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Selected AbstractsGlucose induction pathway regulates meiosis in Saccharomyces cerevisiae in part by controlling turnover of Ime2p meiotic kinaseFEMS YEAST RESEARCH, Issue 5 2008Misa Gray Abstract Several components of the glucose induction pathway, namely the Snf3p glucose sensor and the Rgt1p and Mth1p transcription factors, were shown to be involved in inhibition of sporulation by glucose. The glucose sensors had only a minor role in regulating transcript levels of the two key regulators of meiotic initiation, the Ime1p transcription factor and the Ime2p kinase, but a major role in regulating Ime2p stability. Interestingly, Rgt1p was involved in glucose inhibition of spore formation but not inhibition of Ime2p stability. Thus, the glucose induction pathway may regulate meiosis through both RGT1- dependent and RGT1- independent pathways. [source] Several components of global change alter nitrifying and denitrifying activities in an annual grasslandFUNCTIONAL ECOLOGY, Issue 4 2006R. BARNARD Summary 1The effects of global change on below-ground processes of the nitrogen (N) cycle have repercussions for plant communities, productivity and trace gas effluxes. However, the interacting effects of different components of global change on nitrification or denitrification have rarely been studied in situ. 2We measured responses of nitrifying enzyme activity (NEA) and denitrifying enzyme activity (DEA) to over 4 years of exposure to several components of global change and their interaction (increased atmospheric CO2 concentration, temperature, precipitation and N addition) at peak biomass period in an annual grassland ecosystem. In order to provide insight into the mechanisms controlling the response of NEA and DEA to global change, we examined the relationships between these activities and soil moisture, microbial biomass C and N, and soil extractable N. 3Across all treatment combinations, NEA was decreased by elevated CO2 and increased by N addition. While elevated CO2 had no effect on NEA when not combined with other treatments, it suppressed the positive effect of N addition on NEA in all the treatments that included N addition. We found a significant CO2,N interaction for DEA, with a positive effect of elevated CO2 on DEA only in the treatments that included N addition, suggesting that N limitation of denitrifiers may have occurred in our system. Soil water content, extractable N concentrations and their interaction explained 74% of the variation in DEA. 4Our results show that the potentially large and interacting effects of different components of global change should be considered in predicting below-ground N responses of Mediterranean grasslands to future climate changes. [source] Molecular Analysis of Brassinosteroid ActionPLANT BIOLOGY, Issue 3 2006C. Müssig Abstract: Brassinosteroids (BRs) are steroidal plant hormones with important regulatory roles in various physiological processes, including growth, xylem differentiation, disease resistance, and stress tolerance. Several components of the BR signal transduction pathway have been identified. The extracellular domains of receptor kinases such as BRI1 perceive BRs and transduce the signal via intracellular kinase domains. Within the cell further kinases and phosphatases determine the phosphorylation status of transcription factors such as BES1 and BZR1. These factors mediate major BR effects. Studies of BR-regulated genes shed light on the molecular mode of BR action. Genes encoding cell-wall-modifying enzymes, enzymes of the BR biosynthetic pathway, transcription factors, and proteins involved in primary and secondary metabolism are subject to BR-regulation. Gene expression data also point at interactions with other phytohormones and a role of BR in stress responses. This article gives a survey of the BR-signaling pathway. Two BR-responsive genes, OPR3 and EXO, are described in detail. [source] Lithium and KB-R7943 effects on mechanics and energetics of rat heart muscleACTA PHYSIOLOGICA, Issue 1 2002P. Bonazzola ABSTRACT The role of calcium influx on energy expenditure during cardiac contraction was studied. For this purpose, the described ability of lithium and KB-R 7943 (KBR) to diminish Ca entry through Na,Ca exchanger (Ponce-Hornos & Langer, J Mol Cell Cardiol 1980, 12, 1367, Satoh et al., Circulation 2000, 101, 1441) were used. In isolated contractions (contractions elicited after at least 5 min of rest) LiCl 45 mmol L,1 decreased pressure developed and pressure,time integral from 42.3 ± 2.7 and 14.5 ± 1.2 to 32.1 ± 3.4 mN mm,2 and 8.3 ± 0.9 mN mm,2 s, respectively. A similar effect was observed in regular contractions (at 0.16 Hz stimulation). The presence of KBR (5 ,mol L,1) in the perfusate induced a slight but not significant decrease in pressure developed and pressure,time integral in steady-state contractions. As it was previously described, the heat involved in a heart muscle contraction can be decomposed into several components (H1, H2, H3 and H4), but only one (H3) was associated with force generation. While H3 decreased with lithium in both types of contractions, H3/PtI ratio remained unaltered, indicating that the economy for pressure maintenance was unaffected. To further investigate the role of Ca entry on force development, a condition in which the contraction is mainly dependent on extracellular calcium was studied. An ,extra' stimulus applied 200 ms after the regular one in a muscle stimulated at 0.16 Hz induces a contraction with this characteristic (Marengo et al., Am J Physiol 1999, 276, H309). Lithium induced a strong decrease in pressure,time integral and H3 associated with this contraction (43 and 45%, respectively) with no change in H3/PtI ratio. Lithium also reduced (53%) an energy component (H2) associated with Ca cycling. The use of KBR showed qualitatively similar results [i.e. a 33% reduction in pressure,time integral associated with the extrasystole (ES) with no changes in H3/PtI ratio and a 