Vice Versa (vice + versa)

Distribution by Scientific Domains


Selected Abstracts


Language in Schizophrenia Part 2: What Can Psycholinguistics Bring to the Study of Schizophrenia,and Vice Versa?

LINGUISTICS & LANGUAGE COMPASS (ELECTRONIC), Issue 8 2010
Gina R. Kuperberg
This is the second of two articles that discuss higher-order language and semantic processing in schizophrenia. The companion article (Part 1) gives an introduction to language dysfunction in patients with schizophrenia. This article reviews a selection of psycholinguistic studies which suggest that sentence-level abnormalities in schizophrenia may stem from a relative overdependence on semantic associative relationships at the expense of building higher-order meaning. Language disturbances in schizophrenia may be best conceptualized as arising from an imbalance of activity across two streams of processing, one directly drawing upon relationships stored within semantic memory and the other involving the use of combinatorial mechanisms to build propositional meaning. This article also discusses some of the ways in which the study of schizophrenia may offer new insights into the cognitive and neural architecture of the normal language system. [source]


Operator-oriented CRS interpolation

GEOPHYSICAL PROSPECTING, Issue 6 2009
German Hoecht
ABSTRACT In common-reflection-surface imaging the reflection arrival time field is parameterized by operators that are of higher dimension or order than in conventional methods. Using the common-reflection-surface approach locally in the unmigrated prestack data domain opens a potential for trace regularization and interpolation. In most data interpolation methods based on local coherency estimation, a single operator is designed for a target sample and the output amplitude is defined as a weighted average along the operator. This approach may fail in presence of interfering events or strong amplitude and phase variations. In this paper we introduce an alternative scheme in which there is no need for an operator to be defined at the target sample itself. Instead, the amplitude at a target sample is constructed from multiple operators estimated at different positions. In this case one operator may contribute to the construction of several target samples. Vice versa, a target sample might receive contributions from different operators. Operators are determined on a grid which can be sparser than the output grid. This allows to dramatically decrease the computational costs. In addition, the use of multiple operators for a single target sample stabilizes the interpolation results and implicitly allows several contributions in case of interfering events. Due to the considerable computational expense, common-reflection-surface interpolation is limited to work in subsets of the prestack data. We present the general workflow of a common-reflection-surface-based regularization/interpolation for 3D data volumes. This workflow has been applied to an OBC common-receiver volume and binned common-offset subsets of a 3D marine data set. The impact of a common-reflection-surface regularization is demonstrated by means of a subsequent time migration. In comparison to the time migrations of the original and DMO-interpolated data, the results show particular improvements in view of the continuity of reflections events. This gain is confirmed by an automatic picking of a horizon in the stacked time migrations. [source]


Distinguishing medullary carcinoma of the breast from high-grade hormone receptor-negative invasive ductal carcinoma: an immunohistochemical approach

HISTOPATHOLOGY, Issue 7 2010
Uta Flucke
Flucke U, Flucke M T, Hoy L, Breuer E, Goebbels R, Rhiem K, Schmutzler R, Winzenried H, Braun M, Steiner S, Buettner R & Gevensleben H (2010) Histopathology,56, 852,859 Distinguishing medullary carcinoma of the breast from high-grade hormone receptor-negative invasive ductal carcinoma: an immunohistochemical approach Aims:, Medullary carcinomas (MCs) represent a rare breast cancer subtype associated with a rather favourable prognosis compared with invasive ductal carcinomas (IDCs). Due to histopathological overlap, MCs are frequently misclassified as high-grade IDCs, potentially leading to overtreatment of MCs. Our aim was to establish novel diagnostic markers distinguishing MCs from hormone receptor-negative high-grade IDCs. Methods and results:, Sixty-one MCs and 133 hormone receptor-negative IDCs were analysed in a comparative immunohistochemical study. Applied markers included a comprehensive panel of cytokeratins (CKs), vimentin, smooth muscle actin (SMA), p63, p53, cell adhesion molecules [N-CAM (CD56), syndecan-1 (CD138), E-cadherin and P-cadherin] and development associated transcription factors (AP-2,, AP-2,). A significantly higher proportion of IDCs displayed increased expression of CK7, AP-2, and HER2 in contrast to MCs (CK7: 91% of IDCs versus 77% of MCs; AP-2,: 77% versus 57%; and HER2: 26% versus 7%, each P < 0.01). Vice versa, MCs were slightly more frequently positive for SMA and vimentin (P > 0.05). Conclusions:, Hormone receptor-negative high-grade IDCs are significantly associated with luminal differentiation, Her2 and AP-2, overexpression, whereas MCs tend to display myoepithelial features. Markers analysed in this study are of diagnostic value regarding the differential diagnosis of MCs. [source]


