2,097 research outputs found

    Why does low intensity, long-day lighting promote growth in Petunia, Impatiens, and tomato?

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    Numerous reports demonstrate that low intensity, long-day (LD) lighting treatments can promote growth. However, there are conflicting suggestions as to the mechanisms involved. This study examines the responses of Petunia, Impatiens, and tomato to LD lighting treatments and concludes that no single mechanism can explain the growth promotion observed in each case. Petunia showed the most dramatic response to photoperiod; up to a doubling in dry weight (DW) as a result of increasing daylength from 8 h d–1 to 16 h d–1.This could be explained by an increase in specific leaf area (SLA) comparable to that seen with shading. At low photosynthetic photon flux densities (PPFD), the increased leaf area more than compensated for any loss in photosynthetic capacity per unit leaf area. In Petunia, the response may, in part, have also been due to changes in growth habit. Impatiens and tomato showed less dramatic increases in DW as a result of LD lighting, but no consistent effects on SLA or growth habit were observed. In tomato, increased growth was accompanied by increased chlorophyll content, but this had no significant effect on photosynthesis. In both species, increased growth may have been due to a direct effect of LD lighting on photosynthesis. This is contrary to the generally held view that light of approx. 3 – 4 μmol m–2 s–1 is unlikely to have any significant impact on net photosynthesis. Nevertheless, we show that the relationship between PPFD and net photosynthesis is non-linear at low light levels, and therefore low intensity LD lighting can offset respiration very efficiently. Furthermore, a small increase in photosynthesis will have a greater impact when ambient light levels are low

    The effects of day and night temperature on Chrysanthemum morifolium: investigating the safe limits for temperature integration

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    The impact of day and night temperatures on pot chrysanthemum (cultivars ‘Covington’ and ‘Irvine’) was assessed by exposing cuttings, stuck in weeks 39, 44, and 49, to different temperature regimes in short-days. Glasshouse heating setpoints of 12°, 15°, 18°, and 21°C, were used during the day, with venting at 2°C above these set-points. Night temperatures were then automatically manipulated to ensure that all of the treatments achieved similar mean diurnal temperatures. Plants were grown according to commercial practice and the experiment was repeated over 2 years. Increasing the day temperature from approx. 19°C to 21°C, and compensating by reducing the night temperature, did not have a significant impact on flowering time, although plant height was increased.This suggests that a temperature integration strategy which involves higher vent temperatures, and exploiting solar gain to give higher than normal day temperatures, should have minimal impact on crop scheduling. However, lowering the day-time temperature to approx. 16°C, and compensating with a warmer night, delayed flowering by up to 2 weeks. Therefore, a strategy whereby, in Winter, more heat is added at night under a thermally-efficient blackout screen may result in flowering delays.Transfers between the temperature regimes showed that the flowering delays were proportional to the amount of time spent in a low day-time temperature regime. Plants flowered at the same time, irrespective of whether they were transferred on a 1-, 2-, or 4-week cycle

    The effects of long-day lighting and removal of young leaves on tomato yield

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    While low intensity long-day (LD) lighting has been shown to enhance the growth of young plants under low light levels, its effect on the yield of a long-season glasshouse tomato crop has not been previously examined. LD were provided by the use of tungsten lamps (2.8 μmol m-2 s-1 at approx. 0.5 m from the ground) between 04.00 h to sunrise and from sunset until 20.00 h (GMT). LD lighting increased leaf chlorophyll contents, and the numbers of flowers and fruits set per truss when the plants were young. However, this treatment did not affect the total yield of tomatoes. Different leaf removal treatments were applied within each glasshouse compartment. A previous experiment had shown that reducing the leaf area index (LAI) from 5.2 to 2.6, by removing old leaves, did not affect yield. It was also thought that removal of young leaves reduced the total vegetative sink-strength and favoured assimilate partitioning into the fruit. Therefore, removal of young leaves could increase fruit yield. In the present experiments, one-third of the leaves were removed in March (those immediately below each truss) and, subsequently, every third leaf was removed at an early stage of its development. This reduced the LAI from 4.1 to 2.9 and resulted in a loss of yield from 3 – 4 weeks after leaf removal until the end of the experiment, at which point there was an 8% loss of cumulative yield due to a reduction in the average number of fruits set per truss and in mean fruit weight. We postulate that the light which would have been intercepted by young photosynthetically-efficient leaves at the top of the canopy was intercepted instead by older leaves which were less efficient, reducing overall net canopy photosynthesis