30% reduction in the H2 component]. Li and KBR effects appear to be additive and in the presence of 45 mmol L,1 Li and 5 ,mol L,1 KBR the extrasystole was abolished in 77%. Lithium and KBR effects particularly for the extrasystole can be explained through the inhibition of Ca entry via Na,Ca exchange giving support to the participation of the Na,Ca exchanger in the Ca influx from the extracellular space. In addition, the results also suggest the possibility of an effect of Li on an additional Ca sensitive locus (different than the Na,Ca exchanger). In this connection, in isolated contractions lithium decreased the energy release fraction related to mitochondrial processes (H4) increasing the economy of the overall cardiac contraction. [source] Why are Male Columbian Ground Squirrels Territorial?ETHOLOGY, Issue 11 2008Theodore G. Manno Male territorial defence is a component of many vertebrate mating systems and is often regarded as a tactic for acquiring mates. Traditionally considered within the context of overt site-specific defence, territoriality actually may have several components which encompass a variety of behavioural tactics (e.g. post-copulatory mate-guarding, defence of resources that females need, defence of area around females) that underlie a mating system. The purpose of our study was to evaluate such influences on the territorial behaviour of male Columbian ground squirrels in southwestern Alberta, Canada. Males were dominant and territorial if they defended a minimum convex polygon activity range by chasing other males more within the activity range than they were chased. Subordinate males had no territory and were chased throughout their ranges, but they competed for mates by increasing chases in their activity range when nearby females were oestrous. Dominant males exhibited conditional breeding tactics, tending to chase other dominant males from their territory when nearby females were oestrous, but travelling outside their activity ranges to chase subordinate males when females were not oestrous. Although females mated first with a dominant male on whose territory they resided (and in order from oldest to youngest if several territories overlapped), mating pairs were not exclusive, as females usually mated with additional males. Males also guarded females after copulation and defended females directly just before oestrus, rather than defending territory per se during those times. Thus, males possess a repertoire of behaviours that complement site-specific territoriality, and territory ownership serves to facilitate a first mating with females that live on the territory. [source] New insights into the pathology of Parkinson's disease: does the peripheral autonomic system become central?EUROPEAN JOURNAL OF NEUROLOGY, Issue 2008A. Probst Recent studies in aged, neurologically unimpaired subjects have pointed to a specific induction site of the pathological process of Parkinson's disease (PD) in the region of the dorsal glossopharyngeus,vagus complex as well as in the anterior olfactory nucleus. From the lower brainstem, the disease process would then pursue an ascending course and involve more rostral brainstem areas, limbic structures, and eventually the cerebral cortex. One barrier to the acceptance of the caudal medullary structures as the induction site of PD pathology is that not all parts of the nervous system have been investigated for the presence of PD-associated lesions in cases of early asymptomatic PD. Using alpha-synuclein immunostaining, we investigated the brain, the sacral, and thoracic autonomic nuclei of the spinal cord as well as several components of the peripheral autonomic nervous system in a autopsy cohort of 98 neurologically unimpaired subjects aged 64 or more. Our data indicate that the autonomic nuclei of the spinal cord and the peripheral autonomic nervous system belong to the most constantly and earliest affected regions next to medullary structures and the olfactory nerves in neurologically unimpaired older individuals, thus providing a pathological basis for early premotor autonomic dysfunctions at a prodromal stage of PD. [source] The pathophysiology of spasticityEUROPEAN JOURNAL OF NEUROLOGY, Issue 2002G. Sheean Spasticity is only one of several components of the upper motor neurone (UMN) syndrome, known collectively as the `positive' phenomena, that are characterized by muscle overactivity. Other components include tendon hyper-reflexia, clonus, the clasp-knife phenomenon, flexor and extensor spasms, a Babinski sign, and spastic dystonia. Spasticity is a form of hypertonia due to hyperexcitable tonic stretch reflexes. It is distinguished from rigidity by its dependence upon the speed of the muscle stretch and by the presence of other positive UMN signs. Hyperactive spinal reflexes mediate most of these positive phenomena, while others are due to disordered control of voluntary movement or abnormal efferent drive. An UMN lesion disturbs the balance of supraspinal inhibitory and excitatory inputs, producing a state of net disinhibition of the spinal reflexes. These include proprioceptive (stretch) and nociceptive (flexor withdrawal and extensor) reflexes. The clinical syndrome resulting from an UMN lesion depends more upon its location and extent, and the time since it occurred, than on the pathology of the lesion. However, the change in spinal reflex excitability cannot simply be due to an imbalance in supraspinal control. The delayed onset after the lesion and the frequent reduction in reflex excitability over time, suggests plasticity in the central nervous system. Knowledge of the electrophysiology and neurochemistry of spinal reflexes, together with the action of antispasticity drugs, helps us to understand the pathophysiology of spasticity. [source] Interactions between fishing strategies of Nephrops trawlers in the Bay of Biscay and Norway lobster diel activity patternsFISHERIES MANAGEMENT & ECOLOGY, Issue 1 2008V. M. TRENKEL Abstract, Norway lobster, Nephrops norvegicus (L.), in the