCN follows the same pattern as their respective mRNAs, with mPER1 expression in the shell region of SCN correlated with phase advances and mPER2 in the shell region correlated with phase delays. [source] Lipopolyamine treatment increases the efficacy of intoxication with saporin and an anticancer saporin conjugateFEBS JOURNAL, Issue 18 2007Sandra E. Geden Saporin is a type I ribosome-inactivating protein that is often appended with a cell-binding domain to specifically target and kill cancer cells. Urokinase plasminogen activator (uPA)-saporin, for example, is an anticancer toxin that consists of a chemical conjugate between the human uPA and native saporin. Both saporin and uPA-saporin enter the target cell by endocytosis and must then escape the endomembrane system to reach the cytosolic ribosomes. The latter process may represent a rate-limiting step for intoxication and would therefore directly affect toxin potency. In the present study, we document two treatments (shock with dimethylsulfoxide and lipopolyamine coadministration) that generate substantial cellular sensitization to saporin/uPA-saporin. With the use of lysosome-endosome X (LEX)1 and LEX2 mutant cell lines, an endosomal trafficking step preceding cargo delivery to the late endosomes was identified as a major site for the dimethylsulfoxide-facilitated entry of saporin into the cytosol. Dimethylsulfoxide and lipopolyamines are known to disrupt the integrity of endosome membranes, so these reagents could facilitate the rapid movement of toxin from permeabilized endosomes to the cytosol. However, the same pattern of toxin sensitization was not observed for dimethylsulfoxide- or lipopolyamine-treated cells exposed to diphtheria toxin, ricin, or the catalytic A chain of ricin. The sensitization effects were thus specific for saporin, suggesting a novel mechanism of saporin translocation by endosome disruption. Lipopolyamines have been developed as in vivo gene therapy vectors; thus, lipopolyamine coadministration with uPA-saporin or other saporin conjugates could represent a new approach for anticancer toxin treatments. [source] Lep d 2 polymorphisms in wild and cultured Lepidoglyphus destructor mitesFEBS JOURNAL, Issue 4 2003Liselotte Kaiser We have previously cloned, expressed and characterized two variants of the major allergen Lep d 2 from cultured Lepidoglyphus destructor mites. These variants, Lep d 2.0101 and Lep d 2.0201, differ at 13 amino acid positions. In this study we investigated Lep d 2 sequence diversity between wild and cultured mites. PCR, Southern blot and DNA sequence analysis revealed the presence of two different Lep d 2 genes, one with and one without an intron. In addition, two new variants of Lep d 2, Lep d 2.0102 and Lep d 2.0202, were found at different frequencies in wild and cultured mites. When we expressed the Lep d 2 variants and compared their IgE binding properties by ELISA inhibition, we found that Lep d 2.0102 was a more potent inhibitor than Lep d 2.0101, and to a lesser extent Lep d 2.0202 was more potent than Lep d 2.0201. Long-term cultures of peripheral blood mononuclear cells were used to assess the ability of the expressed Lep d 2 variants to induce cytokine release. Although cells from different individuals released different amounts of interferon-, and interleukin-5, no consistent cytokine release pattern could be linked to any specific Lep d 2 variant. In conclusion, we show that both cultured and wild Lepidoglyphus destructor mites contain the same pattern of polymorphism. Furthermore, this Lep d 2 sequence diversity seems not to have any significant impact on the allergens IgE binding or its ability to induce T cell cytokine release. [source] Sensitivity of organic matter decomposition to warming varies with its qualityGLOBAL CHANGE BIOLOGY, Issue 4 2008RICHARD T. CONANT Abstract The relationship between organic matter (OM) lability and temperature sensitivity is disputed, with recent observations suggesting that responses of relatively more resistant OM to increased temperature could be greater than, equivalent to, or less than responses of relatively more labile OM. This lack of clear understanding limits the ability to forecast carbon (C) cycle responses to temperature changes. Here, we derive a novel approach (denoted Q10,q) that accounts for changes in OM quality during decomposition and use it to analyze data from three independent sources. Results from new laboratory soil incubations (labile Q10,q=2.1 ± 0.2; more resistant Q10,q=3.8 ± 0.3) and reanalysis of data from other soil incubations reported in the literature (labile Q10,q=2.3; more resistant Q10,q=3.3) demonstrate that temperature sensitivity of soil OM decomposition increases with decreasing soil OM lability. Analysis of data from a cross-site, field litter bag decomposition study (labile Q10,q=3.3 ± 0.2; resistant Q10,q=4.9 ± 