The transcriptional programme of contact-inhibition

JOURNAL OF CELLULAR BIOCHEMISTRY, Issue 5 2010
Monika Küppers
Abstract Proliferation of non-transformed cells is regulated by cell,cell contacts, which are referred to as contact-inhibition. Vice versa, transformed cells are characterised by a loss of contact-inhibition. Despite its generally accepted importance for cell-cycle control, little is known about the intracellular signalling pathways involved in contact-inhibition. Unravelling the molecular mechanisms of contact-inhibition and its loss during tumourigenesis will be an important step towards the identification of novel target genes in tumour diagnosis and treatment. To better understand the underlying molecular mechanisms we identified the transcriptional programme of contact-inhibition in NIH3T3 fibroblast using high-density microarrays. Setting the cut off: ,1.5-fold, P,,,0.05, 853 genes and 73 cDNA sequences were differentially expressed in confluent compared to exponentially growing cultures. Importing these data into GenMAPP software revealed a comprehensive list of cell-cycle regulatory genes mediating G0/G1 arrest, which was confirmed by RT-PCR and Western blot. In a narrow analysis (cut off: ,2-fold, P,,,0.002), we found 110 transcripts to be differentially expressed representing 107 genes and 3 cDNA sequences involved, for example, in proliferation, signal transduction, transcriptional regulation, cell adhesion and communication. Interestingly, the majority of genes was upregulated indicating that contact-inhibition is not a passive state, but actively induced. Furthermore, we confirmed differential expression of eight genes by semi-quantitative RT-PCR and identified the potential tumour suppressor transforming growth factor-, (TGF-,)-1-induced clone 22 (TSC-22; tgfb1i4) as a novel protein to be induced in contact-inhibited cells. J. Cell. Biochem. 110: 1234,1243, 2010. Published 2010 Wiley-Liss, Inc. [source]


Hepatitis viruses: live and let die

LIVER INTERNATIONAL, Issue 3 2007
K. Herzer
Abstract Viral hepatitis is a diffuse inflammatory reaction of the liver caused by hepatotropic viruses. Among the hepatitis viruses, only hepatitis B virus and hepatitis C virus are able to persist in the host and cause chronic hepatitis. In the course of persistent infection, inflammation forms the pathogenetic basis of chronic hepatitis that can lead to nodular fibrosis, which can progress to cirrhosis and, eventually, hepatocellular carcinoma (HCC). Of the different antiviral defense systems employed by the host, apoptosis significantly contributes to the prevention of viral replication, dissemination, and persistence. Pathomorphologic studies have shown acidophilic bodies and hepatocyte dropout, features that are compatible with apoptosis. The number of hepatocytes showing features of apoptosis in patients with chronic hepatitis B and C was found to be higher than in healthy subjects, indicating that apoptosis is involved in the pathogenesis of these diseases. There are various data suggesting that hepatitis B and C viral proteins may modulate apoptosis. Vice versa, mechanisms of apoptosis inhibition might represent central survival strategies employed by the virus which, in the end, may contribute to HCC development. While the expression and retention of viral proteins in hepatocytes may influence the severity and progression of liver disease, the mechanisms of liver injury in viral hepatitis are defined to be due not only to the direct cytopathic effects of viruses, but also to the host immune response to viral proteins expressed by infected hepatocytes. However, the exact role of these observations in relation to pathogenesis remains to be established. The mechanism and systems are complex. This report aims to provide an overview and intends to cite only a small number of pertinent references. [source]


Particle Size Control of Nanocrystalline Anatase TiO2 Synthesized by Hydrolysis of Titanyl Organic Compounds

CHEMICAL ENGINEERING & TECHNOLOGY (CET), Issue 12 2008
X.-Q. Chen
Abstract The global nanocrystalline anatase TiO2 particle can be obtained by hydrolysis of titanyl organic compounds. Its particle size is mostly influenced by the titanyl organic compounds' concentration, nitric acid (HNO3) concentration, reaction time and temperature, and especially the HNO3 concentration. The formation of nanocrystalline TiO2 with bigger size can be accelerated by a higher temperature, thick solution of reactant (titanyl organic compounds), and HNO3. Vice versa, in order to gain smaller particles, such as 6 nm, the reaction conditions should be set at a thin reactant solution, low temperature, and low HNO3 concentration. The reason lies in the hydrolyzing mechanism of titanyl organic compounds, which is strongly influenced by the temperature and pH. [source]


Independence in Appearance and in Fact: An Experimental Investigation,

CONTEMPORARY ACCOUNTING RESEARCH, Issue 1 2003
Nicholas Dopuch
Abstract In this study, we use experimental markets to assess the effect of the Security and Exchange Commission's (SEC's) new independence rule on investors' perceptions of independence, investors' payoff distributions, and market prices. The new rule requires client firms to disclose in their annual proxy statements the amount of nonaudit fees paid to their auditors. The new disclosure is intended to inform investors of auditors' incentives to compromise their independence. Our experimental design is a 2 3 between-subjects design, where we control the presence (unbiased reports) or absence of auditor independence in fact (biased reports). While independence in fact was not immediately observable to investors, we controlled for independence in appearance by varying the public disclosure of the extent of nonaudit services provided by the auditor to the client. In one market setting, investors were not given any information about whether the auditor provided such nonaudit services; in a second setting, investors were explicitly informed that the auditor did not provide any non-audit services; and in a third setting, investors were told that the auditor provided nonaudit services that could be perceived to have an adverse effect on independence in fact. We found that disclosures of nonaudit services reduced the accuracy of investors' beliefs of auditors' independence in fact when independence in appearance was inconsistent with independence in fact. This then caused prices of assets to deviate more from their economic predictions (lower market efficiency) in the inconsistent settings relative to the no-disclosure and consistent settings. Thus, disclosures of fees for nonaudit services could reduce the efficiency of capital markets if such disclosures result in investors forming inaccurate beliefs of auditor independence in fact - that is, auditors appear independent but they are not independent in fact, or vice versa. The latter is the maintained position of the American Institute of Certified Public Accountants (AICPA), which argued against the new rule. Further research is needed to assess the degree of correspondence between independence in fact and independence in appearance. [source]