    Vulnerability of horticultural crop production to extreme weather events

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    The potential impact of future extreme weather events on horticultural crops was evaluated. A review was carried out of the sensitivities of a representative set of crops to environmental challenges. It confirmed that a range of environmental factors are capable of causing a significant impact on production, either as yield or quality loss. The most important of these were un-seasonal temperature, water shortage or excess,and storms. Future scenarios were produced by the LARS-WG1, a stochastic weather generator linked with UKCIP02 projections of future climate. For the analyses, 150 years of synthetic weather data were generated for baseline, 2020HI and 2050HI scenarios at defined locations. The output from the weather generator was used in case studies, either to estimate the frequency of a defined set of circumstances known to have impact on cropping, or as inputs to models of crop scheduling or pest phenology or survival. The analyses indicated that episodes of summer drought severe enough to interrupt the continuity of supply of salads and other vegetables will increase while the frequency of autumns with sufficient rainfall to restrict potato lifting will decrease. They also indicated that the scheduling of winter cauliflowers for continuity of supply will require the deployment of varieties with different temperature sensitivities from those in use currently. In the pest insect studies, the number of batches of Agrotis segetum (cutworm) larvae surviving to third instar increased with time, as did the potential number of generations of Plutella xylostella (diamond-back moth) in the growing season, across a range of locations. The study demonstrated the utility of high resolution scenarios in predicting the likelihood of specific weather patterns and their potential effect on horticultural production. Several limitations of the current scenarios and biological models were also identified

    Predictors of Community Therapists\u27 Use of Therapy Techniques in a Large Public Mental Health System

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    Importance Few studies have examined the effects of individual and organizational characteristics on the use of evidence-based practices in mental health care. Improved understanding of these factors could guide future implementation efforts to ensure effective adoption, implementation, and sustainment of evidence-based practices. Objective To estimate the relative contribution of individual and organizational factors on therapist self-reported use of cognitive-behavioral, family, and psychodynamic therapy techniques within the context of a large-scale effort to increase use of evidence-based practices in an urban public mental health system serving youth and families. Design, Setting, and Participants In this observational, cross-sectional study of 23 organizations, data were collected from March 1 through July 25, 2013. We used purposive sampling to recruit the 29 largest child-serving agencies, which together serve approximately 80% of youth receiving publically funded mental health care. The final sample included 19 agencies with 23 sites, 130 therapists, 36 supervisors, and 22 executive administrators. Main Outcomes and Measures Therapist self-reported use of cognitive-behavioral, family, and psychodynamic therapy techniques, as measured by the Therapist Procedures Checklist–Family Revised. Results Individual factors accounted for the following percentages of the overall variation: cognitive-behavioral therapy techniques, 16%; family therapy techniques, 7%; and psychodynamic therapy techniques, 20%. Organizational factors accounted for the following percentages of the overall variation: cognitive-behavioral therapy techniques, 23%; family therapy techniques, 19%; and psychodynamic therapy techniques, 7%. Older therapists and therapists with more open attitudes were more likely to endorse use of cognitive-behavioral therapy techniques, as were those in organizations that had spent fewer years participating in evidence-based practice initiatives, had more resistant cultures, and had more functional climates. Women were more likely to endorse use of family therapy techniques, as were those in organizations employing more fee-for-service staff and with more stressful climates. Therapists with more divergent attitudes and less knowledge about evidence-based practices were more likely to use psychodynamic therapy techniques. Conclusions and Relevance This study suggests that individual and organizational factors are important in explaining therapist behavior and use of evidence-based practices, but the relative importance varies by therapeutic technique

    HIV-1 protease inhibitors and clinical malaria: A secondary analysis of the AIDS Clinical Trials Group A5208 study