0.2) shows that litter OM follows the same pattern, with greater temperature sensitivity for more resistant litter OM. Furthermore, the initial response of cultivated soils, presumably containing less labile soil OM (Q10,q=2.4 ± 0.3) was greater than that for undisturbed grassland soils (Q10,q=1.7 ± 0.1). Soil C losses estimated using this approach will differ from previous estimates as a function of the magnitude of the temperature increase and the proportion of whole soil OM comprised of compounds sensitive to temperature over that temperature range. It is likely that increased temperature has already prompted release of significant amounts of C to the atmosphere as CO2. Our results indicate that future losses of litter and soil C may be even greater than previously supposed. [source] Soft-Contact Optical Lithography Using Transparent Elastomeric Stamps and Application to Nanopatterned Organic Light-Emitting DevicesADVANCED FUNCTIONAL MATERIALS, Issue 9 2005T.-W. Lee Abstract Conventional photolithography uses rigid photomasks of fused quartz and high-purity silica glass plates covered with patterned microstructures of an opaque material. We introduce new, transparent, elastomeric molds (or stamps) of poly(dimethylsiloxane) (PDMS) that can be employed as photomasks to produce the same resist pattern as the pattern of the recessed (or non-contact) regions of the stamps, in contrast to other reports in the literature[1] of using PDMS masks to generate edge patterns. The exposure dose of the non-contact regions with the photoresist through the PDMS is lower than that of the contact regions. Therefore, we employ a difference in the effective exposure dose between the contact and the non-contact regions through the PDMS stamp to generate the same pattern as the PDMS photomask. The photomasking capability of the PDMS stamps, which is similar to rigid photomasks in conventional photolithography, widens the application boundaries of soft-contact optical lithography and makes the photolithography process and equipment very simple. This soft-contact optical lithography process can be widely used to perform photolithography on flexible substrates, avoiding metal or resist cracks, as it uses soft, conformable, intimate contact with the photoresist without any external pressure. To this end, we demonstrate soft-contact optical lithography on a gold-coated PDMS substrate and utilized the patterned Au/PDMS substrate with feature sizes into the nanometer regime as a top electrode in organic light-emitting diodes that are formed by soft-contact lamination. [source] Heteroatoms and substituent effects: The importance of heteroatom hyperconjugationHETEROATOM CHEMISTRY, Issue 5 2002James F. King We have found that the specific rate of ,-sulfonyl carbanion formation in a ,-substituted sulfone shows a sizable dependence on the HC,C,X torsion angle. Defining kN = (kexch)X/(kexch)model (where the model has X = H or an alkyl group) we observed for a collection of ,-alkoxy sulfones (X = OR) acceptable agreement with the expression log kN = a + b cos2 , (where a = 1.70 and b = 2.62). Extension to other ,-substituents (X = RS, R2N, and R3N+) yields the same pattern, with the last showing very large dependence of kN on the torsion angle (b = 6.3). These observations are ascribed to the presence (in addition to the inductive and field effects) of negative hyperconjugation responsible for accelerations of 1000-fold and more, deriving from donation of the incipient negative charge on carbon into the ,*CX orbital in the transition state. These observations reflect, and at the same time underline, the importance of the low-lying antibonding orbitals present in heteroatomic molecules. © 2002 Wiley Periodicals, Inc. Heteroatom Chem 13:397,405, 2002; Published online in Wiley Interscience (www.interscience.wiley.com). DOI 10.1002/hc.10067 [source] A comparison of HRM systems in the USA, Japan and Germany in their socio-economic contextHUMAN RESOURCE MANAGEMENT JOURNAL, Issue 2 2006Markus Pudelko This article provides a comparative analysis of the HR practices of American, Japanese and German companies. The starting point is an investigation of the managerial, economic, socio-political and cultural contexts of the three HR systems. It will be demonstrated that the socio-economic contextual factors of the American and Japanese HR systems are in many ways at opposite ends of the spectrum, with the German factors in between. Subsequently, the three HR systems themselves are analysed. The data show that the same pattern, USA and Japan at the extremes and Germany taking a middle position, is valid also for the HR systems. This suggests that the relevant socio-economic context is highly pertinent for the establishment of an HR system. This outcome does not exclude either the integration of HR practices from a foreign HR model into the domestic one