Bay of Biscay exhibited diel activity patterns with more individuals outside their burrows at dawn and dusk, increasing catchability at these times. Data from an on board observer programme on Nephrops trawlers between 2002 and 2005 were used to assess variability in catchability in commercial catches. Catch numbers per haul varied spatially and between months, but no signal for diel variations was found. Fishing strategies developed by the Nephrops trawlers had several components. On a seasonal level, they started around sunrise. On a haul level, haul duration decreased from haul to haul, with the longest hauls taking place at the time of the highest catchability. By-catch of hake, Merluccius merluccius (L.), increased more than proportionally with haul duration. [source] Several components of global change alter nitrifying and denitrifying activities in an annual grasslandFUNCTIONAL ECOLOGY, Issue 4 2006R. BARNARD Summary 1The effects of global change on below-ground processes of the nitrogen (N) cycle have repercussions for plant communities, productivity and trace gas effluxes. However, the interacting effects of different components of global change on nitrification or denitrification have rarely been studied in situ. 2We measured responses of nitrifying enzyme activity (NEA) and denitrifying enzyme activity (DEA) to over 4 years of exposure to several components of global change and their interaction (increased atmospheric CO2 concentration, temperature, precipitation and N addition) at peak biomass period in an annual grassland ecosystem. In order to provide insight into the mechanisms controlling the response of NEA and DEA to global change, we examined the relationships between these activities and soil moisture, microbial biomass C and N, and soil extractable N. 3Across all treatment combinations, NEA was decreased by elevated CO2 and increased by N addition. While elevated CO2 had no effect on NEA when not combined with other treatments, it suppressed the positive effect of N addition on NEA in all the treatments that included N addition. We found a significant CO2,N interaction for DEA, with a positive effect of elevated CO2 on DEA only in the treatments that included N addition, suggesting that N limitation of denitrifiers may have occurred in our system. Soil water content, extractable N concentrations and their interaction explained 74% of the variation in DEA. 4Our results show that the potentially large and interacting effects of different components of global change should be considered in predicting below-ground N responses of Mediterranean grasslands to future climate changes. [source] How to measure non-consistency of medical practices with available evidence in therapeutics: a methodological frameworkFUNDAMENTAL & CLINICAL PHARMACOLOGY, Issue 5 2005Jean-Pierre Boissel Abstract Since the early 1980s many studies showed a gap between available evidence and medical practice. They were designed to assess the real impact of randomized clinical trials on the practice of medicine. Their results substantiated a knowledge translation problem. However, they were qualitative findings, i.e. a gap exists or not, although the problem is quantitative (how large is the gap?) and has several components that should be documented according to the objective of the study. In this article, we explored the components and the various contexts in which the measure of the distance between practice and knowledge is considered. All these features should be taken into account for a more accurate and relevant assessment of the distance. [source] Palaeomagnetism, rock magnetism and geochemistry of Jurassic dykes and correlative redbeds, Massachusetts, USAGEOPHYSICAL JOURNAL INTERNATIONAL, Issue 1 2000Suzanne A. McEnroe Jurassic diabase dykes, sills and sedimentary rocks in central Massachusetts were sampled for palaeomagnetic analysis. The intrusions fall into three of the chemical types for eastern North American diabases: high TiO2 quartz-normative (Holden); low TiO2 quartz-normative (Ware); and high Fe2O3 quartz-normative (Pelham,Loudville). The characteristic magnetizations in the majority of intrusive samples unblock between 550 °C and 580 °C, with Curie temperatures in a discrete interval between 556 °C and 580 °C. The dominant remanence in the diabases is carried by C1 to C3 oxidation-exsolved titanomagnetite occurring as euhedral grains, as fine needles or dust in the matrix, as devitrifed glass, and as fine magnetite-ilmenite-silicate symplectite. In some dykes, titanomagnetite was further modified by deuteric oxidation during post-magmatic cooling, creating titanomaghematite and/or a granulation of the magnetite. Palaeopoles for the three diabase groups are: Holden, 60.1°N, 80.5°E, A95 = 4.1°; Ware, 73.5°N, 85.8°E, A95 = 3.9°; and Pelham,Loudville, 65.3°N, 95.6°E, A95 = 4.1°. These data are combined with samples from two stratigraphic sections through the Early Jurassic part of the Sugarloaf Formation in the Deerfield Basin representing both fine-grained mudstones and coarser arkoses. These haematite-dominated rocks reveal several components of magnetization, a steep recent field direction, an intermediate secondary diagenetic overprint direction in both mudstones and arkoses, and a high-temperature shallow primary direction found only in the mudstones. Palaeopoles for the Sugarloaf Formation are: mudstones, 57.7°N, 81.3°E, A95 = 9.1°; and arkoses, 75.1°N, 131.6°E, A95 = 5.9°. Based on the new palaeomagnetic data reported here, the North American plate in the Middle Jurassic was at higher palaeolatitudes than indicated by the present North American apparent polar wander path. [source] Core Inflation and Monetary PolicyINTERNATIONAL FINANCE, Issue 3 2001Marianne Nessén What are the implications of targeting different measures of inflation? We extend a basic theoretical framework of optimal monetary policy under inflation targeting (Svensson 1997) to include several components of CPI inflation, and analyse the implications of using