2,252 research outputs found

    Methane emissions from western Siberian wetlands: heterogeneity and sensitivity to climate change

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    The prediction of methane emissions from high-latitude wetlands is important given concerns about their sensitivity to a warming climate. As a basis for the prediction of wetland methane emissions at regional scales, we coupled the variable infiltration capacity macroscale hydrological model (VIC) with the biosphere–energy-transfer–hydrology terrestrial ecosystem model (BETHY) and a wetland methane emissions model to make large-scale estimates of methane emissions as a function of soil temperature, water table depth, and net primary productivity (NPP), with a parameterization of the sub-grid heterogeneity of the water table depth based on TOPMODEL. We simulated the methane emissions from a 100 km × 100 km region of western Siberia surrounding the Bakchar Bog, for a retrospective baseline period of 1980–1999 and have evaluated their sensitivity to increases in temperature of 0–5 °C and increases in precipitation of 0–15%. The interactions of temperature and precipitation, through their effects on the water table depth, played an important role in determining methane emissions from these wetlands. The balance between these effects varied spatially, and their net effect depended in part on sub-grid topographic heterogeneity. Higher temperatures alone increased methane production in saturated areas, but caused those saturated areas to shrink in extent, resulting in a net reduction in methane emissions. Higher precipitation alone raised water tables and expanded the saturated area, resulting in a net increase in methane emissions. Combining a temperature increase of 3 °C and an increase of 10% in precipitation to represent climate conditions that may pertain in western Siberia at the end of this century resulted in roughly a doubling in annual emissions

    Is there a correlation between infection control performance and other hospital quality measures?

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    Quality measures are increasingly reported by hospitals to the Centers for Medicare and Medicaid Services (CMS), yet there may be tradeoffs in performance between infection control (IC) and other quality measures. Hospitals that performed best on IC measures did not perform well on most CMS non–IC quality measures

    Altered leverage around the ankle in people with diabetes: A natural strategy to modify the muscular contribution during walking?

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    Diabetes patients display gait alterations compared to controls including a higher metabolic cost of walking. This study aimed to investigate whether differences in external moment arm (ExtMA) and effective mechanical advantage (EMA) at the ankle in diabetes patients could partly explain the increased cost of walking compared to controls. Thirty one non-diabetic controls (Ctrl); 22 diabetes patients without peripheral neuropathy (DM) and 14 patients with moderate/severe diabetic peripheral neuropathy (DPN) underwent gait analysis using a motion analysis system and force plates. The internal Achilles tendon moment arm length was determined using magnetic resonance imaging during weight-bearing and ExtMA was calculated using gait analysis. A greater value (P<0.01) for the EMA at the ankle was found in the DPN (0.488) and DM (0.46) groups compared to Ctrl (0.448). The increased EMA was mainly caused by a smaller ExtMA in the DPN (9.63cm; P<0.01) and DM (10.31cm) groups compared to Ctrl (10.42cm) These findings indicate that the ankle plantarflexor muscles would need to generate lower forces to overcome the external resistance during walking compared to controls. Our findings do not explain the previously observedhigher metabolic cost of walking in the DM and DPN groups, but uncover a new mechanism through which patients with diabetes and particularly those with DPN reduce the joint moment at the ankle during walking: by applying the ground reaction force more proximally on the foot, or at an angle directed more towards the ankle, thereby increasing the EMA and reducing the ankle joint moment

    A survey to investigate the association of pain, foot disability and quality of life with corns

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    Background Corns are a common foot problem affecting a large proportion of the population. This study describes the characteristics of corns experienced by 201 participants taking part in a randomised controlled trial to investigate associations between demographic and corn parameters on pain, foot related disability and quality of life (QoL). Methods Pain from the main (index) corn was measured using a visual analogue scale (VAS); foot related disability was assessed with the Foot Disability Questionnaire (now known as the Manchester Foot Pain and Disability Index) and quality of life was recorded with the EQ-5D questionnaire. The effect of demographic and corn parameters on the pain and quality of life outcomes was assessed with analysis of variance (ANOVA) methods. The effect of the same factors on a linear combination of the foot-related disability outcome measures was assessed using multivariate ANOVA methods. Pain was also tested for its mediating properties on the causal pathway between the independent variables and quality of life. Results The mean pain score was 5.29 points on a 10 cm VAS, with females reporting substantively higher pain levels than males. Age affected foot-related disability, with lower levels on all domains of the MFPDI reported in older participants; each year of advancing age was associated with falls of: 0.009 points on the Concern about Appearance (CA) domain; 0.047 points on the Functional Limitation (FL) domain and 0.048 points on the Pain Intensity (PI) domain. Sex and corn type also affected disability, with higher scores reported by females and participants with plantar corns. Conclusions The effect of pain was shown to mediate the relationship between sex and foot-related disability. The presence of plantar corns has a more detrimental effect on QoL than dorsal/inter-digital corns

