62 research outputs found
Closure in the Earth's angular momentum budget observed from subseasonal periods down to four days: No core effects needed
International audienceShort period variations in the Earth's rotation rate, lengthâofâday (LOD), are driven mainly by the atmosphere with smaller contributions by the oceans. Previous studies have noted a lag of atmospheric angular momentum (AAM) with LOD that would imply another source. We examine AAM from the European Centre for MediumâRange Weather Forecasts (ECMWF) and the National Centers for Environmental Prediction (NCEP) reanalysis series, along with oceanic angular momentum (OAM) from the ECCO consortium; land hydrological effects made no discernible impact. The NCEP reanalysis together with OAM produces a significant lag with LOD, while the ECMWF reanalysis AAM with OAM shows no phase lag. We find significant coherence with LOD variations down to periods of 4 days; coherence losses at shorter periods likely arise from the inverted barometer assumption and unmodeled dynamical processes. Thus the inclusion of core effects is not needed to balance the axial angular momentum budget on subâseasonal time scales
Report of the panel on earth rotation and reference frames, section 7
Objectives and requirements for Earth rotation and reference frame studies in the 1990s are discussed. The objectives are to observe and understand interactions of air and water with the rotational dynamics of the Earth, the effects of the Earth's crust and mantle on the dynamics and excitation of Earth rotation variations over time scales of hours to centuries, and the effects of the Earth's core on the rotational dynamics and the excitation of Earth rotation variations over time scales of a year or longer. Another objective is to establish, refine and maintain terrestrial and celestrial reference frames. Requirements include improvements in observations and analysis, improvements in celestial and terrestrial reference frames and reference frame connections, and improved observations of crustal motion and mass redistribution on the Earth
Weak lensing in scalar-tensor theories of gravity
This article investigates the signatures of various models of dark energy on
weak gravitational lensing, including the complementarity of the linear and
non-linear regimes. It investigates quintessence models and their extension to
scalar-tensor gravity. The various effects induced by this simplest extension
of general relativity are discussed. It is shown that, given the constraints in
the Solar System, models such as a quadratic nonminimal coupling do not leave
any signatures that can be detected while other models, such as a runaway
dilaton, which include attraction toward general relativity can let an imprint
of about 10%.Comment: 25 pages, 29 figure
Big bang nucleosynthesis constraints on scalar-tensor theories of gravity
We investigate BBN in scalar-tensor theories of gravity with arbitrary matter
couplings and self-interaction potentials. We first consider the case of a
massless dilaton with a quadratic coupling to matter. We perform a full
numerical integration of the evolution of the scalar field and compute the
resulting light element abundances. We demonstrate in detail the importance of
particle mass thresholds on the evolution of the scalar field in a radiation
dominated universe. We also consider the simplest extension of this model
including a cosmological constant in either the Jordan or Einstein frame.Comment: 19 pages, 30 eps figure
Cosmological observations in scalar-tensor quintessence
The framework for considering the astronomical and cosmological observations
in the context of scalar-tensor quintessence in which the quintessence field
also accounts for a time dependence of the gravitational constant is developed.
The constraints arising from nucleosynthesis, the variation of the constant,
and the post-Newtonian measurements are taken into account. A simple model of
supernovae is presented in order to extract the dependence of their light
curves with the gravitational constant; this implies a correction when fitting
the luminosity distance. The properties of perturbations as well as CMB
anisotropies are also investigated.Comment: 26 pages, 22 figures, to appear in PR
The XMM-LSS survey: the Class 1 cluster sample over the initial 5 square degrees and its cosmological modelling
We present a sample of 29 galaxy clusters from the XMM-LSS survey over an
area of some 5deg2 out to a redshift of z=1.05. The sample clusters, which
represent about half of the X-ray clusters identified in the region, follow
well defined X-ray selection criteria and are all spectroscopically confirmed.