different measures of inflation as the target variable , headline CPI inflation, core inflation, and CPI excluding interest rates. Our main results are the following. First, barring the interest rate component, temporary shocks to inflation do not affect optimal monetary policy under any regime. Second, indirect (second-round) effects of disturbances on target variables need to be accounted for properly. Simply excluding seemingly temporary disturbances from the reaction function risks leading to inappropriate policy responses. Third, it may be optimal to respond to changes in one measure of inflation even if the target is defined in terms of another. Fourth, the presence of the direct interest rate component in the CPI tends to push optimal monetary policy in an expansionary direction. The net effect, considering also the traditional channel, however, depends on the nature of the initial disturbance. [source] Ly6 family member C4.4A binds laminins 1 and 5, associates with galectin-3 and supports cell migrationINTERNATIONAL JOURNAL OF CANCER, Issue 5 2005Claudia Paret Abstract C4.4A is a member of the Ly6 family, with low homology to uPAR. It has been detected mainly on metastasizing carcinoma cells and proposed to be involved in wound healing. So far, C4.4A has been observed as an orphan receptor, and its functional activity has not been explored. Using recombinant rat C4.4A (rrC4.4A) made in a eukaryotic expression system, we demonstrate by immunohistology that C4.4A ligands are strongly expressed in tissues adjacent to squamous epithelia of, e.g., tongue and esophagus, the expression pattern partly overlapping with laminin (LN) and complementing the C4.4A expression that is found predominantly on the basal layers of squamous epithelium. ELISA screening of several components of the extracellular matrix revealed selective binding of rrC4.4A to LN1 and LN5 and that transfection of the BSp73AS tumor line with C4.4A cDNA (BSp73AS-1B1) promoted LN1 and LN5 binding. Binding of BSp73AS-1B1 to LN5 and, less markedly, LN1 induced spreading, lamellipodia formation and migration. C4.4A also associates with galectin-3 in nontransformed tissues and tumor lines. There is evidence that the association of C4.4A with galectin-3 influences LN adhesion. C4.4A was described originally as a metastasis-associated molecule. Our findings that LN1 and LN5 are C4.4A ligands, that galectin-3 associates with C4.4A and that C4.4A ligand binding confers a migratory phenotype are well in line with the supposed metastasis association. © 2005 Wiley-Liss, Inc. [source] An efficient multivariate approach for estimating preference when individual observations are dependentJOURNAL OF ANIMAL ECOLOGY, Issue 5 2008Steinar Engen Summary 1We discuss aspects of resource selection based on observing a given vector of resource variables for different individuals at discrete time steps. A new technique for estimating preference of habitat characteristics, applicable when there are multiple individual observations, is proposed. 2We first show how to estimate preference on the population and individual level when only a single site- or resource component is observed. A variance component model based on normal scores in used to estimate mean preference for the population as well as the heterogeneity among individuals defined by the intra-class correlation. 3Next, a general technique is proposed for time series of observations of a vector with several components, correcting for the effect of correlations between these. The preference of each single component is analyzed under the assumption of arbitrarily complex selection of the other components. This approach is based on the theory for conditional distributions in the multi-normal model. 4The method is demonstrated using a data set of radio-tagged dispersing juvenile goshawks and their site characteristics, and can be used as a general tool in resource or habitat selection analysis. [source] A self-applied, Internet-based intervention for fear of public speakingJOURNAL OF CLINICAL PSYCHOLOGY, Issue 8 2004Cristina Botella The aim of this article is to introduce, illustrate, and present effectiveness data on a new telepsychology program for the treatment of fear of public speaking. The Talk to Me program is an Internet-based self-applied intervention that has several components, including a diagnostic assessment, a structured treatment, and an outcome protocol that evaluates treatment efficacy in a continuous manner. We describe the characteristics of the program and present a case study. Results demonstrated a significant decrease in levels of fear and avoidance related to speaking in public. © 2004 Wiley Periodicals, Inc. J Clin Psychol/In Session. [source] Stress-induced dynamic adjustments of reproduction differentially affect fitness components of a semi-arid plantJOURNAL OF ECOLOGY, Issue 1 2008Cristina F. Aragón Summary 1Summer drought stress is considered the primary constraint to plant performance in Mediterranean ecosystems. However, little is known about the implications of summer stress for plant reproduction under real field conditions and, particularly, for the regulatory mechanisms of maternal investment in reproduction. 2The relationship between plant physiological status at different reproductive stages over the course of the summer drought period and final reproductive output was modelled in the Mediterranean semi-arid specialist Helianthemum squamatum. 3Plant physiological status, assessed by the chlorophyll fluorescence-based parameter Fv/Fm, and soil moisture content beneath each plant, were determined in the field at five key phenological moments in a total of 88 plants. We used Generalized Linear Mixed Models to evaluate the effect of plant physiological status at those different dates on several components of reproduction (number of flowers and seeds per plant, fruit-set and intra-fruit seed abortion). We included soil moisture as an additional predictor to statistically control its potential effect on reproduction. 