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Kinds of Susceptible Terms modified by Susceptible Selected AbstractsPopulation-based Triage Management in Response to Surge-capacity Requirements during a Large-scale Bioevent DisasterACADEMIC EMERGENCY MEDICINE, Issue 11 2006Frederick M. Burkle Jr MD Both the naturally occurring and deliberate release of a biological agent in a population can bring catastrophic consequences. Although these bioevents have similarities with other disasters, there also are major differences, especially in the approach to triage management of surge capacity resources. Conventional mass-casualty events use uniform methods for triage on the basis of severity of presentation and do not consider exposure, duration, or infectiousness, thereby impeding control of transmission and delaying recognition of victims requiring immediate care. Bioevent triage management must be population based, with the goal of preventing secondary transmission, beginning at the point of contact, to control the epidemic outbreak. Whatever triage system is used, it must first recognize the requirements of those Susceptible but not exposed, those Exposed but not yet infectious, those Infectious, those Removed by death or recovery, and those protected by Vaccination or prophylactic medication (SEIRV methodology). Everyone in the population falls into one of these five categories. This article addresses a population approach to SEIRV-based triage in which decision making falls under a two-phase system with specific measures of effectiveness to increase likelihood of medical success, epidemic control, and conservation of scarce resources. [source] Quantifying Phytophthora medicaginis in Susceptible and Resistant Alfalfa with a Real-Time Fluorescent PCR AssayJOURNAL OF PHYTOPATHOLOGY, Issue 11-12 2003G. J. Vandemark Abstract A real-time fluorescent PCR assay using a set of specific primers and a fluorochrome-labelled probe (TaqMan) was developed to quantify the amount of Phytophthora medicaginis DNA in alfalfa plants that were classified as either resistant or susceptible to the pathogen based on visual assessment of disease response. The assay clearly discriminated among three standard check alfalfa populations with different levels of resistance based on the analysis of DNA extracted from the roots of bulked plant samples. In two independent experiments, the Spearman rank correlation between pathogen DNA content and the number of susceptible plants in a bulked sample was greater than 0.89 and highly significant (P<0.0001). Significantly less pathogen DNA was detected in bulked samples of a highly resistant check population than in bulked samples from more susceptible check populations. Analysis of individual plants indicated that significantly less pathogen DNA was detected in resistant plants than in susceptible plants. Applications of the assay are considered for breeding programs and the study of microbial population dynamics in plants simultaneously infected with different pathogens. [source] Analysis of Gene Polymorphisms Associated with K+ Ion Circulation in the Inner Ear of Patients Susceptible and Resistant to Noise-induced Hearing LossANNALS OF HUMAN GENETICS, Issue 4 2009Malgorzata Pawelczyk Summary Noise-induced hearing loss (NIHL) is one of the leading occupational health risks in industrialized countries. It results from an interaction between environmental and genetic factors, however the nature of the genetic factors contributing to NIHL has not yet been clarified. Here, we investigated whether genetic variations in 10 genes putatively involved in the potassium recycling pathway in the inner ear may influence susceptibility to noise. 99 SNPs were genotyped in Polish noise-exposed workers, categorized into susceptible and resistant subjects. The most interesting results were obtained for KCNE1 and KCNQ4 as we replicated associations that were previously reported in a Swedish sample set, hence confirming that they are NIHL susceptibility genes. Additionally we report significant associations in GJB1, GJB2, GJB4, KCNJ10 and KCNQ1, however due to the lack of replication in the Swedish sample set, these results should be seen as suggestive. [source] Are Young Children Susceptible to the False,Memory Illusion?CHILD DEVELOPMENT, Issue 5 2002C.J. Brainerd False memories have typically been found to be more common during early childhood than during later childhood or adulthood. However, fuzzy,trace theory makes the counterintuitive prediction that some powerful forms of adult false memory will be greatly attenuated in early childhood, an important example being the Deese/Roediger/McDermott (DRM) illusion. Three developmental studies of this illusion (N=282) found that (1) it was at near,floor levels in young children, (2) it was still below adult levels by early adolescence, and (3) the low levels of the illusion in young children may be due to failure to "get the gist" of DRM materials. [source] Molecular characterization of major and minor MHC class I and II genes in B21-like haplotypes in chickensANIMAL GENETICS, Issue 4 2000H R Juul-Madsen The major histocompatibility complex (MHC) sequences of three B21-like haplotypes deriving from very different origins including the Red Jungle Fowl Gallus Gallus gallus were compared with the MHC sequences of the standard B21 haplotype from Scandinavian White Leghorn Gallus domesticus. The present analysis reveals two cDNA sequences for B - F and two cDNA sequences for B - LB for every B21-like haplotype, including B21 itself. Contrary to expectation, no sequence polymorphism in the antigen-binding domains of the MHC genes, between the investigated haplotypes, was found. The relative level of MHC class I molecules on the surface of leukocytes measured by flow cytometry was also analysed and found to be low in Marek's Disease (MD)-resistant B haplotypes (B21 and B21-like) and high in MD-susceptible B haplotypes (B15 and B19). However, in heterozygous (resistant/susceptible) animals, the relative level was almost as high as in susceptible haplotypes. [source] Limiting light-induced lipid peroxidation and vitamin loss in infant parenteral nutrition by adding multivitamin preparations to IntralipidACTA PAEDIATRICA, Issue 3 2001KM Silvers Parenteral lipids are susceptible to light-induced peroxidation, particularly under phototherapy. Ascorbic acid is protective. The aim of this study was to investigate whether dark delivery tubing and/or coadministration of multivitamin preparations could prevent peroxidation of Intralipid without undue vitamin loss. In experiments carried out on the benchtop, lipid peroxidation occurred in ambient light and was more extensive under phototherapy. Dark tubing decreased peroxide formation, but only by about 65%. In simulated clinical conditions in which solutions were pumped through standard clear or dark minibore plastic tubing, Intralipid accumulated lipid peroxides as measured by the FOX assay (280 ,M) or as triglyceride hydroperoxides (52 ,M). Multivitamin preparations (MVIP or Soluvit/Vitlipid) inhibited