A new temperature-sensitive contrast mechanism for MRI: Curie temperature transition-based imaging

CONTRAST MEDIA & MOLECULAR IMAGING, Issue 1 2007
F. Settecase
Abstract A temperature-sensitive MRI contrast mechanism is proposed based on the physical property, the Curie temperature (Tc), at which a ferromagnetic material transitions to paramagnetic state and vice versa. To evaluate the feasibility of this new contrast mechanism, experiments were performed with solid gadolinium metal, which has a Tc of 20°C. In phantom and ex vivo experiments, the magnetic susceptibility artifact area decreased with increasing temperature transitioning across Tc (p,<,0.05). Similar results would be expected for a variety of ferromagnetic substances with substance-specific Tc values. Temperature-sensitive MRI contrast agents harnessing this mechanism may be used to (1) indicate regional attainment of specific temperatures in thermotherapy, (2) render an accumulated contrast agent more or less visible by the external application of appropriate heating or cooling, or (3) quantify tissue temperature based on MR image characteristics and magnetic susceptibility artifact caused by a ferromagnetic,paramagnetic transitioning substance. Copyright © 2007 John Wiley & Sons, Ltd. [source]


Regional industrial recycling network in energy supply,the case of Joensuu city, Finland

CORPORATE SOCIAL RESPONSIBILITY AND ENVIRONMENTAL MANAGEMENT, Issue 3 2002
Jouni Korhonen
Industrial recycling networks offer an example of the practical application of some of the industrial ecology (IE) principles. In the industrial ecosystem and eco-industrial park approaches the material cycles and energy cascades in a natural ecosystem serve as the metaphoric vision for a local/regional industrial system in which waste material and waste (residual) energy are utilized through cooperation between the actors in the system. In this paper, a local/regional recycling network scenario is presented with the energy supply system of the city of Joensuu in Finland. The conditions of success include the co-production of heat and electricity (heat and power, CHP), waste energy utilization for industrial steam and renewable flow use as fuel. Some difficulties in the industrial ecosystem-type development of the system are discussed. Methodological suggestions for industrial ecosystem and eco-industrial park case studies are considered and the experience from this Finnish case is discussed in terms of wider application of IE in local/regional economic energy systems. For future research on the theme, it is suggested that regional industrial ecology may benefit from regional economics theory and, vice versa, regional economics theory may find a new area of application in regional industrial ecology. Copyright © 2002 John Wiley & Sons, Ltd. and ERP Environment. [source]


Technologies of the Voice: FM Radio, Telephone, and the Nepali Diaspora in Kathmandu

CULTURAL ANTHROPOLOGY, Issue 3 2006
Laura Kunreuther
Through the public broadcast of intimate telephone conversations between Nepalis abroad and those in Kathmandu, the diaspora is made "present" in Kathmandu. On these commercial FM programs, the voice is viewed as a key sign of emotional directness, authenticity, and intimacy. Simultaneously, the figure of the voice has been central in discussions about the promises (and failures) of democracy and transparent governance. These two seemingly distinct formations of voice are mutually constitutive. Sentimental discourse about the voice reiterates modern neoliberal discourse about democracy and vice versa. Both are crucial to the formation of an urban Nepali subject in this political moment, which is deeply shaped by the figure of the diaspora. [source]


Anisotropic contraction in forisomes: Simple models won't fit

CYTOSKELETON, Issue 5 2008
Winfried S. Peters
Abstract Forisomes are ATP-independent, Ca2+ -driven contractile protein bodies acting as reversible valves in the phloem of plants of the legume family. Forisome contraction is anisotropic, as shrinkage in length is associated with radial expansion and vice versa. To test the hypothesis that changes in length and width are causally related, we monitored Ca2+ - and pH-dependent deformations in the exceptionally large forisomes of Canavalia gladiata by high-speed photography, and computed time-courses of derived geometric parameters (including volume and surface area). Soybean forisomes, which in the resting state resemble those of Canavalia geometrically but have less than 2% of the volume, were also studied to identify size effects. Calcium induced sixfold volume increases in forisomes of both species; in soybean, responses were completed in 0.15 s, compared to about 0.5 s required for a rapid response in Canavalia followed by slow swelling for several minutes. This size-dependent behavior supports the idea that forisome contractility might rest on similar mechanisms as those of polyelectrolyte gels, a class of artificial "smart" materials. In both species, time-courses of forisome length and diameter were variable and lacked correlation, arguing against a simple causal relationship between changes in length and width. Moreover, changes in the geometry of soybean forisomes differed qualitatively between Ca2+ - and pH-responses, suggesting that divalent cations and protons target different sites on the forisome proteins. Cell Motil. Cytoskeleton 2008. © 2008 Wiley-Liss, Inc. [source]