For all clusters, we provide X-ray luminosities and temperatures as well as
masses. The cluster distribution peaks around z=0.3 and T =1.5 keV, half of the
objects being groups with a temperature below 2 keV. Our L-T(z) relation points
toward self-similar evolution, but does not exclude other physically plausible
models. Assuming that cluster scaling laws follow self-similar evolution, our
number density estimates up to z=1 are compatible with the predictions of the
concordance cosmology and with the findings of previous ROSAT surveys. Our well
monitored selection function allowed us to demonstrate that the inclusion of
selection effects is essential for the correct determination of the evolution
of the L-T relation, which may explain the contradictory results from previous
studies. Extensive simulations show that extending the survey area to 10deg2
has the potential to exclude the non-evolution hypothesis, but that constraints
on more refined ICM models will probably be limited by the large intrinsic
dispersion of the L-T relation. We further demonstrate that increasing the
dispersion in the scaling laws increases the number of detectable clusters,
hence generating further degeneracy [in addition to sigma8, Omega_m, L(M,z) and
T(M,z)] in the cosmological interpretation of the cluster number counts. We
provide useful empirical formulae for the cluster mass-flux and mass-count-rate
relations as well as a comparison between the XMM-LSS mass sensitivity and that
of forthcoming SZ surveys.Comment: Accepted for publication by MNRAS. Full resolution images as well as
additional cluster data are available through a dedicated database at
http://l3sdb.in2p3.fr:8080/l3sdb
Inhibition of Chondrosarcoma Growth by mTOR Inhibitor in an In Vivo Syngeneic Rat Model
BACKGROUND: Chondrosarcomas are the second most frequent primary malignant type of bone tumor. No effective systemic treatment has been identified in advanced or adjuvant phases for chondrosarcoma. The aim of the present study was to determine the antitumor effects of doxorubicin and everolimus, an mTOR inhibitor on chondrosarcoma progression. METHODS AND FINDINGS: Doxorubin and/or everolimus were tested in vivo as single agent or in combination in the rat orthotopic Schwarm chondrosarcoma model, in macroscopic phase, as well as with microscopic residual disease. Response to everolimus and/or doxorubicin was evaluated using chondrosarcoma volume evolution (MRI). Histological response was evaluated with % of tumor necrosis, tumor proliferation index, metabolism quantification analysis between the treated and control groups. Statistical analyses were performed using chi square, Fishers exact test. Doxorubicin single agent has no effect of tumor growth as compared to no treatment; conversely, everolimus single agent significantly inhibited tumor progression in macroscopic tumors with no synergistic additive effect with doxorubicin. Everolimus inhibited chondrosarcoma proliferation as evaluated by Ki67 expression did not induce the apoptosis of tumor cells; everolimus reduced Glut1 and 4EBP1 expression. Importantly when given in rats with microscopic residual diseases, in a pseudo neoadjuvant setting, following R1 resection of the implanted tumor, everolimus significantly delayed or prevented tumor recurrence. CONCLUSIONS: MTOR inhibitor everolimus blocks cell proliferation, Glut1 expression and HIF1a expression, and prevents in vivo chondrosarcoma tumor progression in both macroscopic and in adjuvant phase post R1 resection. Taken together, our preclinical data indicate that mTOR inhibitor may be effective as a single agent in treating chondrosarcoma patients. A clinical trial evaluating mTOr inhibitor as neo-adjuvant and adjuvant therapy in chondrosarcoma patients is being constructed
Load and speed effects on the cervical flexion relaxation phenomenon
<p>Abstract</p> <p>Background</p> <p>The flexion relaxation phenomenon (FRP) represents a well-studied neuromuscular response that occurs in the lumbar and cervical spine. However, the cervical spine FRP has not been investigated extensively, and the speed of movement and loading effects remains to be characterized. The objectives of the present study were to evaluate the influence of load and speed on cervical FRP electromyographic (EMG) and kinematic parameters and to assess the measurement of cervical FRP kinematic and EMG parameter repeatability.</p> <p>Methods</p> <p>Eighteen healthy adults (6 women and 12 men), aged 20 to 39 years, participated in this study. They undertook 2 sessions in which they had to perform a standardized cervical flexion/extension movement in 3 phases: complete cervical flexion; the static period in complete cervical flexion; and extension with return to the initial position. Two different rhythm conditions and 3 different loading conditions were applied to assess load and speed effects. Kinematic and EMG data were collected, and dependent variables included angles corresponding to the onset and cessation of myoelectric silence as well as the root mean square (RMS) values of EMG signals. Repeatability was examined in the first session and between the 2 sessions.</p> <p>Results</p> <p>Statistical analyses revealed a significant load effect (P < 0.001). An augmented load led to increased FRP onset and cessation angles. No load Ă speed interaction effect was detected in the kinematics data. A significant load effect (P < 0.001) was observed on RMS values in all phases of movement, while a significant speed effect (P < 0.001) could be seen only during the extension phase. Load Ă speed interaction effect was noted in the extension phase, where higher loads and faster rhythm generated significantly greater muscle activation. Intra-session and inter-session repeatability was good for the EMG and kinematic parameters.</p> <p>Conclusions</p> <p>The load increase evoked augmented FRP onset and cessation angles as well as heightened muscle activation. Such increments may reflect the need to enhance spinal stability under loading conditions. The kinematic and EMG parameters showed promising repeatability. Further studies are needed to assess kinematic and EMG differences between healthy subjects and patients with neck pain.</p