4Fv/Fm measured at midday was a significant predictor of reproductive output, but its significance varied over time and with the specific reproductive response variable. Fv/Fm measured at the onset of flowering was positively related to the number of flowers and seeds per plant, whereas Fv/Fm at the fruiting peak positively affected fruit-set. Soil moisture content was only significant when measured before flowering, being positively related to total flowers and seeds. The effect of stress on reproductive output acted either at an early stage of the reproductive season, by varying the number of flowers produced and seed primordia initiated, or at a later stage, by adjusting the number or ripe fruits. 5Synthesis. Our results show a direct relationship between physiological status and reproduction, and highlight the importance of the timing of stress for reproductive success. They also show that small departures from the physiological optimum at specific reproductive stages may cause significant decreases in the reproductive output. We suggest that the dynamic adjustment of reproduction in response to stress is adaptive in fluctuating and unpredictable Mediterranean semi-arid environments, where an adequate temporal distribution of maternal resources determines the species' ability to withstand severe environmental conditions. [source] Comparative rates of lower jaw diversification in cichlid adaptive radiationsJOURNAL OF EVOLUTIONARY BIOLOGY, Issue 7 2010C. D. HULSEY Abstract The lower jaw (LJ) provides an ideal trophic phenotype to compare rates and patterns of macroevolution among cichlid radiations. Using a novel phylogeny of four genes (ND2, dlx2, mitfb, and s7), we examined the evolutionary relationships among two of the most phylogenetically disparate cichlid radiations: (i) the Central America Heroines; and (ii) the East African Lake Malawi flock. To quantify jaw morphology, we measured two LJ lever systems in approximately 40 species from each lineage. Using geologic calibrations, we generated a chronogram for both groups and examined the rates of jaw evolution in the two radiations. The most rapidly evolving components of the LJ differed between the two radiations. However, the Lake Malawi flock exhibited a much faster rate of evolution in several components of the LJ. This rapid rate of divergence is consistent with natural selection, promoting unparalleled trophic diversification in Lake Malawi cichlids. [source] Development of Greenhouse Inoculation Procedures for Evaluation of Partial Resistance to Cercospora zeae-maydis in Maize InbredsJOURNAL OF PHYTOPATHOLOGY, Issue 11-12 2005G. Asea Abstract Greenhouse experiments were conducted to determine the effects of inoculation methods on incubation period, lesion length, percentage leaf area affected and sporulation of Cercospora zeae-maydis on young maize (Zea mays L.) plants inoculated at V3 growth stage. Seedling plants were inoculated by four methods: (i) application of conidial suspension while puncturing the leaves within the whorl several times, (ii) spraying conidial suspension on leaves, (iii) placing colonized agar into lateral slits in leaves and (iv) placing colonized agar into whorls. Analysis of variance revealed a significant effect of genotype and inoculation method on several components of resistance and overall disease severity. Application of conidial suspension while puncturing the whorl was found to be the least laborious method, and it produced characteristic symptoms of gray leaf spot. Consistent trends were observed in classification of inbreds to resistant, susceptible and intermediate classes. Increasing the duration of exposure to high humidity by placing plastic bags over plants for 5 days significantly increased disease severity (P , 0.001). Cercospora zeae-maydis produced conidia in all the lesions examined. Spore production was generally most abundant in lesions on susceptible inbreds that displayed necrotic lesion types (LT) and least abundant in lesions on resistant inbreds that were characterized by chlorotic and fleck LTs. The results demonstrated that inoculations in the greenhouse can provide an indication of inbred responses to C. zeae-maydis and may be useful in evaluating resistance and in studies of host,pathogen interactions. [source] Kinetic Model for Crystallization in White Ceramic GlazesJOURNAL OF THE AMERICAN CERAMIC SOCIETY, Issue 1 2001Agustin Escardino Theoretical equations have been developed for crystal growth rate in layers of small frit (glass) particles during firing. Throughout the process, the crystalline and the glassy phases have different compositions; therefore, the system can be considered a pseudo-two-component system consisting of a crystallizable component (structural unit) and a noncrystallizable mixture of several components. The concentration of the crystallizable component decreases in the residual glassy phase during the crystal growth process, on integrating at the surfaces of crystals having the same composition. Throughout the crystal growth process, a concentration gradient of the crystallizable component is therefore produced in the glassy phase, which results in mass transport by diffusion of this component from the bulk residual glassy phase to the surfaces of the crystals. Equations have been derived assuming that the diffusion step of the crystallizable component through the residual glassy phase is the overall crystal growth process rate-controlling step. [source] Experiments for derived factors with application to hydraulic gear pumpsJOURNAL OF THE ROYAL STATISTICAL SOCIETY: SERIES C (APPLIED STATISTICS), Issue 2 2001C. J. Sexton For experiments on mechanical products composed of several components, such as a hydraulic gear pump, conventional methods of designing and implementing factorial experiments can be impractical because of the prohibitive costs of obtaining certain components with factors set to prespecified values. A further difficulty is that often some of the factors that are believed