Immunohistochemical analysis of nervous system regeneration in chimeric individuals of Dorvillea bermudensis (Polychaeta, Dorvilleidae)

DEVELOPMENT GROWTH & DIFFERENTIATION, Issue 2 2004
Monika C. M. Müller
In regeneration experiments, 0.5% of the two- or five-segmented fragments of the polychaete Dorvillea bermudensis were found unexpectedly transplanted: two fragments of each that were lying close together during the initial period, fused and regenerated a chimeric individual. Of the three theoretical possibilities (i.e. fusion of (i) two posterior ends; (ii) one anterior and one posterior end; (iii) or two anterior ends) only the last two were realized. The similarly oriented fragments regenerated a normal animal while anterior,anterior fused ones produced two heads or a double head. Whether the ventral cords of the fragments are located vis-à-vis or adjacent, influences the course of regeneration as well. Immunohistochemical methods (anti-acetylated ,-tubulin) in conjunction with confocal laser scanning microscopy were used to investigate the wiring pattern of the nervous systems of the grafts. In all cases, at least two supraesophageal ganglia were formed and palps, antennae and nuchal organs were innervated by the correct nerves but, in special cases, were innervated vice versa from the other brain. From these results it can be concluded that fusion of a regenerating connective with another connective results in formation of a new brain, irrespective of whether it belongs to the same nerve cord or not. [source]


pMesogenin1 and 2 function directly downstream of Xtbx6 in Xenopus somitogenesis and myogenesis

DEVELOPMENTAL DYNAMICS, Issue 12 2008
Shunsuke Tazumi
Abstract T-box transcription factor tbx6 and basic-helix-loop-helix transcription factor pMesogenin1 are reported to be involved in paraxial mesodermal differentiation. To clarify the relationship between these genes in Xenopus laevis, we isolated pMesogenin2, which showed high homology with pMesogenin1. Both pMesogenin1 and 2 appeared to be transcriptional activators and were induced by a hormone-inducible version of Xtbx6 without secondary protein synthesis in animal cap assays. The pMesogenin2 promoter contained three potential T-box binding sites with which Xtbx6 protein was shown to interact, and a reporter gene construct containing these sites was activated by Xtbx6. Xtbx6 knockdown reduced pMesogenin1 and 2 expressions, but not vice versa. Xtbx6 and pMesogenin1 and 2 knockdowns caused similar phenotypic abnormalities including somite malformation and ventral body wall muscle hypoplasia, suggesting that Xtbx6 is a direct regulator of pMesogenin1 and 2, which are both involved in somitogenesis and myogenesis including that of body wall muscle in Xenopus laevis. Developmental Dynamics 237:3749,3761, 2008. © 2008 Wiley-Liss, Inc. [source]


Vibration signals from the FT joint can induce phase transitions in both directions in motoneuron pools of the stick insect walking system

DEVELOPMENTAL NEUROBIOLOGY, Issue 2 2003
Ulrich Bässler
Abstract The influence of vibratory signals from the femoral chordotonal organ fCO on the activities of muscles and motoneurons in the three main leg joints of the stick insect leg, i.e., the thoraco,coxal (TC) joint, the coxa,trochanteral (CT) joint, and the femur,tibia (FT) joint, was investigated when the animal was in the active behavioral state. Vibration stimuli induced a switch in motor activity (phase transition), for example, in the FT joint motor activity switched from flexor tibiae to extensor tibiae or vice versa. Similarly, fCO vibration induced phase transitions in both directions between the motoneuron pools of the TC joint and the CT joint. There was no correlation between the directions of phase transition in different joints. Vibration stimuli presented during simultaneous fCO elongation terminated the reflex reversal motor pattern in the FT joint prematurely by activating extensor and inactivating flexor tibiae motoneurons. In legs with freely moving tibia, fCO vibration promoted phase transitions in tibial movement. Furthermore, ground vibration promoted stance,swing transitions as long as the leg was not close to its anterior extreme position during stepping. Our results provide evidence that, in the active behavioral state of the stick insect, vibration signals can access the rhythm generating or bistable networks of the three main leg joints and can promote phase transitions in motor activity in both directions. The results substantiate earlier findings on the modular structure of the single-leg walking pattern generator and indicate a new mechanism of how sensory influence can contribute to the synchronization of phase transitions in adjacent leg joints independent of the walking direction. © 2003 Wiley Periodicals, Inc. J Neurobiol 56: 125,138, 2003 [source]


Reorientation by geometric and landmark information in environments of different size