Self-love and sociability: the ârudiments of commerceâ in the state of nature
Istvan Hontâs classic work on the theoretical links between the seventeenth-century natural jurists Hugo Grotius and Samuel Pufendorf and the eighteenth-century Scottish political economists remains a popular trope among intellectual and economic historians of various stamps. Despite this, a common criticism levelled at Hont remains his relative lack of engagement with the relationship between religion and economics in the early modern period. This paper challenges this aspect of Hontâs narrative by drawing attention to an alternative, albeit complementary, assessment of the natural jurisprudential heritage of eighteenth-century British political economy. Specifically, the article attempts to map on to Hontâs thesis the Christian Stoic interpretation of Grotius and Pufendorf which has gained greater currency in recent years. In doing so, the paper argues that Grotius and Pufendorfâs contributions to the âunsocial sociabilityâ debate do not necessarily lead directly to the Scottish school of political economists, as is commonly assumed. Instead, it contends that a reconsideration of Grotius and Pufendorf as neo-Stoic theorists, particularly via scrutiny of their respective adaptations of the traditional Stoic theory of oikeiosis, steers us towards the heart of the early English âclericalâ Enlightenment
Guidelines for the use and interpretation of assays for monitoring autophagy (3rd edition)
In 2008 we published the first set of guidelines for standardizing research in autophagy. Since then, research on this topic has continued to accelerate, and many new scientists have entered the field. Our knowledge base and relevant new technologies have also been expanding. Accordingly, it is important to update these guidelines for monitoring autophagy in different organisms. Various reviews have described the range of assays that have been used for this purpose. Nevertheless, there continues to be confusion regarding acceptable methods to measure autophagy, especially in multicellular eukaryotes. For example, a key point that needs to be emphasized is that there is a difference between measurements that monitor the numbers or volume of autophagic elements (e.g., autophagosomes or autolysosomes) at any stage of the autophagic process versus those that measure fl ux through the autophagy pathway (i.e., the complete process including the amount and rate of cargo sequestered and degraded). In particular, a block in macroautophagy that results in autophagosome accumulation must be differentiated from stimuli that increase autophagic activity, defi ned as increased autophagy induction coupled with increased delivery to, and degradation within, lysosomes (inmost higher eukaryotes and some protists such as Dictyostelium ) or the vacuole (in plants and fungi). In other words, it is especially important that investigators new to the fi eld understand that the appearance of more autophagosomes does not necessarily equate with more autophagy. In fact, in many cases, autophagosomes accumulate because of a block in trafficking to lysosomes without a concomitant change in autophagosome biogenesis, whereas an increase in autolysosomes may reflect a reduction in degradative activity. It is worth emphasizing here that lysosomal digestion is a stage of autophagy and evaluating its competence is a crucial part of the evaluation of autophagic flux, or complete autophagy. Here, we present a set of guidelines for the selection and interpretation of methods for use by investigators who aim to examine macroautophagy and related processes, as well as for reviewers who need to provide realistic and reasonable critiques of papers that are focused on these processes. These guidelines are not meant to be a formulaic set of rules, because the appropriate assays depend in part on the question being asked and the system being used. In addition, we emphasize that no individual assay is guaranteed to be the most appropriate one in every situation, and we strongly recommend the use of multiple assays to monitor autophagy. Along these lines, because of the potential for pleiotropic effects due to blocking autophagy through genetic manipulation it is imperative to delete or knock down more than one autophagy-related gene. In addition, some individual Atg proteins, or groups of proteins, are involved in other cellular pathways so not all Atg proteins can be used as a specific marker for an autophagic process. In these guidelines, we consider these various methods of assessing autophagy and what information can, or cannot, be obtained from them. Finally, by discussing the merits and limits of particular autophagy assays, we hope to encourage technical innovation in the field
- âŠ