to influence the product's performance are not features of a single component but are derived as functions of the dimensions of several components arising from the product's assembly. Experiments are proposed which use a sample of measured components to explore the influence of such derived factors. An algorithmic method for obtaining efficient designs is presented and applied to finding plans for studies on the gear pump. An experiment on the pump is described which involved both conventional and derived factors. This experiment led to new knowledge on how to improve the engineering design of the pump and, in particular, on how to improve its robustness to the varying pressures that are experienced in operation. [source] Analytical modelling of the current distribution in resistive loaded thin-wire antennas excited by a transient electric fieldMICROWAVE AND OPTICAL TECHNOLOGY LETTERS, Issue 4 20062Article first published online: 28 FEB 200, F. Sagnard Abstract The analytical modelling of the excitation of a Wu and King loaded dipole by an oblique transient electric-plane wavefront has been revisited and extended in order to analyze in detail the physical phenomena involved in the time and space domains. The role of several components of the current induced along a dipole as a function of different parameters is discussed. The modelling developed herein allows us to consider a V-dipole. This study will allow us to consider, in a future work, the case of an assembly of dipoles in the space domain for representing more complex antenna geometries. © 2006 Wiley Periodicals, Inc. Microwave Opt Technol Lett 48: 730,736, 2006; Published online in Wiley InterScience (www.interscience.wiley.com). DOI 10.1002/mop.21459 [source] The order of the ring: assembly of Escherichia coli cell division componentsMOLECULAR MICROBIOLOGY, Issue 1 2006Miguel Vicente Summary Topological cues appear to override temporal events in the assembly of the Escherichia coli cell division ring. When a procedure that allows the recruitment of ring components based on their topological properties is used, a concerted mode of assembly of several components of the divisome, rather than a strict linear mode, is revealed. Three multimolecular complexes, the proto-ring, the periplasmic connector and the peptidoglycan factory, show some degree of concertation for their assembly. In addition, back-recruitment of all late proteins except FtsN into the division ring occurs even in the absence of proteins incorporated at earlier stages, i.e. FtsA or FtsQ. [source] Deterministic and stochastic scheduling with teamwork tasksNAVAL RESEARCH LOGISTICS: AN INTERNATIONAL JOURNAL, Issue 6 2004Xiaoqiang Cai Abstract We study a class of new scheduling problems which involve types of teamwork tasks. Each teamwork task consists of several components, and requires a team of processors to complete, with each team member to process a particular component of the task. Once the processor completes its work on the task, it will be available immediately to work on the next task regardless of whether the other components of the last task have been completed or not. Thus, the processors in a team neither have to start, nor have to finish, at the same time as they process a task. A task is completed only when all of its components have been processed. The problem is to find an optimal schedule to process all tasks, under a given objective measure. We consider both deterministic and stochastic models. For the deterministic model, we find that the optimal schedule exhibits the pattern that all processors must adopt the same sequence to process the tasks, even under a general objective function GC = F(f1(C1), f2(C2), , , fn(Cn)), where fi(Ci) is a general, nondecreasing function of the completion time Ci of task i. We show that the optimal sequence to minimize the maximum cost MC = max fi(Ci) can be derived by a simple rule if there exists an order f1(t) , , , fn(t) for all t between the functions {fi(t)}. We further show that the optimal sequence to minimize the total cost TC = , fi(Ci) can be constructed by a dynamic programming algorithm. For the stochastic model, we study three optimization criteria: (A) almost sure minimization; (B) stochastic ordering; and (C) expected cost minimization. For criterion (A), we show that the results for the corresponding deterministic model can be easily generalized. However, stochastic problems with criteria (B) and (C) become quite difficult. Conditions under which the optimal solutions can be found for these two criteria are derived. © 2004 Wiley Periodicals, Inc. Naval Research Logistics, 2004 [source] Mutational and expression analysis of CDK1, cyclinA2 and cyclinB1 in epilepsy-associated glioneuronal lesionsNEUROPATHOLOGY & APPLIED NEUROBIOLOGY, Issue 2 2007V. Schick Gangliogliomas and focal cortical dysplasias (FCDs) constitute glioneuronal lesions, which are frequently encountered in biopsy specimens of patients with pharmacoresistant focal epilepsy and relate to impaired differentiation and migration of neural precursors. However, their molecular pathogenesis and relationship are still largely enigmatic. Recent data suggest several components of the insulin-pathway, including TSC1 and TSC2 mutated in tuberous sclerosis complex (TSC), to be altered in gangliogliomas and FCD with Taylor type balloon cells (FCDIIb). The proteins tuberin (TSC2) and hamartin (TSC1) constitute a tumour suppressor mechanism involved in cell-cycle control. Hamartin and/or tuberin were reported to colocalize and/or interact with CDK1, cyclinB1 and cyclinA2 that are critically involved in cell-size and cell-growth control. Here, we have carried out mutational and expression analyses of CDK1, cyclinB1 and cyclinA2 in gangliogliomas and FCDIIb. Mutational screening was performed by single-strand conformation polymorphism analysis in gangliogliomas (n = 20), FCDIIb (n = 35) and controls. CyclinB1 revealed a polymorphism (G to A, cDNA Position 966, GenBank: NM_031966) in exon 7 with similar