DEVELOPMENTAL SCIENCE, Issue 5 2005
Giorgio Vallortigara
It has been found that disoriented children could use geometric information in combination with landmark information to reorient themselves in large but not in small experimental spaces. We tested domestic chicks in the same task and found that they were able to conjoin geometric and nongeometric (landmark) information to reorient themselves in both the large and the small space used. Moreover, chicks reoriented immediately when displaced from a large to a small experimental space and vice versa, suggesting that they used the relative metrics of the environment. However, when tested with a transformation (affine transformation) that alters the geometric relations between the target and the shape of the environment, chicks tended to make more errors based on geometric information when tested in the small than in the large space. These findings suggest that the reliance of the use of geometric information on the spatial scale of the environment is not restricted to the human species. [source]


The relationship between depression and diabetes mellitus: findings from the Hertfordshire Cohort Study

DIABETIC MEDICINE, Issue 6 2009
R. I. G. Holt
Abstract Aims, To assess the relationship between depression scores and diabetes, glucose and insulin in a cross-sectional population-based study. Methods, One thousand, five hundred and seventy-nine men and 1418 women from the Hertfordshire Cohort Study were assessed for diabetes. Plasma glucose and insulin concentrations were measured at 0, 30 and 120 min during a standard 75-g oral glucose tolerance test. Depressive and anxiety symptoms were measured using the Hospital Anxiety and Depression Scale (HADS). Results, Overall, 431 (14.6%) were diagnosed with diabetes [232 men (14.9%) and 199 women (14.3%)]. One hundred and eight (47%) men and 74 (37%) women had known diabetes. The remainder were previously undiagnosed. Fifty-nine (3.7%) men and 65 (4.6%) women had possible depression (HAD-D scores 8,10) and 17 (1.1%) men and 20 (1.4%) women had probable depression (HAD-D scores , 11). Probable depression was associated with an adjusted odds ratio for diabetes of 3.89 [95% confidence interval (CI) 1.28,11.88] in men and 1.51 (95% CI 0.47,4.84) in women. In men without previously diagnosed diabetes, fasting insulin (P = 0.035), 2-h glucose concentrations (P = 0.028) and insulin resistance (P = 0.032) were significantly associated with HAD-D scores. With the exception of 2-h glucose concentrations (P = 0.034), the associations were not significant in women. Conclusions, These data support the hypothesis that depression may increase the risk for diabetes. The relationship between depression score and metabolic variables extends across the whole population and is not confined to those with either diagnosed depression or diabetes. This relationship should lead clinicians to consider screening for diabetes in those with depression and vice versa. [source]


Insulin and glucose profiles during continuous subcutaneous insulin infusion compared with injection of a long-acting insulin in Type 2 diabetes1

DIABETIC MEDICINE, Issue 5 2008
T. Parkner
Abstract Aims To compare insulin and glucose profiles during basal continuous subcutaneous infusion of a rapid-acting insulin analogue and once daily subcutaneous injection of a long-acting insulin analogue in Type 2 diabetes. Methods Twenty-one patients with Type 2 diabetes treated with oral glucose-lowering agents were randomized in this two-period crossover study to an equivalent 24-h dose of continuous subcutaneous infusion of insulin aspart and subsequently once-daily bedtime subcutaneous injection of insulin glargine, or vice versa, for eight consecutive days. Plasma profiles of insulin and glucose were recorded. Results On the last day of each treatment period, the area under the curve (AUC) for glucose was 10% lower on the continuous subcutaneous infusion regimen compared with the insulin injection regimen (P = 0.002). This was accomplished by a flat exogenous insulin infusion profile compared with a peaking profile with injected insulin (AUC was 74% higher after injection compared with pre-injection levels (P = 0.001)). During the last 6 days in each treatment period, the intra-subject variability of exogenous fasting insulin levels in the mornings was 41% lower during insulin infusion compared with insulin injection (P = 0.012). The corresponding intra-subject variability for fasting glucose only showed a tendency to be lower during infusion as compared to the injection regimen (28%; P = 0.104). Thirteen symptomatic-only or minor hypoglycaemic episodes were recorded during the entire infusion period compared with three episodes during the injection period. Conclusions Basal continuous subcutaneous infusion of a rapid-acting insulin analogue improved plasma insulin (more flat insulin profile with a lower variability) and glucose (lower AUC) profiles compared with once-daily subcutaneous injection of a long-acting insulin analogue in Type 2 diabetes. [source]