peroxide formation almost completely, and were fully protective when used with dark tubing. There was loss of riboflavin (65% from Soluvit and 35% from MVIP) in clear tubing but this was decreased to 18% and 11%, respectively, in dark tubing. Ascorbate loss was 20% (MVIP) and 50% (Soluvit) and only slightly less in dark tubing. Ascorbate loss was also seen in the absence of Intralipid and is due to riboflavin-induced photo-oxidation. Conclusion: Multivitamin preparations protect Intralipid against light-induced formation of lipid hydroperoxides, and administering multivitamins with Intralipid via dark delivery tubing provides a practical way of preventing peroxidation of the lipid while limiting vitamin loss. This procedure should be considered for routine use as well as with phototherapy. [source] Antiandrogenic effects of dibutyl phthalate and its metabolite, monobutyl phthalate, in ratsCONGENITAL ANOMALIES, Issue 4 2002Makoto Ema ABSTRACT, Developmental toxicity following administration of dibutyl phthalate (DBF) and its major metabolite, monobutyl phthalate (MBuP), by gavage was determined in Wistar rats. DBF on days 0,8 of pregnancy induced an increase in the incidence of preimplantation loss at 1250 mg/kg and higher and postimplantation loss at 750 mg/kg and higher. MBuP on days 0,8 of pregnancy produced an increase in the incidence of pre-and postimplantation loss at 1000 mg/kg. DBF on days 7,15 of pregnancy caused an increase in the incidence of fetuses with malformations at 750 mg/kg. MBuP on days 7,15 of pregnancy produced an increased incidence of fetuses with malformations at 500 mg/kg and higher. DBF on days 15,17 of pregnancy resulted in a decrease in the anogenital distance (AGD) of male fetuses and increase in the incidence of fetuses with undescended testes at 500 mg/kg and higher. MBuP on days 15,17 of pregnancy caused a decreased male AGD and increased incidence of fetuses with undescended testes at 250 mg/kg and higher. No effect of DBF and MBuP on the AGD was found in female offspring. The spectrum of fetal malformations, dependence of gestational days of treatment on the manifestation of teratogenicity, and alterations in development of the male reproductive system observed after administration of DBF were in good agreement with those observed after administration of MBuP. These findings suggest that MBuP may be responsible for the induction of developmental toxic effects of DBP. The doses that produced a decrease in the AGD and undescended testes in male offspring were lower than those producing maternal toxicity, fetal malformations after administration during major organogenesis, and embryonic loss. The male reproductive system may be more susceptible than other organ systems to DBP and MBuP toxicity after maternal exposure. [source] Susceptibility of Common and Rare Plant Species to the Genetic Consequences of Habitat FragmentationCONSERVATION BIOLOGY, Issue 3 2007OLIVIER HONNAY diversidad genética; endogamia; fragmentación de hábitat; sistema reproductivo; tamaño poblacional Abstract:,Small plant populations are more prone to extinction due to the loss of genetic variation through random genetic drift, increased selfing, and mating among related individuals. To date, most researchers dealing with genetic erosion in fragmented plant populations have focused on threatened or rare species. We raise the question whether common plant species are as susceptible to habitat fragmentation as rare species. We conducted a formal meta-analysis of habitat fragmentation studies that reported both population size and population genetic diversity. We estimated the overall weighted mean and variance of the correlation coefficients among four different measures of genetic diversity and plant population size. We then tested whether rarity, mating system, and plant longevity are potential moderators of the relationship between population size and genetic diversity. Mean gene diversity, percent polymorphic loci, and allelic richness across studies were positively and highly significantly correlated with population size, whereas no significant relationship was found between population size and the inbreeding coefficient. Genetic diversity of self-compatible species was less affected by decreasing population size than that of obligate outcrossing and self-compatible but mainly outcrossing species. Longevity did not affect the population genetic response to fragmentation. Our most important finding, however, was that common species were as, or more, susceptible to the population genetic consequences of habitat fragmentation than rare species, even when historically or naturally rare species were excluded from the analysis. These results are dramatic in that many more plant species than previously assumed may be vulnerable to genetic erosion and loss of genetic diversity as a result of ongoing fragmentation processes. This implies that many fragmented habitats have become unable to support plant populations that are large enough to maintain a mutation-drift balance and that occupied habitat fragments have become too isolated to allow sufficient gene flow to enable replenishment of lost alleles. Resumen:,Las poblaciones pequeñas de plantas son más propensas a la extinción debido a la pérdida de variación genética por medio de la deriva génica aleatoria, el incremento de autogamia y la reproducción entre individuos emparentados. A la fecha, la mayoría de los investigadores que trabajan con erosión genética en poblaciones fragmentadas de plantas se han enfocado en las especies amenazadas o raras. Cuestionamos si las especies de plantas comunes son tan susceptibles a la fragmentación del hábitat como las especies raras. Realizamos un meta análisis formal de estudios de fragmentación que reportaron tanto tamaño poblacional como diversidad genética. Estimamos la media general ponderada y la varianza de los coeficientes de correlación entre cuatro medidas de diversidad genética y de tamaño poblacional de las plantas. Posteriormente probamos si la rareza, el sistema reproductivo y la longevidad de la planta son moderadores potenciales de la relación entre el tamaño poblacional y la diversidad genética. La diversidad genética promedio, el porcentaje de loci polimórficos y la riqueza alélica en los estudios tuvieron una correlación positiva y altamente significativa con el tamaño poblacional, mientras que no encontramos relación significativa entre el tamaño poblacional y el coeficiente de endogamia. La diversidad genética de especies auto compatibles fue menos afectada por la reducción en el tamaño poblacional que la de especies exogámicas obligadas y especies auto compatibles, pero principalmente exogámicas. La longevidad no afectó la respuesta genética de la población a la fragmentación. Sin embargo, nuestro hallazgo más importante fue que las especies comunes fueron tan, o más, susceptibles a las consecuencias genéticas de la fragmentación del hábitat que las especies raras, aun cuando las especies histórica o naturalmente raras fueron excluidas del análisis. Estos