347 research outputs found

    Incidence and mortality of conjunctival melanoma in Australia (1982 to 2014)

    Get PDF
    Purpose: The purpose of this study was to estimate the incidence and mortality of conjunctival melanoma in Australia from 1982 to 2014. Methods: De-identified unit data for all cases of ocular melanoma were extracted from the Australian Cancer Database from 1982 to 2014. Conjunctival melanoma cases were extracted, and the incidence and mortality were analyzed. Incidence rates were age-standardized against the 2001 Australian Standard Population. Mortality was assessed using log-rank and Cox regression. Results: From 1982 to 2014, there were 299 cases of conjunctival melanoma. The age-standardized incidence rate was 0.48 (95% confidence interval [CI] = 0.41 to 0.54) per million per year. Women (0.52, 95% CI = 0.42 to 0.62) had a higher incidence than men (0.42, 95% CI = 0.33 to 0.51). The incidence of conjunctival melanoma increased in men (+1.46%) and significantly women (+1.41%, P = 0.023) over the study period. The mean 5-, 10-, and 15-year disease-specific survival were 90%, 82%, and 80%, respectively, during the 33-year interval. Comparisons of survival among age, sex, and state revealed no significant differences when tested using log-rank or Cox regression. Conclusions: In conclusion, we found an increase in the rate of conjunctival melanoma diagnoses in Australia from 1982 to 2014. Over the same period, disease survival remained unchanged at a mean of 90%

    Incidence and mortality of uveal melanoma in Australia (1982–2014)

    Get PDF
    Aims: We aimed to estimate the incidence and mortality of uveal melanoma (UM) in Australia from 1982 to 2014. Methods: Deidentified unit data for all cases of ocular melanoma were extracted from the Australian Cancer Database from 1 January 1982 to 31 December 2014. UM cases were extracted and trends in incidence and disease-specific mortality were calculated. Incidence rates were age-standardised against the 2001 Australian Standard Population. Mortality was assessed using Cox regression. Results: From 1982 to 2014, there were 5087 cases of ocular melanoma in Australia, of which 4617 were classified as UM. The average age-standardised incidence rate of UM was 7.6 (95% CI 7.3 to 7.9) per million. There was an increase (p=0.0502) in the incidence of UM from 1982 to 1993 with an annual percent change (APC) of +2.5%, followed by a significant decrease in the incidence of UM from 1993 to 2014 (APC −1.2%). The average 5-year survival from 1982 to 2011 did not significantly change from an average of 81%, with an average APC (AAPC) of +0.1%. A multivariate Cox regression revealed that residence in Western Australia (p=0.001) or Tasmania (p=0.05), age ≥60 years (p \u3c 0.001) and histological classification as mixed (p \u3c 0.001) or epithelioid cells (p \u3c 0.001) were significantly associated with reduced survival. Conclusion: In conclusion, we found that the incidence of UM peaked in the 1990s. Although treatment for primary UM has improved in the last 30 years, overall survival did not change significantly in the last 30 years

    (2,3)-Cordial Oriented Hypercubes

    Full text link
    L. B. Beasley recently defined a digraph labeling called (2,3)-cordial. Digraphs for which a (2,3)-cordial labeling can be applied are called (2,3)-cordial digraphs. Herein, we consider the existence and identification of (2,3)-cordial oriented hypercubes. We demonstrate that for every nonzero dimension, there exists a (2,3)-cordial oriented hypercube. Additionally, we demonstrate that not all oriented hypercubes of nonzero dimension are (2,3)-cordial. Finally, we present preliminary results regarding the identification of (2,3)-cordial oriented hypercubes, particularly for dimension 3.Comment: 14 pages, 6 figure

    APIS: Arkansas Planning Information System

    Get PDF
    The Federal Water Pollution Control Act Amendments of 1972 call for the restoration and maintenance of the chemical, physical and biological integrity of the Nation\u27s waters. The Act sets forth two primary goals; 1) the elimination of the discharge of all pollutants into the navigable waters of the United States by 1985 and 2) an interim level of water quality that provides for the protection of fish, shellfish, wildlife and recreation by July 1, 1983. Section 208 of the Act mandated the development and implementation of area wide water quality management plans to achieve the goals previously mentioned

    A proposed metric for assessing the measurement quality of individual microarrays

    Get PDF
    BACKGROUND: High-density microarray technology is increasingly applied to study gene expression levels on a large scale. Microarray experiments rely on several critical steps that may introduce error and uncertainty in analyses. These steps include mRNA sample extraction, amplification and labeling, hybridization, and scanning. In some cases this may be manifested as systematic spatial variation on the surface of microarray in which expression measurements within an individual array may vary as a function of geographic position on the array surface. RESULTS: We hypothesized that an index of the degree of spatiality of gene expression measurements associated with their physical geographic locations on an array could indicate the summary of the physical reliability of the microarray. We introduced a novel way to formulate this index using a statistical analysis tool. Our approach regressed gene expression intensity measurements on a polynomial response surface of the microarray's Cartesian coordinates. We demonstrated this method using a fixed model and presented results from real and simulated datasets. CONCLUSION: We demonstrated the potential of such a quantitative metric for assessing the reliability of individual arrays. Moreover, we showed that this procedure can be incorporated into laboratory practice as a means to set quality control specifications and as a tool to determine whether an array has sufficient quality to be retained in terms of spatial correlation of gene expression measurements

