834 research outputs found

    Location, location, location: investigating perforation locations in Tritia gibbosula shells at Ksâr'Akil (Lebanon) using micro-CT data

    Get PDF
    Perforated shells are often used to study socially mediated behavior in past hunter-gatherer groups. The assumption is that their exclusive symbolic function makes them ideally suited to investigate social networks, dispersal activity, and social interaction. Before making any statements regarding human behavior, however, it needs to be established whether perforated shells from archaeological assemblages were used as personal ornaments. One of the key issues regarding beach-collected marine taxa is whether beached specimens were purposefully collected, e.g., preferentially selected naturally holed specimens, or whether human-made perforations may be identified. Past studies have investigated these questions by comparing datasets from modern death assemblages of shells with archaeological collections and through manufacture and use-wear analysis (e.g., Bouzouggar et al. 2007; Vanhaeren et al. 2006) This study introduces a novel approach using μCT scans of pristine shells to create a threedimensional model of shell thickness in Tritia (Nassarius) gibbosula. This model is used to map robust and fragile zones on shells of this taxon. The goal of this approach is to identify structurally weak zones that would be prone to natural perforations. Heat maps of shell thickness are then used to investigate perforation locations in modern natural death and archaeological assemblages. Our results show that in natural death assemblages, most perforations occur in structurally weak zones, and that their distribution is random. In our archaeological samples, from early Upper Paleolithic contexts at Ksâr ‘Akil, (Lebanon), we found that perforations in T. gibbosula mainly occur in structurally weak zones, but their distribution within these zones is not random and favors locations facilitating easy suspension (e.g., on cordage). This suggests that at Ksâr ‘Akil, T. gibbolusa shells were used as beads, and that shells with conveniently located natural perforations were intentionally sought for, that humans perforated the shells themselves, or that they used a combination of both. This in turn, warrants investigations into the social and behavioral implications of these perforated beads. Further aspects of human involvement with the shells should be explored, for example, through use-wear analysis

    Studies on the Codling Moth (Lepidoptera: Tortricidae) Response to Different Codlemone Release Rates

    Full text link
    [EN] The response of the codling moth (Cydia pomonella L. (Lepidoptera: Tortricidae)) to different emission values of its main pheromone component, 8E,10E-dodecadien-1-ol (codlemone), was investigated in three field trials conducted in plots without mating disruption treatments. Moth catches obtained in traps baited with pheromone dispensers were correlated with the corresponding codlemone release rates by multiple regression analysis. In a preliminary trial conducted in Lleida (NE Spain), a decreasing trend of captures was observed based on increasing pheromone levels. After this, the pheromone release profiles of the pheromone dispensers were studied, in parallel with the field trials, by residual codlemone extraction and gas chromatography quantification. In the trials carried out in Asturias (NW Spain), a correlation between trap catches and emission levels (within the range from 11 to 1,078 microg/d) was found and fitted a logarithmic model. Captures followed a decreasing linear trend in the range of emission rates from 11 to 134 microg/d. Given that release values comprised between 11 and 67 mcrog/d did not lead to significantly different catches in traps, this emission range could be considered to develop effective formulations for attraction purposes when mating disruption is not acting in the environment.Vacas González, S.; Miñarro, M.; Bosch, M.; Primo Millo, J.; Navarro Llopis, V. (2013). Studies on the Codling Moth (Lepidoptera: Tortricidae) Response to Different Codlemone Release Rates. ENVIRONMENTAL ENTOMOLOGY. 42(6):1383-1389. doi:10.1603/EN13114S1383138942

    Brain MRI in a patient with classical galactosemia: acute event of unilateral hemispheric cerebral edema

    Get PDF
    (undefined)info:eu-repo/semantics/publishedVersio

    Perforations in Columbellidae shells: Using 3D models to differentiate anthropogenic piercing from natural perforations