Simultaneous Chlamydia trachomatis and HPV infection in pregnant women

DIAGNOSTIC CYTOPATHOLOGY, Issue 6 2010
Sônia Maria Miranda Pereira B.Sc.
Pregnancy is associated with HPV infection and with Chlamydia trachomatis (CT) infection mostly due to the natural immunosuppression. In addition, pregnancy associated to CT infection can lead to adverse conditions to the woman and fetus, and CT is also believed to be a co-factor in human immunodeficiency virus infection and HPV-induced cervical cancer. The aim of this study was to establish the odds ratios (OR) of CT infection in to HPV-infected pregnant women and vice versa of women stratified by age (<25 years) and marital status. This work is part of a national multicentric transversal study carried out in six Brazilian cities supported by the Ministry of Health of Federal Government of Brazil in 2003. Cervical scrapes of 371 pregnant women were sampled. We performed a hybrid capture-2 technique to diagnose these samples on HPV and CT infection, and the women responded a questionnaire. Significant association was observed between nonstable marital status and hr-HPV infection [OR = 2.61 (1.38,4.97) P = 0.003)], and age <25 years old [OR = 2.26 (1.09,4.71) P = 0.029]. Nonstable marital status was also associated with lr-HPV infection [OR = 2.67 (1.59,4.50) P < 0.001), and age <25 years old [OR = 2.55 (1.51,4.32) P < 0.001). Fifty of the 371 pregnant women were infected with hr-HPV (13.5%) and 111 (30.0%) were infected with lr-HPV. The coinfections of HPV and CT were found in 31 women, that is, 8.36% of the pregnant women (P < 0.001). The high rate of simultaneous CT and HPV infection in pregnant women favors the recommendation to screen pregnant women for both CT and HPV. Diagn. Cytopathol. 2010. © 2009 Wiley-Liss, Inc. [source]


Mental health and alcohol, drugs and tobacco: a review of the comorbidity between mental disorders and the use of alcohol, tobacco and illicit drugs

DRUG AND ALCOHOL REVIEW, Issue 6 2006
EVA JANE-LLOPIS
Abstract This paper reviews some major epidemiological studies undertaken in high-income countries during the last 15 years which have reported the prevalence of mental disorders and substance use disorders and their relationship. Comorbidity between mental and substance use disorders is highly prevalent across countries. In general, people with a substance use disorder had higher comorbid rates of mental disorders than vice versa, and people with illicit drug disorders had the highest rates of comorbid mental disorders. There is a strong direct association between the magnitude of comorbidity and the severity of substance use disorders. While causal pathways differ across substances and disorders, there is evidence that alcohol is a casual factor for depression, in some European countries up to 10% of male depression. Policies that reduce the use of substances are likely to reduce the prevalence of mental disorders. Treatment should be available in an integrated fashion for both mental and substance use disorders. There is a need to expand the evidence base on comorbidity, particularly in low-income countries. [source]


Understanding the temporal dynamics of the wandering Renous River, New Brunswick, Canada

EARTH SURFACE PROCESSES AND LANDFORMS, Issue 10 2005
Leif M. Burge
Abstract Wandering rivers are composed of individual anabranches surrounding semi-permanent islands, linked by single channel reaches. Wandering rivers are important because they provide habitat complexity for aquatic organisms, including salmonids. An anabranch cycle model was developed from previous literature and field observations to illustrate how anabranches within the wandering pattern change from single to multiple channels and vice versa over a number of decades. The model was used to investigate the temporal dynamics of a wandering river through historical case studies and channel characteristics from field data. The wandering Renous River, New Brunswick, was mapped from aerial photographs (1945, 1965, 1983 and 1999) to determine river pattern statistics and for historical analysis of case studies. Five case studies consisting of a stable single channel, newly formed anabranches, anabranches gaining stability following creation, stable anabranches, and an abandoning anabranch were investigated in detail. Long profiles, hydraulic geometry, channel energy, grain size and sediment mobility variables were calculated for each channel. Within the Renous study area, the frequency of channel formation and abandonment were similar over the 54 years of analysis, indicating that the wandering pattern is being maintained. Eight anabranches were formed through avulsions, five were formed through the emergence of islands from channel bars and 11 anabranches were abandoned. The stable anabranch pair displayed similar hydraulic geometry and channel energy characteristics, while unstable anabranch pairs did not. The anabranch pair that gained stability displayed more similar channel energy characteristics than the anabranch pair that was losing stability (abandoning). It appears that anabranch pairs with similar energy characteristics are more stable than anabranches where these characteristics are out of balance. This is consistent with the hypothesis that anabranch pairs of similar length will be more stable than those with dissimilar lengths. Copyright © 2005 John Wiley & Sons, Ltd. [source]


Modelling land use changes and their impact on soil erosion and sediment supply to rivers

EARTH SURFACE PROCESSES AND LANDFORMS, Issue 5 2002
Anton J. J. Van Rompaey
Abstract The potential for surface runoff and soil erosion is strongly affected by land use and cultivation. Therefore the modelling of land use changes is important with respect to the prediction of soil degradation and its on-site and off-site consequences. Land use changes during the past 250 years in the Dijle catchment (central Belgium) were analysed by comparing four historical topographic maps (1774, 1840, 1930 and 1990). A combination of land use transformation maps and biophysical land properties shows that certain decision rules are used for the conversion of forest into arable land or vice versa. During periods of increasing pressure on the land, forests were cleared mainly on areas with low slope gradients and favourable soil conditions, while in times of decreasing pressure land units with steep and unfavourable soil conditions were taken out of production. Possible future land use patterns were generated using stochastic simulations based on land use transformation probabilities. The outcome of these simulations was used to assess the soil erosion risk under different scenarios. The results indicate that even a relatively limited land use change, from forest to arable land or vice versa, has a significant effect on regional soil erosion rates and sediment supply to rivers. Copyright © 2002 John Wiley & Sons, Ltd. [source]


