650 research outputs found
Moving beyond âmodelsâ: Theorizing physical disability in sport
In this paper we explore current theoretical approaches available from the discipline of critical disability studies (CDS) for conceptualizing physical disability and advocate how these understandings can advance sociological research on disability sport. After reviewing a dominant âmodelsâ approach that has historically been employed, we illuminate how theoretical architecture provided by selected sociological theorists (Pierre Bourdieu, Michel Foucault, and Zygmunt Bauman) and from aesthetic, cyborg, and new materialist approaches can help reveal the materialist conditions, sociocultural structures, and lived realities of disability. In doing so, we appeal to researchers of disability sport to develop critical understandings of why alternative theoretical approaches are valuable, what theoretical choices to make, and how we can use theory to highlight oppression and empower those involved in disability sport
Is a standalone inertial measurement unit accurate and precise enough for quantification of movement symmetry in the horse?
Standalone âlow-costâ inertial measurement units (IMUs) could facilitate large-scale studies into establishing minimal important differences (MID) for orthopaedic deficits (lameness) in horses. We investigated accuracy and limits of agreement (LoA) after correction of magnitude-dependent differences of a standalone 6 degree-of-freedom IMU compared with an established IMU-based gait analysis system (MTx) in six horses for two anatomical landmarks (sacrum and sternum). Established symmetry measures were calculated from vertical displacement: symmetry index (SI), difference between minima (MinDiff) and difference between maxima (MaxDiff). For the sacrum, LoA were ± 0.095 for SI, ± 6.6 mm for MinDiff and ± 4.3 mm for MaxDiff. For the sternum, LoA values were ± 0.088 for SI, ± 5.0 mm for MinDiff and ± 4.2 mm for MaxDiff. Compared with reference data from mildly lame horses, SI values indicate sufficient precision, whereas MinDiff and MaxDiff values are less favourable. Future studies should investigate specific calibration and processing algorithms further improving standalone IMU performance
The high kinetic stability of a G-quadruplex limits hnRNP F qRRM3 binding to G-tract RNA
The RNA binding protein heterogeneous nuclear ribonucleoprotein (hnRNP) F is involved in telomeres maintenance and pre-mRNA processing, such as alternative splicing and polyadenylation. It specifically recognizes RNA containing three consecutive guanines (G-tracts) that have the potential to assemble into G-quadruplexes. We have proposed recently that hnRNP F could regulate alternative splicing by remodeling RNA structures, such as G-quadruplexes. However, the exact mechanism of hnRNP F binding to such RNA sequences remains unknown. Here, we have studied the binding of the third RNA binding domain of hnRNP F [quasi-RNA recognition motif 3 (qRRM3)] to G-tract RNA using isothermal titration calorimetry, circular dichroism and nuclear magnetic resonance spectroscopy. Our results show that qRRM3 binds specifically exclusively to single-stranded G-tracts (ssRNA), in contrast to previous reports stating that the G-quadruplex was recognized as well. Furthermore, we demonstrate that the pre-existent ssRNA/G-quadruplex equilibrium slows down the formation of the protein-ssRNA complex. Based on in vitro transcription assays, we show that the rate of the protein-RNA complex formation is faster than that of the G-quadruplex. We propose a model according to which hnRNP F could bind RNA co-transcriptionally and prevents G-quadruplex formatio
Poison sedge can kill stock
POISON SEDGE was first suspected of being toxic to livestock in Western Australia nearly 80 years ago.
Sudden deaths of sheep grazing areas on which poison sedge grew have been reported from many regions from Geraldton to Scott River.
This article reports a case of poisoning in the field, and the experimental reproduction of poison sedge toxicity in pen-fed sheep
Postharvest orange losses and small-scale farmersâ perceptions on the loss causes in the fruit value chain: a case study of Rusitu Valley, Zimbabwe
Surveys were conducted in Rusitu Valley , Chimanimani district of Zimbabwe between 2011 and 2012 to determine orange losses and farmersâ perceptions on the sweet orange (Citrus sinensis) supply value chain. The following data were collected using interviewer-administered Likert type questionnaires and informal interviews: orchard management practices, pest infestation, fruit handling activities, and marketing practices through. The study sample of 240 respondents was derived from two randomly selected villages in each of the four administrative wards with significant sweet orange production. The study revealed that on average a small-scale farmer in Rusitu Valley owns about 4047 m2 (one acre) orchard with an average of 55 orange trees and that a farmer harvested 1 200 kg of oranges per tree which converts to a total of 66 000 kg of orange produce per season. The study revealed that on average a farmer lost 480 kg of oranges per tree which converts to 26 400 kg per farmer or 40% loss per farmer during the season. Based on the total number of orange farmers in Rusitu Valley, the total loss translates to 89,529,600 kg. About 54% of respondents perceived that the major postharvest losses were a result of fruit fly attack while 36% linked these losses to red weaver ants (Oecophylla spp.). Trapping using a mixture of methyl eugenol and malathion during the same season positively identified the African invader fly, Bactrocera invadens. Unavailability of appropriate storage and transport facilities were the contributing factors to major postharvest losses. Citrus production extension package with an emphasis on the control of insect pests and sustainable postharvest management should be developed to improve the capacity of the small-scale farmers in Rusitu Valley. Keywords: Small-scale farmers, postharvest losses, pests and diseases, fruit value chai
Oral rivaroxaban versus standard therapy for the treatment of symptomatic venous thromboembolism : a pooled analysis of the EINSTEIN-DVT and PE randomized studies
Background: Standard treatment for venous thromboembolism (VTE) consists of a heparin combined with vitamin K antagonists. Direct oral anticoagulants have been investigated for acute and extended treatment of symptomatic VTE; their use could avoid parenteral treatment and/or laboratory monitoring of anticoagulant effects.
Methods: A prespecified pooled analysis of the EINSTEIN-DVT and EINSTEIN-PE studies compared the efficacy and safety of rivaroxaban (15 mg twice-daily for 21 days, followed by 20 mg once-daily) with standard-therapy (enoxaparin 1.0 mg/kg twice-daily and warfarin or acenocoumarol). Patients were treated for 3, 6, or 12 months and followed for suspected recurrent VTE and bleeding. The prespecified noninferiority margin was 1.75.
Results: 8282 patients were enrolled. 4151 received rivaroxaban and 4131 received standard-therapy. The primary efficacy outcome occurred in 86 rivaroxaban-treated patients (2.1%) compared with 95 (2.3%) standard-therapy-treated patients (hazard ratio, 0.89; 95% confidence interval [CI], 0.66-1.19; pnoninferiority<0.001). Major bleeding was observed in 40 (1.0%) and 72 (1.7%) patients in the rivaroxaban and standard-therapy groups, respectively (hazard ratio, 0.54; 95% CI, 0.37-0.79; p=0.002). In key subgroups, including fragile patients, cancer patients, patients presenting with large clots and those with a history of recurrent VTE, the efficacy and safety of rivaroxaban was similar compared with standard-therapy.
Conclusion: The single-drug approach with rivaroxaban resulted in similar efficacy to standard-therapy and was associated with a significantly lower rate of major bleeding. Efficacy and safety results were consistent among key patient subgroups
Turning round the telescope. Centre-right parties and immigration and integration policy in Europe
This is an Author's Original Manuscript of 'Turning round the telescope. Centre-right parties and immigration and integration policy in Europe', whose final and definitive form, the Version of Record, has been published in the Journal of European Public Policy 15(3):315-330, 2008 [copyright Taylor & Francis], available online at: http://www.tandfonline.com/doi.org/10.1080/13501760701847341
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