    Get PDF
    Perforated shells are often used to study socially mediated behaviour in past hunter-gatherer groups. One of the key issues regarding empty shells from beaches or fossil outcrops is determining human agency in the accumulation and modification of an assemblage. Here we investigate anthropogenic mediation in Initial Upper Palaeolithic and Early Ahmarian assemblages of Columbella rustica at Ksâr ‘Akil (Lebanon). We compare perforations in the archaeological specimens with data from newly gathered Columbellidae modern death assemblages from Tenerife (Spain) using three-dimensional shell-thickness models as templates. This approach, using micro-CT scans of pristine shells to map robust and fragile zones on shell outer-surfaces, allows us to contextualise the two datasets within their natural morphology. Our results show that in natural death assemblages the vast majority of perforations occur in structurally weak zones, and their distribution can be explained by shell morphology in combination with predator activity and other post-mortem damage. In our archaeological dataset we found a higher frequency of perforations in more robust zones and a higher uniformity in their location, size and shape. This suggests human mediation in either the selection or manufacture process of C. rustica beads at Ksâr ‘Akil from as early as the Initial Upper Palaeolithic and throughout the Early Ahmarian. Standardisation in perforation shape, size and distribution have been argued to be indicative of formalised manufacture processes and our results are thus more congruent with intentional bead manufacture than the selection of naturally-holed specimens

    Sfrp3 modulates stromal-epithelial crosstalk during mammary gland development by regulating Wnt levels

    Get PDF
    Mammary stroma is essential for epithelial morphogenesis and development. Indeed, postnatal mammary gland (MG) development is controlled locally by the repetitive and bi-directional cross-talk between the epithelial and the stromal compartment. However, the signalling pathways involved in stromal–epithelial communication are not entirely understood. Here, we identify Sfrp3 as a mediator of the stromal–epithelial communication that is required for normal mouse MG development. Using Drosophila wing imaginal disc, we demonstrate that Sfrp3 functions as an extracellular transporter of Wnts that facilitates their diffusion, and thus, their levels in the boundaries of different compartments. Indeed, loss of Sfrp3 in mice leads to an increase of ductal invasion and branching mirroring an early pregnancy state. Finally, we observe that loss of Sfrp3 predisposes for invasive breast cancer. Altogether, our study shows that Sfrp3 controls MG morphogenesis by modulating the stromal-epithelial cross-talk during pubertal development

    Year-round shellfish exploitation in the Levant and implications for Upper Palaeolithic hunter-gatherer subsistence

    Get PDF
    Recent studies have shown that the use of aquatic resources has greater antiquity in hominin diets than pre- viously thought. At present, it is unclear when hominins started to habitually consume marine resources. This study examines shellfish exploitation from a behavioural ecology perspective, addressing how and when past hunter-gatherers from the Levant used coastal resources for subsistence purposes. We investigate the seasonality of shellfish exploitation in the Levantine Upper Palaeolithic through oxygen isotope analysis on shells of the intertidal rocky shore mollusc Phorcus (Osilinus) turbinatus from the key site Ksâr ‘Akil (Lebanon). At this rockshelter, multi-layered archaeological deposits contained remains of both marine and terrestrial molluscs in relatively large quantities, which were consumed and used as tools and ornaments by the occupants of the site. Our results indicate that at the start of the Initial Upper Palaeolithic (IUP), there is no evidence for shellfish consumption. Humans started to take fresh shellfish to the rockshelter from the second half of the IUP onward, albeit in low quantities. During the Early Upper Palaeolithic (EUP) shellfish exploitation became increasingly frequent. Oxygen isotope data show that shellfish exploitation was practised in every season throughout most of the Upper Palaeolithic (UP), with an emphasis on the colder months. This suggests that coastal resources had a central role in early UP foraging strategies, rather than a seasonally restricted supplementary one. Year-round shellfish gathering, in turn, suggests that humans occupied the rockshelter at different times of the year, al- though not necessarily continuously. Our oxygen isotope data is complemented with broader-scale exploitation patterns of faunal resources, both vertebrate and invertebrate, at the site. The inclusion of coastal marine re- sources signifies a diversification of the human diet from the EUP onward, which is also observed in foraging practices linked to the exploitation of terrestrial fauna.H2020 Marie Skłodowska-Curie fellowship “EU-BEADS”, project number: 656325 and the Max Planck Society

    Improvement of primary care for patients with chronic heart failure: A study protocol for a cluster randomised trial comparing two strategies