resultados son dramáticos porque muchas especies más pueden ser vulnerables a la erosión genética y a la pérdida de diversidad genética como consecuencia de los procesos de fragmentación que lo se asumía previamente. Esto implica que muchos hábitats fragmentados han perdido la capacidad para soportar poblaciones de plantas lo suficientemente grandes para mantener un equilibrio mutación-deriva y que los fragmentos de hábitat ocupados están tan aislados que el flujo génico es insuficiente para permitir la reposición de alelos perdidos. [source] Applying Network Analysis to the Conservation of Habitat Trees in Urban Environments: a Case Study from Brisbane, AustraliaCONSERVATION BIOLOGY, Issue 3 2006MONIKA RHODES conectividad de perchas; fauna que utiliza oquedades; planificación de la conservación; red sin escala; Tadarida australis Abstract:,In Australia more than 300 vertebrates, including 43 insectivorous bat species, depend on hollows in habitat trees for shelter, with many species using a network of multiple trees as roosts. We used roost-switching data on white-striped freetail bats (Tadarida australis; Microchiroptera: Molossidae) to construct a network representation of day roosts in suburban Brisbane, Australia. Bats were caught from a communal roost tree with a roosting group of several hundred individuals and released with transmitters. Each roost used by the bats represented a node in the network, and the movements of bats between roosts formed the links between nodes. Despite differences in gender and reproductive stages, the bats exhibited the same behavior throughout three radiotelemetry periods and over 500 bat days of radio tracking: each roosted in separate roosts, switched roosts very infrequently, and associated with other bats only at the communal roost. This network resembled a scale-free network in which the distribution of the number of links from each roost followed a power law. Despite being spread over a large geographic area (>200 km2), each roost was connected to others by less than three links. One roost (the hub or communal roost) defined the architecture of the network because it had the most links. That the network showed scale-free properties has profound implications for the management of the habitat trees of this roosting group. Scale-free networks provide high tolerance against stochastic events such as random roost removals but are susceptible to the selective removal of hub nodes. Network analysis is a useful tool for understanding the structural organization of habitat tree usage and allows the informed judgment of the relative importance of individual trees and hence the derivation of appropriate management decisions. Conservation planners and managers should emphasize the differential importance of habitat trees and think of them as being analogous to vital service centers in human societies. Resumen:,En Australia, más de 300 vertebrados, incluyendo 43 especies de murciélagos insectívoros, dependen de oquedades en árboles para refugiarse; muchas de ellas perchan en una red de múltiples árboles. Utilizamos datos de cambio de perchas en Tadarida australis (Microchiroptera: Molossidae) para construir una representación reticular de las perchas diurnas en los suburbios de Brisbane, Australia. Los murciélagos fueron capturados en un árbol con un grupo de varios cientos de individuos y liberados con transmisores. Cada percha utilizada por los murciélagos representó un nodo individual en la red, y los movimientos de murciélagos entre perchas constituyeron los eslabones entre los nodos. A pesar de las diferencias de género y etapas reproductivas, los murciélagos mostraron el mismo comportamiento en tres períodos de radiotelemetría y en más de 500 días de seguimiento de murciélagos: cada uno utilizó perchas separadas, cambiaban de percha poco frecuentemente, y se asociaron con otros murciélagos sólo en las perchas comunales. Esta red fue semejante a una red sin escala en la que la distribución del número de eslabones de cada percha cumplió una ley potencial. A pesar de estar dispersas en un área geográfica extensa (>200 km2), cada percha estaba conectada con otras por menos de tres eslabones. Una percha (el centro o percha comunal) definió la arquitectura de la red porque tenía a la mayoría de los eslabones. El hecho de que la red mostrara propiedades libres de escala tiene implicaciones profundas para la gestión de árboles que funcionan como perchas. Las redes libres de escala proporcionan alta tolerancia a eventos estocásticos como la remoción aleatoria de perchas, pero son susceptibles a la remoción selectiva de nodos centrales. El análisis de redes es una herramienta útil para el entendimiento de la organización estructural del uso de de árboles y permite el juicio informado de la importancia relativa de árboles individuales y por lo tanto la derivación de decisiones administrativas apropiadas Los planificadores y gestores de la conservación deberían enfatizar la importancia diferencial de árboles y considerarlos análogos a los centros de servicio vitales en las sociedades humanas. [source] Body Size and Risk of Extinction in Australian MammalsCONSERVATION BIOLOGY, Issue 5 2001Marcel Cardillo For Australian terrestrial mammals this link is of particular interest because it is widely believed that species in the intermediate size range of 35,5500 g (the "critical weight range") have been the most prone to recent extinction. But the relationship between body size and extinction risk in Australian mammals has never been subject to a robust statistical analysis. Using a combination of randomization tests and phylogenetic comparative analyses, we found that Australian mammal extinctions and declines have been nonrandom with respect to body size, but we reject the hypothesis of a critical weight range at intermediate sizes. Small species appear to be the least prone to extinction, but extinctions have not been significantly clustered around intermediate sizes. Our results suggest that hypotheses linking intermediate body size with high risk of extinction in Australian mammals are misguided and that the focus of future research should shift to explaining why the smallest species are the most resistant to extinction. Resumen: El vínculo entre el tamaño del cuerpo y el riesgo de extinción ha sido el centro de mucha atención reciente. Para los mamíferos terrestres australianos este vínculo es de particular interés debido a que se cree ampliamente que las especies en un rango intermedio de tamaño de 35,5500 g (el rango de peso crítico) ha sido el más susceptible a extinciones recientes. Sin embargo, la relación entre extinciones, el tamaño y el riesgo de extinción en mamíferos australianos nunca ha sido sometida a un análisis estadístico robusto. Usando una combinación de pruebas aleatorizadas y análisis filogenéticos comparativos, encontramos que las extinciones y disminuciones de mamíferos australianos han sido no aleatorias con respecto al tamaño del cuerpo, pero rechazamos la hipótesis de un rango crítico a tamaños intermedios. Las especies