or standardisation efforts of HR practices of multinational companies, but confines the potential for cross-cultural learning and standardisation to what is within the ,fit' of the relevant socio-cultural context. [source] Evaluating explicit and implicit routing for watershed hydro-ecological models of forest hydrology at the small catchment scaleHYDROLOGICAL PROCESSES, Issue 8 2001C. L. Tague Abstract This paper explores the behaviour and sensitivity of a watershed model used for simulating lateral soil water redistribution and runoff production. In applications such as modelling the effects of land-use change in small headwater catchments, interactions between soil moisture, runoff and ecological processes are important. Because climate, soil and canopy characteristics are spatially variable, both the pattern of soil moisture and the associated outflow must be represented in modelling these processes. This study compares implicit and explicit routing approaches to modelling the evolution of soil moisture pattern and spatially variable runoff production. It also addresses the implications of using different landscape partitioning strategies. This study presents the results of calibration and application of these different routing and landscape partitioning approaches on a 60 ha forested watershed in Western Oregon. For comparison, the different approaches are incorporated into a physically based hydro-ecological model, RHESSys, and the resulting simulated soil moisture, runoff production and sensitivity to unbiased error are examined. Results illustrate that both routing approaches can be calibrated to achieve a reasonable fit between observed and modelled outflow. Calibrated values for effective watershed hydraulic conductivity are higher for the explicit routing approach, which illustrates differences between the two routing approaches in their representation of internal watershed dynamics. The explicit approach illustrates a seasonal shift in drainage organization from watershed to more local control as climate goes from a winter wet to a summer dry period. Assumptions used in the implicit approach maintain the same pattern of drainage organization throughout the season. The implicit approach is also more sensitive to random error in soil and topographic input information, particularly during wetter periods. Comparison between the two routing approaches illustrates the advantage of the explicit routing approach, although the loss of computational efficiency associated with the explicit routing approach is noted. To compare different strategies for partitioning the landscape, the use of a non-grid-based method of partitioning is introduced and shown to be comparable to grid-based partitioning in terms of simulated soil moisture and runoff production. Copyright © 2001 John Wiley & Sons, Ltd. [source] Study of selected quality and agronomic characteristics and their interrelationship in Kabuli-type chickpea genotypes (Cicer arietinum L.)INTERNATIONAL JOURNAL OF FOOD SCIENCE & TECHNOLOGY, Issue 2006Amal Badshah Khattak Summary Impact of genotype on quality, agronomic characteristics and their interrelationship in Kabuli-type chickpea was investigated to provide significant feedback to breeder for selection/evolution of the most suitable varieties. Seven genotypes were studied for seventeen physical, chemical and agronomic characteristics. The effect of Kabuli-type chickpea genotype on the physicochemical parameters, cooking time and agronomic characteristics were significant. Maximum seed size and volume were recorded for CC98/99 (0.32 g and 0.26 mL seed,1, respectively), density and swelling index for the genotype FLIP97-179C (having minimum seed size and volume), while the rest of the genotypes were statistically the same. Weight, volume after hydration, hydration capacity and swelling capacity followed the same pattern. Maximum moisture, protein and mineral concentration were noted in CC98/99. Seed protein concentration for the remaining genotypes was statistically non-significant from one another. Longer period was taken by CM 2000 for flowering and maturity (130 and 181 days, respectively). Minimum time to flowering and maturity was taken by CC98/99. Genotype CC 98/99 outyielded all other genotypes (2107 kg ha,1). Seed size and seed volume were strongly and positively correlated with protein content, weight after hydration, volume after hydration, hydration and swelling capacities (r = 0.83,1.0). Strong correlation was also noted among different agronomic characters. [source] Cost of Alzheimer's disease in a developing country settingINTERNATIONAL JOURNAL OF GERIATRIC PSYCHIATRY, Issue 7 2005M. Zencir Abstract Purpose To evaluate the economic impact of AD in Denizli, Turkey. Design and Methods This observational study was conducted with 42 AD patients and their primary caregivers. During the initial