    Get PDF
    <p>Abstract</p> <p>Background</p> <p>Many patients with chronic heart failure (CHF), a common condition with high morbidity and mortality rates, receive treatment in primary care. To improve the management of CHF in primary care, we developed an implementation programme comprised of educational and organisational components, with support by a practice visitor and focus both on drug treatment and lifestyle advice, and on organisation of care within the practice and collaboration with other healthcare providers. Tailoring has been shown to improve the success of implementation programmes, but little is known about what would be best methods for tailoring, specifically with respect to CHF in primary care.</p> <p>Methods/design</p> <p>We describe the study protocol of a cluster randomised controlled trial to examine the effectiveness of tailoring a CHF implementation programme to general practices compared to a standardised way of delivering a programme. The study population will consist of 60 general practitioners (GPs) and the CHF patients they include. GPs are randomised in blocks of four, stratified according to practice size. With a tailored implementation programme GPs prioritise the issues that will form the bases of the support for the practice visits. These may comprise several issues, both educational and organizational.</p> <p>The primary outcome measures are patient's experience of receiving structured primary care for CHF (PACIC, a questionnaire related to the Chronic Care Model), patients' health-related utilities (EQ-5D), and drugs prescriptions using the guideline adherence index. Patients being clustered in practices, multilevel regression analyses will be used to explore the effect of practice size and type of intervention programme. In addition we will examine both changes within groups and differences at follow-up between groups with respect to drug dosages and advice on lifestyle issues. Furthermore, in interviews the feasibility of the programme and goal attainment, organisational changes in CHF care, and formalised cooperation with other disciplines will be assessed.</p> <p>Discussion</p> <p>In the tailoring of the programme we will present the GPs a list with barriers; GPs will assess relevance and possibility to solve these barriers. The list is rigorously developed and tested in various projects. The factors for ordering the barriers are related to the innovation, the healthcare professional, the patient, and the context.</p> <p>CHF patients do not form a homogeneous group. Subgroup analyses will be performed based on the distinction between systolic CHF and CHF with preserved left ventricular function (diastolic CHF).</p> <p>Trial registration</p> <p>ISRCTN: <a href="http://www.controlled-trials.com/ISRCTN18812755">ISRCTN18812755</a></p

    Structural and Functional Changes of the Human Macula during Acute Exposure to High Altitude

    Get PDF
    Background: This study aimed to quantify structural and functional changes at the macula during acute exposure to high altitude and to assess their structure/function relationship. This work is related to the Tuebingen High Altitude Ophthalmology (THAO) study. Methodology/Principal Findings: Spectral domain optical coherence tomography and microperimetry were used to quantify changes of central retinal structure and function in 14 healthy subjects during acute exposure to high altitude (4559 m). High-resolution volume scans and fundus-controlled microperimetry of the posterior pole were performed in addition to best-corrected visual acuity (BCVA) measurements and assessment of acute mountain sickness. Analysis of measurements at altitude vs. baseline revealed increased total retinal thickness (TRT) in all four outer ETDRS grid subfields during acute altitude exposure (TRTouter = 2.8061.00 mm; mean change695%CI). This change was inverted towards the inner four subfields (TRT inner = 21.8960.97 mm) with significant reduction of TRT in the fovea (TRT foveal = 26.6260.90 mm) at altitude. BCVA revealed no significant difference compared to baseline (0.0660.08 logMAR). Microperimetry showed stable mean sensitivity in all but the foveal subfield (MSfoveal = 21.1260.68 dB). At baseline recordings before and.2 weeks after high altitude exposure, all subjects showed equal levels with no sign of persisting structural or functional sequels. Conclusions/Significance: During acute exposure to high altitude central retinal thickness is subject to minor, ye

    Investigating human audio-visual object perception with a combination of hypothesis-generating and hypothesis-testing fMRI analysis tools

    Get PDF
    Primate multisensory object perception involves distributed brain regions. To investigate the network character of these regions of the human brain, we applied data-driven group spatial independent component analysis (ICA) to a functional magnetic resonance imaging (fMRI) data set acquired during a passive audio-visual (AV) experiment with common object stimuli. We labeled three group-level independent component (IC) maps as auditory (A), visual (V), and AV, based on their spatial layouts and activation time courses. The overlap between these IC maps served as definition of a distributed network of multisensory candidate regions including superior temporal, ventral occipito-temporal, posterior parietal and prefrontal regions. During an independent second fMRI experiment, we explicitly tested their involvement in AV integration. Activations in nine out of these twelve regions met the max-criterion (A &lt; AV &gt; V) for multisensory integration. Comparison of this approach with a general linear model-based region-of-interest definition revealed its complementary value for multisensory neuroimaging. In conclusion, we estimated functional networks of uni- and multisensory functional connectivity from one dataset and validated their functional roles in an independent dataset. These findings demonstrate the particular value of ICA for multisensory neuroimaging research and using independent datasets to test hypotheses generated from a data-driven analysis
    corecore