pequeñas aparentan ser las menos susceptibles de extinción, pero las extinciones no se han agrupado significativamente alrededor de tamaños intermedios. Nuestros resultados sugieren que la hipótesis que vincula el tamaño intermedio de cuerpo con un alto riesgo de extinción en mamíferos australianos está mal planteada y que el centro de la investigación a futuro deberá enfocarse a explicar el porqué las especies más pequeñas son las más robustas a la extinción. [source] Susceptibility and reactivity in polysensitized individuals following controlled inductionCONTACT DERMATITIS, Issue 1 2010Nannie Bangsgaard Background: It is uncertain whether polysensitized patients acquire multiple allergies only because of a high degree of exposure to environmental allergens, or because of being highly susceptible to developing contact allergy. Objectives: The aim of this study was to investigate and compare susceptibility and reactivity in polysensitized and monosensitized individuals, and in healthy controls. Patients/methods: We sensitized 66 adult individuals (21 polysensitized, 22 monosensitized, and 23 healthy controls) with diphenylcyclopropenone and assessed challenge responses with visual scoring and ultrasound. We compared sensitization rates using a chi-square test and logistic regression analyses, and calculated linear regression lines of the elicitation responses for each individual. The mean values of the slopes and the intercepts for each group were used to measure the strength of the elicitation response, and were compared using the Mann,Whitney test. Results: Sensitization ratio was equal in the three groups: 57% for the polysensitized, 59% for the monosensitized, and 65% for the healthy control group. There was a lowered elicitation threshold in the polysensitized group compared with that in the monosensitized and healthy control groups and, although not statistically significant, a stronger elicitation response was observed in the polysensitized group. Conclusion: Increased reactivity was found in the polysensitized group, demonstrated by a lowered elicitation threshold, compared with that in the monosensitized and healthy control groups. [source] Autoxidation of linalyl acetate, the main component of lavender oil, creates potent contact allergensCONTACT DERMATITIS, Issue 1 2008Maria Sköld Background:, Fragrances are among the most common causes of allergic contact dermatitis. We have in previous studies shown that linalool, present in lavender oil, autoxidizes on air exposure, forming allergenic oxidation products. Oxidized linalool was found to be a frequent cause of contact allergy in a patch test study on consecutive dermatitis patients. Linalyl acetate, the main component of lavender oil is commonly used as a fragrance chemical in scented products. Because of structural similarities, linalyl acetate should also be susceptible to oxidation on air exposure, forming similar oxidation products as linalool. Objective:, The aim of the present study was to investigate the autoxidation of linalyl acetate and the influence of oxidation on its sensitizing potency. Methods:, Analyses were performed using gas chromatography, nuclear magnetic resonance spectrometry and mass spectrometry. Sensitizing potencies of compounds were determined using the local lymph node assay (LLNA) in mice. Results:, Analyses showed that the content of linalyl acetate decreased over time on air exposure and other compounds were formed. Hydroperoxides, an epoxide and an alcohol were identified as oxidation products from linalyl acetate. In the LLNA, linalyl acetate of high purity showed a weak sensitizing potency (EC3 25%). Autoxidation increased the sensitizing potency of linalyl acetate, and a 10 weeks oxidized sample gave an EC3 value of 3.6%. As for linalool, the hydroperoxides were shown to be the oxidation products with the highest sensitizing potency. Conclusion:, It is concluded that autoxidation of the weakly allergenic linalyl acetate leads to formation of allergenic oxidation products. [source] Reduced calcium tolerance in rat cardiomyocytes after myocardial infarctionACTA PHYSIOLOGICA, Issue 4 2002I. Sjaastad ABSTRACT During ischaemia and reperfusion the intracellular Na+ concentration is elevated in the cardiomyocytes and the cells are depolarized, both favouring reverse mode Na,Ca-exchange loading of the cell with Ca2+. We examined whether cardiomyocytes from rats with congestive heart failure (CHF) and younger rats (HINCX) which both have a high expression of the Na,Ca-exchanger protein (NCX) showed reduced tolerance to extracellular Ca2+. The CHF was induced in Isofluran anaesthetized rats by left coronary artery ligation. Isolated cardiomyocytes were loaded with Fura-2AM and 140 mm Na+ and exposed to 0.05 mm Ca2+. Expression of the Na,Ca-exchanger protein was analysed. Fura-2 340/380 ratio rose more rapidly in HINCX and CHF than in SHAM, and the rise was abolished by Ni2+. Hypercontracture developed more frequently in HINCX and CHF than in SHAM cells. The amount of NCX was 54% higher in HINCX and 76% higher in CHF compared with SHAM. Na+ -loaded cardiomyocytes from CHF and HINCX rats are more susceptible to Ca2+ overload than SHAM cells because of the increased capacity for Na,Ca-exchange. [source] Biocompatibility evaluation of alendronate paste in rat's subcutaneous tissueDENTAL TRAUMATOLOGY, Issue 2 2009Graziela Garrido Mori Therefore, this study aimed to investigate the biocompatibility of experimental alendronate paste in subcutaneous tissue of rats, for utilization in teeth susceptible to root resorption. The study was conducted on 15 male rats, weighing ,180,200 grams. The rats' dorsal regions were submitted to one incision on the median region and, laterally to the incision, the subcutaneous tissue was raised and gently dissected for introduction of two tubes, in each rat. The tubes were sealed at one end with gutta-percha and taken as control. The tubes were filled with experimental alendronate paste. The animals were killed at 7, 15 and 45 days after surgery and the specimens were processed in laboratory. The histological sections were stained with hematoxylin-eosin and analyzed by light microscopy. Scores were assigned to the inflammatory process and statistically compared by the Tukey test (P < 0.05). Alendronate paste promoted severe inflammation process at 7 days, with statistically significant difference compared to the control (P < 0.05%). However, at 15 days, there was a regression of inflammation and the presence of connective tissue with collagen fibers, fibroblasts and blood vessels was observed. After 45 days, it was observed the presence of well-organized connective tissue, with collagen fibers and fibroblasts, and few inflammatory cells. No statistical difference was observed between the control and experimental paste at 15 and 45 days. The experimental alendronate paste was considered biocompatible with subcutaneous tissue of rat. [source] Classification of Anxiety and Depressive disorders: problems and solutionsDEPRESSION AND ANXIETY, Issue 4 2008G. Andrews MD