Reciprocal specialization in ecological networks

ECOLOGY LETTERS, Issue 9 2009
Lucas N. Joppa
Abstract Theories suggest that food webs might consist of groups of species forming ,blocks', ,compartments' or ,guilds'. We consider ecological networks , subsets of complete food webs , involving species at adjacent trophic levels. Reciprocal specializations occur when (say) a pollinator (or group of pollinators) specializes on a particular flower species (or group of such species) and vice versa. Such specializations tend to group species into guilds. We characterize the level of reciprocal specialization for both antagonistic interactions , particularly parasitoids and their hosts , and mutualistic ones , such as insects and the flowers that they pollinate. We also examine whether trophic patterns might be ,palimpsests', that is, there might be reciprocal specialization within taxonomically related species within a network, but these might be obscured when these relationships are combined. Reciprocal specializations are rare in all these systems when tested against the most conservative null model. [source]


The power of time: spatiotemporal scaling of species diversity

ECOLOGY LETTERS, Issue 8 2003
Peter B. Adler
Abstract The species,area relationship (SAR) provides the foundation for much of theoretical ecology and conservation practice. However, by ignoring time the SAR offers an incomplete model for biodiversity dynamics. We used long-term data from permanent plots in Kansas grasslands, USA, to show that the increase in the number of species found with increasing periods of observation takes the same power-law form as the SAR. A statistical model including time, area, and their interaction explains 98% of variation in mean species number and demonstrates that while the effect of time depends on area, and vice versa, time has strong effects on species number even at relatively broad spatial scales. Our results suggest equivalence of underlying processes in space and time and raise questions about the diversity estimates currently used by basic researchers and conservation practitioners. [source]


Macroeconomic News and the Euro/Dollar Exchange Rate

ECONOMIC NOTES, Issue 3 2003
Gabriele Galati
This paper investigates to what extent daily movements in the euro/dollar rate were driven by news about the macroeconomic situation in the USA and the euro area during the first two years of EMU. We examine whether market participants reacted to news in different ways depending on whether the news came from the USA or from the euro area, and whether the news was good or bad. Furthermore, we investigate whether traders' reaction to news has changed over time. We find that macroeconomic news has a statistically significant correlation with daily movements of the euro against the dollar. However, this relationship exhibits considerable time variation. There are indications of asymmetric response, but to different extents at different times. Our results also provide evidence that the market seemed to ignore good news and remain fixated on bad news from the euro area, as often claimed in market commentaries, but only for some time. Finally, we find evidence that the impact of macroeconomic news on the euro/dollar rate was stronger when news switches from good to bad or vice versa. (J.E.L.: F31). [source]


Effects of output power fluctuation on short-circuit current of induction-type wind power generators

ELECTRICAL ENGINEERING IN JAPAN, Issue 3 2009
Teruhisa Kumano
Abstract Effects of the fluctuation inherent in wind speed are studied by a probabilistic method. The random variation in wind speed is responsible for random behavior in output power and internal voltage of a wind power generator. In case of fault occurrence at the instant of high internal voltage, the resultant short-circuit current will be big, and vice versa. The DC component is also affected. According to the study, 2.4% and 1.3% increase of short-circuit current in AC and DC components are observed respectively in a large variation case. This implies that the wind speed variation should be considered for accurate short-circuit study. © 2008 Wiley Periodicals, Inc. Electr Eng Jpn, 166(3): 27,36, 2009; Published online in Wiley InterScience (www.interscience.wiley.com). DOI 10.1002/eej.20721 [source]


High-sensitive determination of human ,-thrombin by its 29-mer aptamer in affinity probe capillary electrophoresis

ELECTROPHORESIS, Issue 12 2008
Yilin Li
Abstract ACE technique provides an effective tool for the separation and identification of disease-related biomarkers in clinical analysis. In recent years, a couple of synthetic DNA or RNA oligonucleotides, known as aptamers, rival the specificity and affinity for targets to antibodies and are employed as one kind of powerful affinity probe in ACE. In this work, based on high affinity between antithrombin aptamer and thrombin (their dissociation constant is 0.5,nM), a carboxyfluorescein-labeled 29-nucleotide (nt) aptamer (F29-mer) was used and an aptamer-based affinity probe CE (aptamer-based APCE) method was successfully established for high-sensitive detection and quantitative analysis of thrombin. Experimental conditions including incubation temperature and time, buffer composition, and concentration of cations were investigated and optimized. Under the optimized condition, the linear range was from 0 to 400,nM and the LOD was 2,nM (74,ng/mL, S/N,=,3), i.e., 40,amol, both in running buffer and in 5% v/v human serum. This LOD is the lowest one than those achieved by the previous APCE methods but based on a 15-mer aptamer. This approach offers a promising method for the rapid, selective, and sensitive detection of thrombin in practical utility. Further binding experiments using one carboxyfluorescein-labeled aptamer and the other nonlabeled aptamer or vice versa were carried out to deduce the formation of ternary complex when these two aptamers coexisted in the free solution with thrombin. [source]