frequencies in FCDIIb, gangliogliomas and control specimens (FCD n = 9/35; gangliogliomas n = 5/20; control n = 20/100). We used real-time reverse transcription polymerase chain reaction to determine expression levels of CDK1, cyclinB1 and cyclinA2 in 10 FCDIIb and nine gangliogliomas compared with unaffected adjacent control tissue of the same patients. We observed significantly lower expression of CDK1 and cyclinA2 in FCDIIb vs. controls whereas no significant expression differences were present for CDK1, cyclinB1 and cyclinA2 in gangliogliomas. Our data strongly argue against mutational events of CDK1, cyclinB1 and cyclinA2 to play a role in gangliogliomas or FCDIIb. However, a potential functional significance of lower expression for the cell-size and cell-cycle regulators CDK1 and cyclinA2 in FCDIIb composed of large dysplastic neurones and balloon cells needs to be further resolved. [source] Absence of neuronal nitric oxide synthase (nNOS) as a pathological marker for the diagnosis of Becker muscular dystrophy with rod domain deletionsNEUROPATHOLOGY & APPLIED NEUROBIOLOGY, Issue 5 2004S. Torelli Immunohistochemistry using antibodies to dystrophin is the pathological basis for the diagnosis of Duchenne and Becker muscular dystrophy (DMD and BMD). While the sarcolemma of DMD muscle is negative, BMD muscle generally shows variable labelling because of the translation of a partially functional dystrophin that is localized to the sarcolemma. In rare cases, however, this labelling is equivocal and similar to that observed in controls making diagnosis difficult. We report here that in such instances immunolabelling with antibodies to the neuronal form of nitric oxide synthase (nNOS) can be useful in suspecting a dystrophinopathy with a mutation in the ,hot-spot' rod domain and help to direct molecular analysis. nNOS localizes to the sarcolemma of mature muscle fibres via several components of the dystrophin-associated protein complex (DAPC) including dystrophin but sarcolemmal nNOS is lost when dystrophin levels are very low or absent because of deletions in critical regions of the rod domain. We report three cases who presented with only mild or no muscle weakness but had elevated serum creatine kinase activity and dystrophin immunolabelling indistinguishable from normal, making a pathological diagnosis difficult. All three cases had a complete absence of sarcolemmal nNOS and were subsequently found to have an in-frame deletion in the common rod domain exons (in these cases 48, 45,51, 47,53) compatible with a BMD. In addition, we observed that nNOS appears to be developmentally regulated with the antibody used and was often absent from the sarcolemma of immature fibres. These findings demonstrate the value of including antibodies to nNOS in routine immunohistochemical studies and that absence of nNOS can be a more sensitive marker than up-regulation of utrophin for diagnosis of BMD. Immaturity of fibres, however, needs to be taken into account, especially in neonates. [source] Proteomics of ischemia/reperfusion injury in rabbit myocardium reveals alterations to proteins of essential functional systemsPROTEINS: STRUCTURE, FUNCTION AND BIOINFORMATICS, Issue 5 2005Melanie Y. White Abstract Brief periods of myocardial ischemia prior to timely reperfusion result in prolonged, yet reversible, contractile dysfunction of the myocardium, or "myocardial stunning". It has been hypothesized that the delayed recovery of contractile function in stunned myocardium reflects damage to one or a few key sarcomeric proteins. However, damage to such proteins does not explain observed physiological alterations to myocardial oxygen consumption and ATP requirements observed following myocardial stunning, and therefore the impact of alterations to additional functional groups is unresolved. We utilized two-dimensional gel electrophoresis and mass spectrometry to identify changes to the protein profiles in whole cell, cytosolic- and myofilament-enriched subcellular fractions from isolated, perfused rabbit hearts following 15 min or 60 min low-flow (1 mL/min) ischemia. Comparative gel analysis revealed 53 protein spot differences (> 1.5-fold difference in visible abundance) in reperfused myocardium. The majority of changes were observed to proteins from four functional groups: (i) the sarcomere and cytoskeleton, notably myosin light chain-2 and troponin C; (ii) redox regulation, in particular several components of the NADH ubiquinone oxidoreductase complex; (iii) energy metabolism, encompassing creatine kinase; and (iv) the stress response. Protein differences appeared to be the result of isoelectric point shifts most probably resulting from chemical modifications, and molecular mass shifts resulting from proteolytic or physical fragmentation. This is consistent with our hypothesis that the time course for the onset of injury associated with myocardial stunning is too brief to be mediated by large changes to gene/protein expression, but rather that more subtle, rapid and potentially transient changes are occurring to the proteome. The physical manifestation of stunned myocardium is therefore the likely result of the summed functional impairment resulting from these multiple changes, rather than a result of damage to a single key protein. [source] Brain electrical correlates of dimensional weighting: An ERP studyPSYCHOPHYSIOLOGY, Issue 2 2007Klaus Gramann Abstract In visual search, there is a reaction time (RT) cost for targets on a given trial if the previous target was defined in a different dimension. According to the "dimension-weighting" account (Müller, Heller, & Ziegler, 1995), limited attentional weight needs to be shifted to the new dimension, resulting in slower RTs. The present study aimed at identifying brain electrical correlates associated with the weight shift. Analyses of ERPs revealed several components to reflect dimension changes whether the task was to detect the target or to identify its defining dimension. N2 amplitudes were more negative