Abstract The American Psychiatric Association and the World Health Organization have begun to revise their classifications of mental disorders. Four issues related to these revisions are discussed in this study: the structure of the classifications, the relationship between categories and dimensions, the sensitivity of categorical thresholds to definitions, and maximizing the utility and validity of the diagnostic process. There is now sufficient evidence to consider replacing the present groupings of disorders with an empirically based structure that reflects the actual similarities among disorders. For example, perhaps the present depression and anxiety disorders would be best grouped as internalizing disorders. Most mental disorders exist on a severity dimension. The reliability and validity of the classification might be improved if we accepted the dimensional nature of disorders while retaining the use of categorical diagnoses to enhance clinical utility. Definitions of the thresholds that define categories are very susceptible to detail. In International Classification of Diseases-11(ICD-11) and Diagnostic and Statistical Manual of Mental Disorders-V (DSM-V), disorders about which there is agreement should be identically defined, and disorders in which there is disagreement should be defined differently, so that research can identify which definition is more valid. The present diagnostic criteria are too complex to have acceptable clinical utility. We propose a reduced criterion set that can be remembered by clinicians and an enhanced criterion set for use with decision support tools. Depression and Anxiety 25:274,281, 2008. © 2008 Wiley-Liss, Inc. [source] Export Processing Zones: Free Market Islands or Bridges to Structural Transformation?DEVELOPMENT POLICY REVIEW, Issue 2 2001Andrew Schrank Do export processing zones draw local manufacturers into world markets , and thereby engender broader market reform , by way of a ,demonstration effect'? The answer is likely (i) to be determined, not in the EPZ, but in the host country's national customs area, and (ii) to vary systematically with the size of the relevant market. While manufacturers from large economies are able to compete in world markets, and are therefore susceptible to the demonstration effect, their counterparts from small economies are unable to do so, and are therefore intractable. Thus, the nature of the EPZ life-cycle, like the legacy of import-substituting industrialisation, is in no small measure a function of market size. [source] Anomalous development of brain structure and function in spina bifida myelomeningoceleDEVELOPMENTAL DISABILITIES RESEARCH REVIEW, Issue 1 2010Jenifer Juranek Abstract Spina bifida myelomeningocele (SBM) is a specific type of neural tube defect whereby the open neural tube at the level of the spinal cord alters brain development during early stages of gestation. Some structural anomalies are virtually unique to individuals with SBM, including a complex pattern of cerebellar dysplasia known as the Chiari II malformation. Other structural anomalies are not necessarily unique to SBM, including altered development of the corpus callosum and posterior fossa. Within SBM, tremendous heterogeneity is reflected in the degree to which brain structures are atypical in qualitative appearance and quantitative measures of morphometry. Hallmark structural features of SBM include overall reductions in posterior fossa and cerebellum size and volume. Studies of the corpus callosum have shown complex patterns of agenesis or hypoplasia along its rostral-caudal axis, with rostrum and splenium regions particularly susceptible to agenesis. Studies of cortical regions have demonstrated complex patterns of thickening, thinning, and gyrification. Diffusion tensor imaging studies have reported compromised integrity of some specific white matter pathways. Given equally complex ocular motor, motor, and cognitive phenotypes consisting of relative strengths and weaknesses that seem to align with altered structural development, studies of SBM provide new insights to our current understanding of brain structure,function associations. © 2010 Wiley-Liss, Inc. Dev Disabil Res Rev 2010;16:23,30. [source] Foot temperature in diabetic polyneuropathy: innocent bystander or unrecognized accomplice?DIABETIC MEDICINE, Issue 3 2005S. B. Rutkove Abstract Aim To explore mechanisms by which temperature could influence the pathogenesis and symptoms of diabetic polyneuropathy. Methods We conducted a literature review attempting to identify mechanisms by which diabetic polyneuropathy could be affected by temperature. Results Cooling can theoretically hasten the progression of diabetic polyneuropathy through several different mechanisms. Specifically, cooling can enhance neuronal ischaemia, increase formation of reactive oxygen species, slow axonal transport, increase protein kinase C activity, and interfere with immune function. Short-term temperature fluctuations (both warming and cooling) can initiate and exacerbate neuropathic pain by causing neuronal hyperexcitability and functional deafferentation. Although normal fluctuations of distal extremity temperature may be sufficient for these effects, impaired thermoregulation may make the distal extremities more susceptible to temperature extremes. Eventually, a ,vicious cycle' may ensue, resulting in neuronal deterioration with further disruption of temperature regulation. Limited epidemiological data suggest a higher prevalence of diabetic polyneuropathy in populations living in colder locations, supporting our hypothesis. Conclusions Variations in foot temperature may play an important but as yet unrecognized role in the development and symptoms of diabetic polyneuropathy. Further basic and clinical research exploring this concept could help elucidate the natural history of diabetic polyneuropathy and lead to novel therapeutic strategies. [source] The causes, consequences and detection of publication bias in psychiatryACTA PSYCHIATRICA SCANDINAVICA, Issue 4 2000Simon M. Gilbody Objective: Publication bias threatens the validity of published research, although this topic has received little attention in psychiatry. The purpose of this article is to produce a systematic overview of the causes and consequences of publication bias and to summarize the available methods with which it is detected and corrected. Method: Empirical evidence for the existence of publication bias is reviewed and the following methods are applied to an illustrative case example from psychiatry: funnel plot analysis; the ,file drawer method'; linear regression techniques; rank correlation; ,trim and fill'. Results: Small studies are particularly susceptible to publication and related bias. All methods to detect publication bias depend upon the availability of a number of individual studies with a range of sample sizes. Unfortunately, large numbers of studies of varying sample size are not always available in many areas of psychiatric research. Conclusion: Where possible researchers should always test