interview, demographic data and medical histories were collected with questionnaires. For an observational period of 15 days, data on time spent for patient care were collected using standard forms. Calculations on direct cost (e.g. per day medication, outpatient physician visits during the last 3 months), indirect cost (e.g. time spent for care by caregiver for daily living (ADL) and instrumental activity of daily living (IADL)) were made by summing up and taking averages of the appropriate items. ANOVA, and linear regressions were the methods for comparisons. Results The primary caregivers of the patients mainly were their children and/or spouses. The maximum mean time spent (h/week) was 21.0 (17.5) for severely damaged cognition. The average annual cost per case was between $1,766 [95% Confidence Intervals (CI); 1.300,2.231] and $4,930 (95% CI; 3.3714,6.147). The amount of caregiver cost was the most significant item in the overall cost and it showed an increase with the declining cognitive function of patients. Daily medication cost reflected the same pattern. In contrast, cost of outpatient physician was the lowest among the patients with the worst cognition. Conclusions These results suggest that recently AD has become a significant cost for developing countries. This pilot study gives an idea of the cost of AD in developing countries where determining the actual cost can be difficult. Copyright © 2005 John Wiley & Sons, Ltd. [source] Analysis of interobserver scoring patterns in porotic hyperostosis and cribra orbitaliaINTERNATIONAL JOURNAL OF OSTEOARCHAEOLOGY, Issue 4 2002Keith P. Jacobi Abstract The role of scoring standards has become increasingly important during the last ten years because of issues such as reburial and comparability of data among researchers. The present study considered the efficacy of a proposed standard for porotic hyperostosis and cribra orbitalia, two of the most commonly evaluated pathologies in skeletal analysis. Twenty scorers with varying experience in bioarchaeology and five scorers with no experience in bioarchaeology evaluated 21 partial skulls for three characteristics: presence of pathology, appearance of porosities, and degree of healing. Participants showed good levels of agreement (>80%) when a lesion was considered present, but most scorers never agreed that a specimen was free of pathology when, in fact, it was. Greater variation was seen in evaluation of porosity size among those cranial fragments with lesions. Determination of degree of healing showed even more diversity with 19 of 21 cases having all scoring options given. Level of experience did not appear to make a difference with respect to level of agreement. Virtually the same pattern of results was seen among the five individuals with no familiarity with porotic hyperostosis or cribra orbitalia but with some biological training. These findings suggest that further refinement, especially in the area of photographs and descriptions illustrating minimum and maximum representations of various scoring levels, are necessary to produce scoring standards for porotic hyperostosis and cribra orbitalia that are effective and reliable. Copyright © 2002 John Wiley & Sons, Ltd. [source] Photocatalytic Selective Oxidation of 4-Methoxybenzyl Alcohol to Aldehyde in Aqueous Suspension of Home-Prepared Titanium Dioxide CatalystADVANCED SYNTHESIS & CATALYSIS (PREVIOUSLY: JOURNAL FUER PRAKTISCHE CHEMIE), Issue 6 2007Giovanni Palmisano Abstract The photocatalytic oxidation of 4-methoxybenzyl alcohol to p -anisaldehyde (PAA) was performed in water with organic-free suspensions of home-prepared and commercial titanium dioxide (TiO2) catalysts. The nanostructured TiO2 samples were synthesised by boiling aqueous solutions of titanium tetrachloride (TiCl4), under mild conditions, for different times. The crystallinity increased with the boiling time. The 4-methoxybenzyl alcohol oxidation rate followed the same pattern but the highest yield (41.5,% mol) to PAA was found for the least crystalline sample, that showed a quantum efficiency of 0.116,%. A comparison with two commercial TiO2 samples showed that all the home-prepared catalysts exhibited a PAA yield higher than that of commercial ones. The only by-products present were traces of 4-methoxybenzoic acid and aliphatic products, carbon dioxide being the other main oxidation product. [source] Effects of Interactions of Moisture Regime and Nutrient Addition on Nodulation and Carbon Partitioning in Two Cultivars of Bean (Phaseolus vulgaris L.)JOURNAL OF AGRONOMY AND CROP SCIENCE, Issue 4 2001T. Boutraa Major limitations of bean (Phaseolus vulgaris L.) production in arid and semiarid regions are lack of moisture and low soil fertility. An experiment was conducted to determine the effects of soil moisture and N : P : K (20 : 10 : 10) fertilizer on root and shoot growth of two