whenever the dimension changed. The P3 exhibited latency differences that mirrored RTs in both tasks, but the amplitudes showed no direct relation to stimulus- or response-related processes. Finally, slow-wave amplitudes were enhanced for dimension changes. Taken together, the results provide support for relatively early, perceptual processes underlying dimension change costs. [source] Chromalveolates and the Evolution of Plastids by Secondary Endosymbiosis,THE JOURNAL OF EUKARYOTIC MICROBIOLOGY, Issue 1 2009PATRICK J. KEELING ABSTRACT. The establishment of a new plastid organelle by secondary endosymbiosis represents a series of events of massive complexity, and yet we know it has taken place multiple times because both green and red algae have been taken up by other eukaryotic lineages. Exactly how many times these events have succeeded, however, has been a matter of debate that significantly impacts how we view plastid evolution, protein targeting, and eukaryotic relationships. On the green side it is now largely accepted that two independent events led to plastids of euglenids and chlorarachniophytes. How many times red algae have been taken up is less clear, because there are many more lineages with red alga-derived plastids (cryptomonads, haptophytes, heterokonts, dinoflagellates and apicomplexa) and the relationships between these lineages are less clear. Ten years ago, Cavalier-Smith proposed that these plastids were all derived from a single endosymbiosis, an idea that was dubbed the chromalveolate hypothesis. No one observation has yet supported the chromalveolate hypothesis as a whole, but molecular data from plastid-encoded and plastid-targeted proteins have provided strong support for several components of the overall hypothesis, and evidence for cryptic plastids and new photosynthetic lineages (e.g. Chromera) have transformed our view of plastid distribution within the group. Collectively, these data are most easily reconciled with a single origin of the chromalveolate plastids, although the phylogeny of chromalveolate host lineages (and potentially Rhizaria) remain to be reconciled with this plastid data. [source] Project visioning: Its components and impact on new product successTHE JOURNAL OF PRODUCT INNOVATION MANAGEMENT, Issue 6 2001Gary S. Lynna The concept of corporate vision has been receiving considerable attention in the strategy scholarship. A clear and lofty organizational vision can provide direction to a company and can positively impact its ability to succeed. Yet research on vision at the project level has been curiously lacking. The purpose of this research is to define project vision, discuss its components and explore its impact on successful new product development. After studying the vision on a series of 13 innovations at three companies (Apple, IBM and HP), we identified several components of an effective project vision that include vision clarity, vision agreement/support and vision stability and assessed their impact on new product success. To confirm the validity and generalizability of our observations, we then tested these insights on 509 new product teams from a wide variety of firms. We found that an effective vision varies depending on the innovation type - incremental, evolutionary and radical. Our results demonstrate that vision clarity is positively associated with success in evolutionary (market or technical), and radical innovations, but not for incremental projects. Vision stability is positively associated with success in incremental and evolutionary market innovations; and vision support is positively associated with success in incremental, and evolutionary technical innovations. [source] Premature Ejaculation: On Defining and Quantifying a Common Male Sexual DysfunctionTHE JOURNAL OF SEXUAL MEDICINE, Issue 2006Gregory A. Broderick MD ABSTRACT Introduction., Premature ejaculation (PE) and its individual and relationship consequences have been recognized in the literature for centuries. PE is one of the most common male sexual dysfunctions, affecting nearly one in three men worldwide between the ages of 18 and 59 years. Until recently, PE was believed to be a learned behavior predominantly managed with psychosexual therapy; however, the past few decades have seen significant advances in understanding its etiology, diagnosis, and management. There is, as yet, no one universally agreed upon definition of PE. Aim., To review five currently published definitions of PE. Methods., The Sexual Medicine Society of North America hosted a State of the Art Conference on Premature Ejaculation on June 24,26, 2005 in collaboration with the University of South Florida. The purpose was to have an open exchange of contemporary research and clinical information on PE. There were 16 invited presenters and discussants; the group focused on several educational objectives. Main Outcome Measure., Data were utilized from the World Health Organization, the American Psychiatric Association, the European Association of Urology, the Second International Consultation on Sexual Dysfunctions, and the American Urological Association. Results., The current published definitions of PE have many similarities; however, none of these provide a specific "time to ejaculation," in part because of the absence of normative data on this subject. While investigators agree that men with PE have a shortened intravaginal ejaculatory latency time (IELT; i.e., time from vaginal penetration to ejaculation), there is now a greater appreciation of PE as a multidimensional dysfunction encompassing several components, including time and subjective parameters such as "control,""satisfaction," and "distress." Conclusion., There is a recent paradigm shift away from PE as a unidimensional disorder of IELT toward a multidimensional description of PE as a biologic dysfunction with psychosocial components. Broderick GA. Premature ejaculation: On defining and quantifying a common male sexual dysfunction. J Sex Med 2006;3(suppl 4):295,302. [source] |