for the presence of publication bias. The problem of publication bias will not be solved by anything other than a prospective trials register. [source] Tolerance to herbivory, and not resistance, may explain differential success of invasive, naturalized, and native North American temperate vinesDIVERSITY AND DISTRIBUTIONS, Issue 2 2008Isabel W. Ashton ABSTRACT Numerous hypotheses suggest that natural enemies can influence the dynamics of biological invasions. Here, we use a group of 12 related native, invasive, and naturalized vines to test the relative importance of resistance and tolerance to herbivory in promoting biological invasions. In a field experiment in Long Island, New York, we excluded mammal and insect herbivores and examined plant growth and foliar damage over two growing seasons. This novel approach allowed us to compare the relative damage from mammal and insect herbivores and whether damage rates were related to invasion. In a greenhouse experiment, we simulated herbivory through clipping and measured growth response. After two seasons of excluding herbivores, there was no difference in relative growth rates among invasive, naturalized, and native woody vines, and all vines were susceptible to damage from mammal and insect herbivores. Thus, differential attack by herbivores and plant resistance to herbivory did not explain invasion success of these species. In the field, where damage rates were high, none of the vines were able to fully compensate for damage from mammals. However, in the greenhouse, we found that invasive vines were more tolerant of simulated herbivory than native and naturalized relatives. Our results indicate that invasive vines are not escaping herbivory in the novel range, rather they are persisting despite high rates of herbivore damage in the field. While most studies of invasive plants and natural enemies have focused on resistance, this work suggests that tolerance may also play a large role in facilitating invasions. [source] Grazing and community structure as determinants of invasion success by Scotch broom in a New Zealand montane shrublandDIVERSITY AND DISTRIBUTIONS, Issue 1 2003P. J. Bellingham Abstract. Scotch broom (Cytisus scoparius (L.) Link; Fabaceae) is a problematic invasive plant in many countries, and while attention has been paid to traits that make it a successful invader, there has been less focus on the properties of ecosystems that it invades. We conducted an experiment in a New Zealand montane shrubland with tussock grasses that has been invaded by Scotch broom to determine features that rendered it susceptible to invasion. We planted broom seedlings into the shrubland (control) and into three treatments: (1) resident shrubs removed, (2) tussocks removed and (3) shrubs and tussocks removed. We measured broom seedling mortality and growth over two growing seasons. The site was grazed by sheep in the first season, and scarcely grazed in the second, wetter season. Survivorship across all treatments after 19 months was 42%, and was lowest where shrubs were retained but tussocks removed. Broom seedlings grew taller and had greater leaf areas in treatments that retained shrubs. Neighbouring (within 49 cm) shrubs had no effects on survivorship or growth of broom seedlings. Neighbouring tussocks increased survivorship of broom seedlings but depressed their growth. Grazing by sheep was the most important determinant of survivorship and growth of broom seedlings, and effects were uniform regardless of experimental treatments. Initial high mortality of seedlings (48% in the first 3 months) was due to grazing, and height growth was often negative during periods of grazing. In the second growing season when the site was less grazed and there was greater rainfall, there was a rapid increase in height across all treatments. Continued grazing of the site by sheep is likely to be the chief means of retarding the invasion. [source] Topographic controls upon soil macropore flowEARTH SURFACE PROCESSES AND LANDFORMS, Issue 3 2009Joseph Holden Abstract Macropores are important components of soil hydrology. The spatial distribution of macropore flow as a proportion of saturated hydraulic conductivity was tested on six humid,temperate slopes using transects of tension infiltrometer measurements. Automated water table and overland flow monitoring allowed the timing of, and differentiation between, saturation-excess overland flow and infiltration-excess overland flow occurrence on the slopes to be determined and related to tension-infiltrometer measurements. Two slopes were covered with blanket peat, two with stagnohumic gleys and two with brown earth soils. None of the slopes had been disturbed by agricultural activity within the last 20 years. This controlled the potential for tillage impacts on macropores. The proportion of near-surface macropore flow to saturated hydraulic conductivity was found to vary according to slope position. The spatial patterns were not the same for all hillslopes. On the four non-peat slopes there was a relationship between locations of overland flow occurrence and reduced macroporosity. This relationship did not exist for the peat slopes investigated because they experienced overland flow across their whole slope surfaces. Nevertheless, they still had a distinctive spatial pattern of macropore flow according to slope position. For the other soils tested, parts of slopes that were susceptible to saturation-excess overland flow (e.g. hilltoes or flat hilltops) tended to have least macropore flow. To a lesser extent, for the parts of slopes susceptible to infiltration-excess overland flow, the proportion of macropore flow as a component of infiltration was also smaller compared with the rest of the slope. The roles of macropore creation and macropore infilling by sheet wash are discussed, and it is noted that the combination of these may result in distinctive topographically controlled spatial patterns of macropore flow. Copyright © 2008 John Wiley & Sons, Ltd. [source] Prescribed-fire effects on rill and interrill runoff and erosion in a mountainous sagebrush landscape ,EARTH SURFACE PROCESSES AND LANDFORMS, Issue 2 2009Frederick B. Pierson Abstract Changing fire regimes and prescribed-fire use in invasive species management on rangelands require improved understanding of fire effects on runoff and erosion from steeply sloping sagebrush-steppe. Small (0·5 m2) and large (32·5 m2) plot rainfall simulations (85 mm h,1, 1 h) and concentrated flow methodologies were employed immediately following burning and 1 and 2 years post-fire to investigate infiltration, runoff and erosion from interrill (rainsplash, sheetwash) and rill (concentrated flow) processes on unburned and burned areas of a steeply sloped sagebrush site on coarse-textured soils. Soil water repellency and vegetation were assessed to infer relationships in soil and vegetation factors that influence runoff and erosion. Runoff and erosion from rainfall simulations and concentrated flow experiments increased immediately following burning. Runoff returned