cultivars of bean: cv. Carioca, an indeterminate Brazilian landrace, and cv. Prince, a determinate cultivar grown in Europe. Carioca appears generally stress-tolerant while Prince is intolerant. Seedlings were grown in pots of non-sterile soil at 30, 60 or 90 % field capacity (FC), and given 0, 0.1 or 1 g (kg soil),1 of compound fertilizer. The soil contained a population of effective Rhizobium. Growth of both cultivars was greatest in the high moisture and high nutrient treatments. Root fractions were highest at low nutrient supply; the effect of water was not significant. Leaf fraction decreased as root fraction increased. Numbers of nodules were highest at high and intermediate moisture when no fertilizer was applied. Numbers were lowest at 30 % FC and at the highest fertilizer rate. Masses of nodules and fractions followed the same pattern. Decreasing water regime reduced the relative growth rate (RGR) of Prince, while Carioca maintained high RGR at unfavourable conditions of water and nutrients. Net assimilation rates (NAR) were unaffected by nutrient addition, and reduced by low moisture regime. Water use efficiencies (WUEs) were reduced by water stress but increased by nutrient deficiency. The water utilization for dry matter production was optimal at 60 % FC. Einflüsse der Interaktionen von Bodendenfeuchte und Düngung auf die Knöllchenbildung und Kohlenstoff verteilung bei zwei Bohnenkultivaren (Phaseolus vulgaris L.) Der begrenzende Hauptfaktor der Bohnenproduktion in ariden und semiariden Regionen sind der Feuchtigkeitsmangel und die Bodenfruchbarkeit. Es wurde ein Experiment durchgeführt, um die Wirkungen des Bodenwassers und von N : P : K (20 : 10 : 10) Dünger auf das Wurzel- und Sproßwachstum an zwei Kultivaren von Bohnen (Phaseolus vulgaris L. cv. Carioca, eine brasilianischen, indeterminierte Landsorte und cv. Prince, eine determinierter in Europa angebauter Kultivar) zu untersuchen. Carioca erscheint grundsätzlich streßtoleranter im Vergleich zu Prince. Die Sämlinge wurden in Gefäßen mit nichtsterilisiertem Boden unter Feldkapazitäten von 30,60 oder 90 % mit 0, 0,1 oder 1 g eines Volldüngers angezogen. Der Boden enthielt eine Population von wirksamem Rhizobium. Das stärkste Wachstum wurde bei beiden Kultivaren unter dem Einfluß des höchsten Feuchtigkeitsgehaltes und der höchsten Düngermenge gefunden. Der Wurzelanteil war bei der geringen Düngermenge am niedrigsten. Der Einfluß der Bodenfeuchtigkeit war nicht signifikant. Der Blattanteil nahm mit zunehmendem Wurzelanteil ab. Die Anzahl der Knötchen war bei hoher und mittlerer Bodenfeuchte und ohne Düngeranwendung am höchsten. Die Anzahl war am geringsten bei 30 % FC und der höchsten Düngermenge. Die Knötchenmasse und ihr Anteil reagierte entsprechend. Abnehmende Bodenfeuchte reduzierte die relative Wachtumsrate (RGR) von Prince, während Carioca einen hohen RGR auch bei ungünstigen Bedingungen bezüglich Wasser und Düngung behielt. Die Nettoassimilationsraten wurden durch die Düngung nicht beeinflußt; sie gingen bei geringer Bodenfeuchte zurück. Die Wassernutzungseffiziens (WUE) wurde bei Wasserstreß reduziert, nahm aber bei Düngermangel zu. Die Wassernutzung für die Trockenmasseproduktion war bei 60 % Feldkapazität am höchsten. [source] Effect of experimentally altered food abundance on fat reserves of wintering birdsJOURNAL OF ANIMAL ECOLOGY, Issue 5 2003Christopher M. Rogers Summary 1Current models of adaptive fat regulation make opposing predictions concerning the effect of increased winter food supply on size of the avian winter fat reserve. To distinguish between models, food supply was varied experimentally in nature and two measures of size of the fat reserve were taken at food-supplemented sites and non-supplemented sites. 2In two winters, most of the seven species sampled showed slightly higher visible subcutaneous fat class at supplemented than at non-supplemented sites; treatment and species factors were statistically significant. Body mass corrected for wing length showed a similar if non-significant trend. 3A parallel dispersal study of birds colour-banded at non-supplemented sites showed that these birds did not move 0·8 or 1·5 km to use supplemental food at private feeding stations in the study areas. In addition, accipiter hawk attack rate did not differ between supplemented and non-supplemented sites. 4These results are consistent with a model of adaptive fat regulation (based on between-day environmental variability caused by severe weather events) that predicts an increase in the winter fat reserve at increased food supply. Other published studies, all from the north temperate zone, showed the same pattern. 5The present results are inconsistent with a second model (based on within-day foraging interruption) which predicts a decrease in the fat reserve under increased food supply. However, a set of published studies, all from tropical regions or regions with mild maritime climate, showed the decrease at higher food predicted by the second but not the first model. 