Why pest management needs behavioral ecology and vice versa

ENTOMOLOGICAL RESEARCH, Issue 1 2007
Bernard D. ROITBERG
Abstract Behavior manipulation is becoming an accepted tactic in pest management, however, there are many ways in which the approach can be improved. In this review, I explain how and why insect behavioral response to various stimuli can vary dramatically under different conditions and that it is this variable response that must be understood before behavior manipulation becomes widely accepted in pest management programs. I propose that entomologists use concepts from behavioral ecology to manipulate pest behavior in a predictable manner. The key is to study behaviors that maximize fitness in natural environments and then exploit these behaviors in agriculture. I provide examples from a range of behavior manipulation tactics, including use of attracticides, kairomone-mediated biological control, use of marking pheromones, and push-pull manipulation. [source]


Glucose inhibits the formation of gas vesicles in Haloferax volcanii transformants

ENVIRONMENTAL MICROBIOLOGY, Issue 1 2008
Torsten Hechler
Summary The effect of glucose on the formation of gas vesicles was investigated in Haloferax mediterranei and Hfx.volcanii transformants containing the mc- gvp gene cluster of Hfx. mediterranei (mc-vac transformants). Increasing amounts of glucose in the medium resulted in a successive decrease in the amount of gas vesicles in both species, with a complete inhibition of their formation at glucose concentrations of > 70 mM in mc-vac transformants, and 100 mM in Hfx. mediterranei. Maltose and sucrose imposed a similar inhibitory effect, whereas xylose, arabinose, lactose, pyruvate and 2-deoxy-glucose had no influence on the gas vesicle formation in mc-vac transformants. The activities of the two mc-vac promoters were strongly reduced in mc-vac transformants grown in the presence of > 50 mM glucose. The gas vesicle overproducing ,D transformant (lacking the repressing protein GvpD) also showed a glucose-induced lack of gas vesicles, indicating that GvpD is not involved in the repression. The addition of glucose was useful to block gas vesicle formation at a certain stage during growth, and vice versa, gas vesicle synthesis could be induced when a glucose-grown culture was shifted to medium lacking glucose. Both procedures will enable the investigation of defined stages during gas vesicle formation. [source]


Coselection for microbial resistance to metals and antibiotics in freshwater microcosms

ENVIRONMENTAL MICROBIOLOGY, Issue 9 2006
Ramunas Stepanauskas
Summary Bacterial resistances to diverse metals and antibiotics are often genetically linked, suggesting that exposure to toxic metals may select for strains resistant to antibiotics and vice versa. To test the hypothesis that resistances to metals and antibiotics are coselected for in environmental microbial assemblages, we investigated the frequency of diverse resistances in freshwater microcosms amended with Cd, Ni, ampicillin or tetracycline. We found that all four toxicants significantly increased the frequency of bacterioplankton resistance to multiple, chemically unrelated metals and antibiotics. An ampicillin-resistant strain of the opportunistic human pathogen Ralstonia mannitolilytica was enriched in microcosms amended with Cd. Frequencies of antibiotic resistance were elevated in microcosms with metal concentrations representative of industry and mining-impacted environments (0.01,1 mM). Metal but not antibiotic amendments decreased microbial diversity, and a weeklong exposure to high concentrations of ampicillin (0.01,10 mg l,1) and tetracycline (0.03,30 mg l,1) decreased microbial abundance only slightly, implying a large reservoir of antibiotic resistance in the studied environment. Our results provide first experimental evidence that the exposure of freshwater environments to individual metals and antibiotics selects for multiresistant microorganisms, including opportunistic human pathogens. [source]


Do smoking attitudes predict behaviour?

ADDICTION, Issue 10 2008
A longitudinal study on the bi-directional relations between adolescents' smoking attitudes, behaviours
ABSTRACT Aims Prevention and intervention programmes focus frequently upon retaining or creating negative attitudes towards smoking in an effort to prevent adolescents from smoking. As the focus upon attitudes is central in these programmes it is essential to know whether smoking attitudes actually precede smoking behaviour or, conversely, are affected by it. Therefore, in the present study we examined to what extent bi-directional relations existed between smoking attitudes and behaviour. Design Data were used from the three annual waves of the ,Family and Health' project. Setting Participants were asked to complete questionnaires individually at their homes. Participants Addresses of families consisting of two parents and two adolescents were obtained from the records of 22 municipalities in the Netherlands. At baseline, 428 families participated with a response rate of 94% at the third measurement. Measurements Self-reports were used to assess adolescents' smoking attitudes and behaviour. Associations between smoking attitudes and behaviour were tested using structural equation modelling. Findings Findings revealed that smoking attitudes did not predict smoking consistently over time. However, past smoking affected subsequent attitudes moderately, suggesting that adolescents who started to smoke developed less negative attitudes towards smoking. Conclusions The current findings imply that smoking behaviour predominantly shapes smoking-related attitudes, rather than vice versa. Focusing merely on smoking attitudes is probably not enough to prevent adolescents from smoking. [source]