to near pre-burn levels and sediment yield was greatly reduced with ground cover recovery to 40 per cent 1 year post-fire. Erosion remained above pre-burn levels on large rainfall simulation and concentrated flow plots until ground cover reached 60 per cent two growing seasons post-fire. The greatest impact of the fire was the threefold reduction of ground cover. Removal of vegetation and ground cover and the influence of pre-existing strong soil-water repellency increased the spatial continuity of overland flow, reduced runoff and sediment filtering effects of vegetation and ground cover, and facilitated increased velocity and transport capacity of overland flow. Small plot rainfall simulations suggest ground cover recovery to 40 per cent probably protected the site from low-return-interval storms, large plot rainfall and concentrated flow experiments indicate the site remained susceptible to elevated erosion rates during high-intensity or long duration events until ground cover levels reached 60 per cent. The data demonstrate that the persistence of fire effects on steeply-sloped, sandy sagebrush sites depends on the time period required for ground cover to recover to near 60 per cent and on the strength and persistence of ,background' or fire-induced soil water repellency. Published in 2009 by John Wiley & Sons, Ltd. [source] Simulation of the dissolution of weathered versus unweathered limestone in carbonic acid solutions of varying strengthEARTH SURFACE PROCESSES AND LANDFORMS, Issue 6 2007M. J. Thornbush Abstract A simulation was undertaken within a climatic chamber to investigate limestone dissolution under varied carbonic acid (H2CO3) strengths as a possible analogue for future increases in atmospheric CO2 arising from global warming. Twenty-eight samples cut from a block of Bath (Box Hill) limestone from Somerville College, Oxford, which had been removed during restoration after 150 years in an urban environment, were weighed and placed in closed bottles of thin plastic containing varying concentrations of H2CO3. Half of the stone samples were derived from exposed surfaces of the stone block (weathered) while the others were obtained from the centre of the block on unexposed surfaces (unweathered). The purpose of this was to compare dissolution of previously weathered versus unweathered surfaces in strong (pH 4·73) versus weak (pH 6·43) solutions of H2CO3. A temperature of c. 19 °C was maintained within the chamber representing a plausible future temperature in Oxford for the year 2200 given current warming scenarios. The simulation lasted 25 days with a few stone samples being removed midway. Stone samples show reduced weight in all cases but one. There was greater dissolution of stone samples in a strong H2CO3 solution as conveyed by higher concentrations of total hardness and Ca2+ in the water samples as well as enhanced microscopic dissolution features identified using SEM. The simulation confirms that enhanced atmospheric CO2 under global warming, given adequate moisture, will accelerate dissolution rates particularly of newly replaced limestone building stones. However, previously weathered surfaces, such as those on historical stone exposed for a century or more, appear to be less susceptible to the effects of such increased rainfall acidity. Conservation techniques which remove weathered surfaces, such as stone cleaning, may accelerate future decay of historical limestone structures by increasing their susceptibility to dissolution. Copyright © 2006 John Wiley & Sons, Ltd. [source] Impact of a rock avalanche on a moraine-dammed proglacial lake: Laguna Safuna Alta, Cordillera Blanca, PeruEARTH SURFACE PROCESSES AND LANDFORMS, Issue 10 2005Bryn Hubbard Abstract Moraines that dam proglacial lakes pose an increasing hazard to communities in the Andes and other mountain ranges. The moraines are prone to failure through collapse, overtopping by lake waters or the effect of displacement waves resulting from ice and rock avalanches. Resulting floods have led to the loss of thousands of lives in the Cordillera Blanca mountains of Peru alone in the last 100 years. On 22 April 2002 a rock avalanche occurred immediately to the south-west of Laguna Safuna Alta, in the Cordillera Blanca. The geomorphic evidence for the nature, magnitude and consequences of this event was investigated in August 2002. Field mapping indicated that the avalanche deposited 8,20 × 106 m3 of rock into the lake and onto the surface of the frontal region of Glaciar Pucajirca, which flows into the lake. Repeated bathymetric surveying indicated that ,5 × 106 m3 of this material was deposited directly into the lake. The immediate effect of this event was to create a displacement wave that gained in height as it travelled along the lake basin, overtopping the impounding moraine at the lake's northern end. To achieve overtopping, the maximum wave height must have been greater than 100 m. This, and subsequent seiche waves, caused extensive erosion of both the proximal and distal faces of the impounding terminal moraine. Further deep gullying of the distal face of this moraine resulted from the supply of pressurized water to the face via a relief overflow tunnel constructed in 1978. Two-dimensional, steady-state analysis of the stability of the post-avalanche moraine rampart indicates that its proximal face remains susceptible to major large-scale rotational failure. Copyright © 2005 John Wiley & Sons, Ltd. [source] Anatomy of a Pennine peat slide, Northern EnglandEARTH SURFACE PROCESSES AND LANDFORMS, Issue 5 2003Dr. Jeff Warburton Abstract This paper describes and analyses the structure and deposits of a large UK peat slide, located at Hart Hope in the North Pennines, northern England. This particular failure is unusual in that it occurred in the winter (February, 1995) and shows excellent preservation of the sedimentary structures and morphology, both at the failure scar and downstream. The slide was triggered by heavy rain and rapid snowmelt along the line of an active peatland stream flush. Detailed mapping of the slide area and downstream deposits demonstrate that the slide was initiated as a blocky mass that degenerated into a debris flow. The slide pattern was complex, with areas of extending and compressive movement. A wave-like motion may have been set up in the failure. Within the slide site there was relatively little variability in block size (b axis); however, downstream the block sizes decrease rapidly. Stability analysis suggests the area at the head of the scar is most susceptible to failure. A ,secondary' slide area is thought to have only been initiated once the main failure had occurred. Estimates of the velocity of the flowing peat mass as it entered the main stream channel indicate a flow velocity of approximately 10 m s,1, which rapidly decreases downstream. A sediment budget for the peat slide estimates the failed peat mass to be 30 800 t. However, sediment delivery to the stream channel was relatively low. About 37% of the failed mass entered the stream channel and, despite