    Soil, plant, and transport influences on methane in a subalpine forest under high ultraviolet irradiance

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    Recent studies have demonstrated direct methane emission from plant foliage under aerobic conditions, particularly under high ultraviolet (UV) irradiance. We examined the potential importance of this phenomenon in a high-elevation conifer forest using micrometeorological techniques. Vertical profiles of methane and carbon dioxide in forest air were monitored every 2 h for 6 weeks in summer 2007. Day to day variability in above-canopy CH&lt;sub&gt;4&lt;/sub&gt; was high, with observed values in the range 1790 to 1910 nmol mol&lt;sup&gt;&amp;minus;1&lt;/sup&gt;. High CH&lt;sub&gt;4&lt;/sub&gt; was correlated with high carbon monoxide and related to wind direction, consistent with pollutant transport from an urban area by a well-studied mountain-plain wind system. Soils were moderately dry during the study. Vertical gradients of CH&lt;sub&gt;4&lt;/sub&gt; were small but detectable day and night, both near the ground and within the vegetation canopy. Gradients near the ground were consistent with the forest soil being a net CH&lt;sub&gt;4&lt;/sub&gt; sink. Using scalar similarity with CO&lt;sub&gt;2&lt;/sub&gt;, the magnitude of the summer soil CH&lt;sub&gt;4&lt;/sub&gt; sink was estimated at ~1.7 mg CH&lt;sub&gt;4&lt;/sub&gt; m&lt;sup&gt;&amp;minus;2&lt;/sup&gt; h&lt;sup&gt;&amp;minus;1&lt;/sup&gt;, which is similar to other temperate forest upland soils. The high-elevation forest was naturally exposed to high UV irradiance under clear sky conditions, with observed peak UVB irradiance &gt;2 W m&lt;sup&gt;&amp;minus;2&lt;/sup&gt;. Gradients and means of CO&lt;sub&gt;2&lt;/sub&gt; within the canopy under daytime conditions showed net uptake of CO&lt;sub&gt;2&lt;/sub&gt; due to photosynthetic drawdown as expected. No evidence was found for a significant foliar CH&lt;sub&gt;4&lt;/sub&gt; source in the vegetation canopy, even under high UV conditions. While the possibility of a weak foliar source cannot be excluded given the observed soil sink, overall this subalpine forest was a net sink for atmospheric methane during the growing season

    A qualitative exploration of the effect of visual field loss on daily life in home-dwelling stroke survivors

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    Objective: To explore the effect of visual field loss on the daily life of community-dwelling stroke survivors. Design: A qualitative interview study. Participants: Adult stroke survivors with visual field loss of at least six months’ duration. Methods: Semi-structured interviews were conducted with a non-purposive sample of 12 stroke survivors in their own homes. These were recorded, transcribed verbatim and analyzed with the framework method, using an inductive approach. Results: Two key analytical themes emerged. ‘Perception, experience and knowledge’ describes participant’s conflicted experience of having knowledge of their impaired vision but lacking perception of that visual field loss and operating under the assumption that they were viewing an intact visual scene when engaged in activities. Inability to recognize and deal with visual difficulties, and experiencing the consequences, contributed to their fear and loss of self-confidence. ‘Avoidance and adaptation’ were two typologies of participant response to visual field loss. Initially, all participants consciously avoided activities. Some later adapted to vision loss using self-directed head and eye scanning techniques. Conclusions: Visual field loss has a marked impact on stroke survivors. Stroke survivors lack perception of their visual loss in everyday life, resulting in fear and loss of confidence. Activity avoidance is a common response, but in some, it is replaced by self-initiated adaptive techniques
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