6Models of adaptive fat regulation in small birds are therefore limited in their predictive power, perhaps because they are developed for environments that differ in the time scale of environmental stochasticity. New studies are needed that explore further the complexities of environment-specific adaptive fat models, e.g. a winter feeding experiment in a tropical bird species. [source] X-Cell: a novel indexing algorithm for routine tasks and difficult casesJOURNAL OF APPLIED CRYSTALLOGRAPHY, Issue 2 2003Marcus A. Neumann X-Cell is a novel indexing algorithm that makes explicit use of systematic absences to search for possible indexing solutions from cells with low numbers of calculated reflections to cells with high numbers of reflections. Space groups with the same pattern of systematic absences are grouped together in powder extinction classes, and for a given peak number range an independent search is carried out in each powder extinction class. The method has the advantage that the correct cell is likely to be found before the rapid increase of possible solutions slows down the search significantly. A successive dichotomy approach is used to establish a complete list of all possible indexing solutions. The dichotomy procedure is combined with a search for the zero-point shift of the diffraction pattern, and impurity peaks can be dealt with by allowing for a user-defined portion of unindexed reflections. To rank indexing solutions with varying numbers of unindexed reflections, a new figure of merit is introduced that takes into account the highest level of agreement typically obtained for completely incorrect unit cells. The indexing of long and flat unit cells is facilitated by the possibility to search for rows or zones in reciprocal space first and then to use the lattice parameters of the dominant row or zone in the unit-cell search. The main advantages of X-Cell are robustness and completeness, as demonstrated by a validation study on a variety of compounds. The dominant phase of phase mixtures can be indexed in the presence of up to 50% of impurity peaks if high-quality synchrotron data are available. [source] Recovery of anuran community diversity following habitat replacementJOURNAL OF APPLIED ECOLOGY, Issue 1 2010David Lesbarrères Summary 1.,Recently habitat degradation, road construction and traffic have all increased with human populations, to the detriment of aquatic habitats and species. While numerous restoration programmes have been carried out, there is an urgent need to follow their success to better understand and compensate for the decline of amphibian populations. To this end, we followed the colonization success of an anuran community across multiple replacement ponds created to mitigate large-scale habitat disturbance. 2.,Following construction of a highway in western France, a restoration project was initiated in 1999 and the success of restoration efforts was monitored. The amphibian communities of eight ponds were surveyed before they were destroyed. Replacement ponds were created according to precise edaphic criteria, consistent with the old pond characteristics and taking into account the amphibian species present in each. The presence of amphibian species was recorded every year during the breeding period for 4 years following pond creation. 3.,Species richness initially declined following construction of the replacement ponds but generally returned to pre-construction levels. Species diversity followed the same pattern but took longer to reach the level of diversity recorded before construction. Pond surface area, depth and sun exposure were the most significant habitat characteristics explaining both amphibian species richness and diversity. Similarly, an increase in the number of vegetation strata was positively related to anuran species richness, indicating the need to maintain a heterogeneous landscape containing relatively large open wetland areas. 4.,Synthesis and applications. We highlight the species-specific dynamics of the colonization process, including an increase in the number of replacement ponds inhabited over time by some species and, in some cases, an increase in population size. Our work suggests that successful replacement ponds can be designed around simple habitat features, providing clear benefits for a range of amphibian species, which will have positive cascading effects on local biodiversity. However, consideration must also be given to the terrestrial buffer zone when management strategies are being planned. Finally, our study offers insight into the successful establishment of anuran communities over a relatively short time in restored or replacement aquatic environments. [source] An astronomical