moving initially as debris flow, the amount of deposition along the stream course and on the downstream fan is small (only about 1%). The efficiency of fluvial systems in transporting the eroded peat is therefore high. Copyright © 2003 John Wiley & Sons, Ltd. [source] A substructure shaking table test for reproduction of earthquake responses of high-rise buildingsEARTHQUAKE ENGINEERING AND STRUCTURAL DYNAMICS, Issue 12 2009Xiaodong Ji Abstract When subjected to long-period ground motions, high-rise buildings' upper floors undergo large responses. Furniture and nonstructural components are susceptible to significant damage in such events. This paper proposes a full-scale substructure shaking table test to reproduce large floor responses of high-rise buildings. The response at the top floor of a virtual 30-story building model subjected to a synthesized long-period ground motion is taken as a target wave for reproduction. Since a shaking table has difficulties in directly reproducing such large responses due to various capacity limitations, a rubber-and-mass system is proposed to amplify the table motion. To achieve an accurate reproduction of the floor responses, a control algorithm called the open-loop inverse dynamics compensation via simulation (IDCS) algorithm is used to generate a special input wave for the shaking table. To implement the IDCS algorithm, the model matching method and the H, method are adopted to construct the controller. A numerical example is presented to illustrate the open-loop IDCS algorithm and compare the performance of different methods of controller design. A series of full-scale substructure shaking table tests are conducted in E-Defense to verify the effectiveness of the proposed method and examine the seismic behavior of furniture. The test results demonstrate that the rubber-and-mass system is capable of amplifying the table motion by a factor of about 3.5 for the maximum velocity and displacement, and the substructure shaking table test can reproduce the large floor responses for a few minutes. Copyright © 2009 John Wiley & Sons, Ltd. [source] Prairie dog presence affects occurrence patterns of disease vectors on small mammalsECOGRAPHY, Issue 5 2008R. Jory Brinkerhoff Wildlife disease is recognized as a burgeoning threat to imperiled species and aspects of host and vector community ecology have been shown to have significant effects on disease dynamics. The black-tailed prairie dog is a species of conservation concern that is highly susceptible to plague, a flea-transmitted disease. Prairie dogs (Cynomys) alter the grassland communities in which they exist and have been shown to affect populations of small rodents, which are purported disease reservoirs. To explore potential ecological effects of black-tailed prairie dogs on plague dynamics, we quantified flea occurrence patterns on small mammals in the presence and absence of prairie dogs at 8 study areas across their geographic range. Small mammals sampled from prairie dog colonies showed significantly higher flea prevalence, flea abundance, and relative flea species richness than those sampled from off-colony sites. Successful plague transmission likely is dependent on high prevalence and abundance of fleas that can serve as competent vectors. Prairie dogs may therefore facilitate the maintenance of plague by increasing flea occurrence on potential plague reservoir species. Our data demonstrate the previously unreported ecological influence of prairie dogs on vector species assemblages, which could influence disease dynamics. [source] Antixenosis phloem-based resistance to aphids: is it the rule?ECOLOGICAL ENTOMOLOGY, Issue 4 2010VINCENT LE ROUX 1. The concept of plant defence syndrome states that plant species growing in similar biotic or abiotic constraints should have convergent defensive traits. This article is a first step to test the prediction of this concept, by conducting experiments on wild Solanum species (or accessions) that originated from the Andes. The nature and the tissue localisation of the resistance of five wild Solanum species known to be resistant against the aphids Myzus persicae and Macrosiphum euphorbiae were determined by olfactometry and electrical penetration graph experiments. 2. Volatile organic compounds may contribute to wild Solanum resistance, depending on Solanum accessions and aphid species. Volatiles of S. bukasovii and S. stoloniferum PI 275248 were not attractive to M. persicae, whereas S. bukasovii was repulsive to M. euphorbiae. In contrast, volatiles of S. stoloniferum PI 275248 were attractive for M. euphorbiae. 3. Some wild Solanum species presented a generalised resistance in all plant tissues, so as for S. bukasovii and S. stoloniferum PI 275248 against M. persicae. However, except for S. bukasovii which was susceptible to M. euphorbiae, all tested Solanum species presented a phloem-based antixenosis resistance against the two aphid species. 4. A review of articles focused on the nature of resistance of wild Solanum species against aphids corroborated with our results, i.e. a phloem-based antixenosis resistance against aphids is the rule concerning the system aphids,wild Solanum species. [source] Post-gall induction performance of Adelges Abietis (L.) (Homoptera: Adelgidae) is influenced by clone, shoot length, and density of colonising gallicolaeECOLOGICAL ENTOMOLOGY, Issue 1 2010LEAH FLAHERTY 1. We evaluated the effect of clone (one susceptible and one resistant clone), shoot length, crown level, and gallicola density on post-gall induction performance of Adelges abietis. Galls that had been successfully induced by one fundatrix on a range of shoot sizes were selected, and the number of gallicolae that could colonise the gall was manipulated. 2. Post-induction gall development success was inversely related to shoot length and was higher on the susceptible clone than on the resistant clone. As gallicola density did not influence the proportion of galls that successfully completed development, reduced post-induction gall development on large shoots was not likely to be result of an insufficient stimulus from gallicolae. 3. Clone was the only factor that significantly influenced gall volume and galls were larger on the susceptible clone than on the resistant clone. As gall volume did not increase when more gallicolae attempted to colonise a gall, competition within a gall increased. Gallicola survival was inversely related to the number of colonising gallicolae. Our results suggest that gall size may be limiting at natural densities. 4. Previous studies report positive relationships between gall induction success and fundatrix density, and between gall size and fundatrix density. As each fundatrix produces one egg mass of gallicolae, this study suggests that there may be a trade-off between the successful induction of a large gall and subsequent survival of gallicolae. 5. In the present study, clone influenced all measures of post-gall induction performance. Performance was always higher on the susceptible than on the resistant clone. [source] |