    Reverse geometric engineering of singularities

    Get PDF
    One can geometrically engineer supersymmetric field theories theories by placing D-branes at or near singularities. The opposite process is described, where one can reconstruct the singularities from quiver theories. The description is in terms of a noncommutative quiver algebra which is constructed from the quiver diagram and the superpotential. The center of this noncommutative algebra is a commutative algebra, which is the ring of holomorphic functions on a variety V. If certain algebraic conditions are met, then the reverse geometric engineering produces V as the geometry that D-branes probe. It is also argued that the identification of V is invariant under Seiberg dualities.Comment: 17 pages, Latex. v2: updates reference

    Joint tests for quantitative trait loci in experimental crosses

    Get PDF
    Selective genotyping is common because it can increase the expected correlation between QTL genotype and phenotype and thus increase the statistical power of linkage tests (i.e., regression-based tests). Linkage can also be tested by assessing whether the marginal genotypic distribution conforms to its expectation, a marginal-based test. We developed a class of joint tests that, by constraining intercepts in regression-based analyses, capitalize on the information available in both regression-based and marginal-based tests. We simulated data corresponding to the null hypothesis of no QTL effect and the alternative of some QTL effect at the locus for a backcross and an F2 intercross between inbred strains. Regression-based and marginal-based tests were compared to corresponding joint tests. We studied the effects of random sampling, selective sampling from a single tail of the phenotypic distribution, and selective sampling from both tails of the phenotypic distribution. Joint tests were nearly as powerful as all competing alternatives for random sampling and two-tailed selection under both backcross and F2 intercross situations. Joint tests were generally more powerful for one-tailed selection under both backcross and F2 intercross situations. However, joint tests cannot be recommended for one-tailed selective genotyping if segregation distortion is suspected

    Individualised risk prediction model for exacerbations in patients with severe asthma : Protocol for a multicentre real-world risk modelling study

    Get PDF
    Funding Information: This work was supported by Singapore Ministry of Education Tier 1 Grant (22-4820-A0001-0). Publisher Copyright: © Author(s) (or their employer(s)) 2023. Re-use permitted under CC BY-NC. No commercial re-use. See rights and permissions. Published by BMJ. © Author(s) (or their employer(s)) 2023. Re-use permitted under CC BY-NC. No commercial re-use. See rights and permissions. Published by BMJ.Peer reviewedPublisher PD

    Globular Cluster and Galaxy Formation: M31, the Milky Way and Implications for Globular Cluster Systems of Spiral Galaxies

    Get PDF
    The globular cluster (GC) systems of the Milky Way and of our neighboring spiral galaxy, M31, comprise 2 distinct entities, differing in 3 respects. 1. M31 has young GCs, ages from ~100 Myr to 5 Gyr old, as well as old globular clusters. No such young GCs are known in the Milky Way. 2. We confirm that the oldest M31 GCs have much higher nitrogen abundances than do Galactic GCs at equivalent metallicities. 3. Morrison et al. found M31 has a subcomponent of GCs that follow closely the disk rotation curve of M31. Such a GC system in our own Galaxy has yet to be found. These data are interpreted in terms of the hierarchical-clustering-merging (HCM) paradigm for galaxy formation. We infer that M31 has absorbed more of its dwarf systems than has the Milky Way. This inference has 3 implications: 1. All spiral galaxies likely differ in their GC properties, depending on how many companions each galaxy has, and when the parent galaxy absorbs them. The the Milky Way ties down one end of this spectrum, as almost all of its GCs were absorbed 10-12 Gyr ago. 2. It suggests that young GCs are preferentially formed in the dwarf companions of parent galaxies, and then absorbed by the parent galaxy during mergers. 3. Young GCs seen in tidally-interacting galaxies might come from dwarf companions of these galaxies, rather than be made a-new in the tidal interaction. There is no ready explanation for the marked difference in nitrogen abundance for old M31 GCs relative to the oldest Galactic GCs. The predictions made by Li & Burstein regarding the origin of nitrogen abundance in globular clusters are consistent with what is found for the old M31 GCs compared to that for the two 5 Gyr-old M31 GCs.Comment: to be published in ApJ, Oct 2004; 13 pages of text, 2 tables, 7 postscript figure

    Abelian Hidden Sectors at a GeV

    Get PDF
    We discuss mechanisms for naturally generating GeV-scale hidden sectors in the context of weak-scale supersymmetry. Such low mass scales can arise when hidden sectors are more weakly coupled to supersymmetry breaking than the visible sector, as happens when supersymmetry breaking is communicated to the visible sector by gauge interactions under which the hidden sector is uncharged, or if the hidden sector is sequestered from gravity-mediated supersymmetry breaking. We study these mechanisms in detail in the context of gauge and gaugino mediation, and present specific models of Abelian GeV-scale hidden sectors. In particular, we discuss kinetic mixing of a U(1)_x gauge force with hypercharge, singlets or bi-fundamentals which couple to both sectors, and additional loop effects. Finally, we investigate the possible relevance of such sectors for dark matter phenomenology, as well as for low- and high-energy collider searches.Comment: 43 pages, no figures; v2: to match JHEP versio
    corecore