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    HIV-1 protease inhibitors (PIs) have antimalarial activity in vitro and in murine models. The potential beneficial effect of HIV-1 PIs on malaria has not been studied in clinical settings. We used data from Adult AIDS Clinical Trials Group A5208 sites where malaria is endemic to compare the incidence of clinically diagnosed malaria among HIV-infected adult women randomized to either lopinavir/ritonavir (LPV/r)-based antiretroviral therapy (ART) or to nevirapine (NVP)-based ART. We calculated hazard ratios and 95% confidence intervals. We conducted a recurrent events analysis that included both first and second clinical malarial episodes and also conducted analyses to assess the sensitivity of results to outcome misclassification. Among the 445 women in this analysis, 137 (31%) received a clinical diagnosis of malaria at least once during follow-up. Of these 137, 72 (53%) were randomized to LPV/r-based ART. Assignment to the LPV/r treatment group (n = 226) was not consistent with a large decrease in the hazard of first clinical malarial episode (hazard ratio = 1.11 [0.79 to 1.56]). The results were similar in the recurrent events analysis. Sensitivity analyses indicated the results were robust to reasonable levels of outcome misclassification. In this study, the treatment with LPV/r compared to NVP had no apparent beneficial effect on the incidence of clinical malaria among HIV-infected adult women. Additional research concerning the effects of PI-based therapy on the incidence of malaria diagnosed by more specific criteria and among groups at a higher risk for severe disease is warranted. Copyrigh

    Systematic review of communication technologies to promote access and engagement of young people with diabetes into healthcare

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    Background: Research has investigated whether communication technologies (e.g. mobile telephony, forums, email) can be used to transfer digital information between healthcare professionals and young people who live with diabetes. The systematic review evaluates the effectiveness and impact of these technologies on communication. Methods: Nine electronic databases were searched. Technologies were described and a narrative synthesis of all studies was undertaken. Results: Of 20,925 publications identified, 19 met the inclusion criteria, with 18 technologies assessed. Five categories of communication technologies were identified: video-and tele-conferencing (n = 2); mobile telephony (n = 3); telephone support (n = 3); novel electronic communication devices for transferring clinical information (n = 10); and web-based discussion boards (n = 1). Ten studies showed a positive improvement in HbA1c following the intervention with four studies reporting detrimental increases in HbA1c levels. In fifteen studies communication technologies increased the frequency of contact between patient and healthcare professional. Findings were inconsistent of an association between improvements in HbA1c and increased contact. Limited evidence was available concerning behavioural and care coordination outcomes, although improvement in quality of life, patientcaregiver interaction, self-care and metabolic transmission were reported for some communication technologies. Conclusions: The breadth of study design and types of technologies reported make the magnitude of benefit and their effects on health difficult to determine. While communication technologies may increase the frequency of contact between patient and health care professional, it remains unclear whether this results in improved outcomes and is often the basis of the intervention itself. Further research is needed to explore the effectiveness and cost effectiveness of increasing the use of communication technologies between young people and healthcare professionals

    D-brane potentials in the warped resolved conifold and natural inflation

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    In this paper we obtain a model of Natural Inflation from string theory with a Planckian decay constant. We investigate D-brane dynamics in the background of the warped resolved conifold (WRC) throat approximation of Type IIB string compactifications on Calabi-Yau manifolds. When we glue the throat to a compact bulk Calabi-Yau, we generate a D-brane potential which is a solution to the Laplace equation on the resolved conifold. We can exactly solve this equation, including dependence on the angular coordinates. The solutions are valid down to the tip of the resolved conifold, which is not the case for the more commonly used deformed conifold. This allows us to exploit the effect of the warping, which is strongest at the tip. We inflate near the tip using an angular coordinate of a D5-brane in the WRC which has a discrete shift symmetry, and feels a cosine potential, giving us a model of Natural Inflation, from which it is possible to get a Planckian decay constant whilst maintaining control over the backreaction. This is because the decay constant for a wrapped brane contains powers of the warp factor, and so can be made large, while the wrapping parameter can be kept small enough so that backreaction is under control.Comment: 41 pages, 3 appendices, 1 figure, PDFLaTex; various clarifications added along with a new appendix on b-axions and wrapped D5 branes;version matches the one published in JHE
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