pattern-matching algorithm for computer-aided identification of whale sharks Rhincodon typusJOURNAL OF APPLIED ECOLOGY, Issue 6 2005Z. ARZOUMANIAN Summary 1The formulation of conservation policy relies heavily on demographic, biological and ecological knowledge that is often elusive for threatened species. Essential estimates of abundance, survival and life-history parameters are accessible through mark and recapture studies given a sufficiently large sample. Photographic identification of individuals is an established mark and recapture technique, but its full potential has rarely been exploited because of the unmanageable task of making visual identifications in large data sets. 2We describe a novel technique for identifying individual whale sharks Rhincodon typus through numerical pattern matching of their natural surface ,spot' colourations. Together with scarring and other markers, spot patterns captured in photographs of whale shark flanks have been used, in the past, to make identifications by eye. We have automated this process by adapting a computer algorithm originally developed in astronomy for the comparison of star patterns in images of the night sky. 3In tests using a set of previously identified shark images, our method correctly matched pairs exhibiting the same pattern in more than 90% of cases. From a larger library of previously unidentified images, it has to date produced more than 100 new matches. Our technique is robust in that the incidence of false positives is low, while failure to match images of the same shark is predominantly attributable to foreshortening in photographs obtained at oblique angles of more than 30°. 4We describe our implementation of the pattern-matching algorithm, estimates of its efficacy, its incorporation into the new ECOCEAN Whale Shark Photo-identification Library, and prospects for its further refinement. We also comment on the biological and conservation implications of the capability of identifying individual sharks across wide geographical and temporal spans. 5Synthesis and applications. An automated photo-identification technique has been developed that allows for efficient ,virtual tagging' of spotted animals. The pattern-matching software has been implemented within a Web-based library created for the management of generic encounter photographs and derived data. The combined capabilities have demonstrated the reliability of whale shark spot patterns for long-term identifications, and promise new ecological insights. Extension of the technique to other species is anticipated, with attendant benefits to management and conservation through improved understanding of life histories, population trends and migration routes, as well as ecological factors such as exploitation impact and the effectiveness of wildlife reserves. [source] Gonadal development and spawning cycle in the digynic hermaphrodite sharpsnout seabream Diplodus puntazzo (Sparidae) off the Canary Islands, northwest of AfricaJOURNAL OF APPLIED ICHTHYOLOGY, Issue 1 2008J. G. Pajuelo Summary Diplodus puntazzo is a species characterized by a rudimentary hermaphroditism, with a low level of protandry. The study found that the overall sex ratio was one male to 2.03 females, diverging significantly from 1 : 1, and that there was a ratio of one male to 0.11 transitional fish. The sex ratio varied with season: during the reproductive period the ratio was 1 : 1.86 (male : female), significantly lower than in the non-reproductive period in which the sex ratio was approximately 1 : 2.26. Both sexes had similar size distributions; however, females were predominant in all size intervals, especially in the larger ones. No significant difference in mean total length (TL) between females (330 mm), males (319 mm) or transitionals (321 mm) was found. The smallest functional female and male analysed were 159 and 157 mm TL, and the largest were 520 and 510 mm TL, respectively. No significant difference in length at first level of maturity, attained at the second year of life, was found between males (281 mm) and females (292 mm), respectively. A protracted spawning season was identified for the species: from September to February, with a peak in November. GSI values followed the same pattern for males and females, with values of females being similar to those of males; the highest values occurred between September and December, with a maximum in November. Occurrence of transitional fish was significantly higher during the month with highest values of GSI than in the resting period. The study found that vitellogenesis did not begin synchronously for all females, and the simultaneous presence of oocytes in all stages of development indicated an asynchronous mode of ovarian development. The presence of postovulatory, together with tertiary yolk vesicle oocytes, indicated that the species is a multiple spawner. [source] |