261 research outputs found

    DOMS After Acute Strenuous Exercise and Massage

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    The art of massage therapy has been around for centuries and investigation of its effects on the human body continues. Purpose: This study is designed to determine if Swedish massage therapy reduces DOMS at 24- and 48-hours after a single bout of resistance exercise to fatigue. Methods: Twenty one volunteers completed a bout of body squats to exhaustion holding a 3.63 kg (8 lb.) weight for men and a 2.27 kg (5 lb.) for women, and after a one-minute rest did the same again but without the weight. This was immediately followed by a 20-minute Swedish massage on either the right or left leg (randomized), specifically the hamstrings, quadriceps, and gluteal muscles. After the massage was performed participants were then asked to report the soreness of treated leg after 24- and 48-hrs using a standard 0-10 pain scale. Results: A 2 (leg) X 2 (time) factorial ANOVA with repeated measures on the second factor indicated perceived soreness in the treated leg was significantly reduced compared to the untreated leg at 24 hrs (p = .003) and 48 hrs (p = .017). While soreness was significantly higher after 48 hrs compared to 24 hrs in the untreated leg (p = .012), soreness in the treated leg was also significantly higher between the same time points (p = .007), but to a lower magnitude. Conclusion: While it seems a single massage treatment immediately after exhaustive resistance exercise reduces the initial effect of DOMS, the difference in perceived pain from 24- to 48-hrs is not changed

    Effect of Swedish Massage on DOMS after Strenuous Exercise

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    International Journal of Exercise Science 10(2): 258-265, 2017. Delayed onset muscle soreness (DOMS) can occur after intense exercise and remain for several days. Massage is one means by which DOMS can be reduced; however, the timing of exercise, techniques applied, and timing of application produces differing outcomes. Purpose: To evaluate the effect of a 20-minute Swedish massage immediately after strenuous exercise on DOMS. Procedures: Twenty college students engaged in two sets of a squatting exercise to fatigue and then the right or the left leg was immediately massaged. Effleurage, petrissage, friction and compression manual techniques were used for 10 minutes on the quadriceps and the 10 minutes on the hamstrings and gluteal group, so that each manual technique utilized 2.5 minutes. Participants rated their DOMS 24 and 48 hours later with a single-digit incremental numeric rating scale. Results: Delayed onset muscle soreness in the massaged leg at 24 hours was significantly lower compared to the non-massaged leg (p = .019, Cohen’s d = .56), but no significant difference at 48 hours existed between the legs (p = .097, Cohen’s d = .49). Additionally, the increase in DOMS from 24 to 48 hours was significant in the massaged leg (p = .043, Cohen’s d = .83), but a significant increase between these two time points was not evident in the non-massaged leg (p = .067, Cohen’s d = .49). Conclusions. A 20-minute Swedish massage immediately after squatting exercise is effective in attenuating DOMS after 24 hours

    Does Information Transparency Decrease Coordination Failure?

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    This study experimentally tests the effect of information transparency on the probability of coordination failure in global games with finite signals. Prior theory has shown that in global games with unique equilibrium, the effect of information transparency is ambiguous. We find that in global games where the signal space is finite, increased transparency has two effects. First, increasing the level of transparency usually destroys uniqueness and precipitates multiple equilibria, so that the effect of transparency on coordination depends crucially upon which equilibrium is actually attained. Second, the level of transparency determines which of these equilibria is risk dominant. We find that increased transparency facilitates coordination only if it switches the risk-dominant equilibrium from the secure equilibrium to the efficient equilibrium. When the converse is true, improved transparency can be dysfunctional because it increases the probability of coordination failure.

    High Stakes Behavior with Low Payoffs: Inducing Preferences with Holt-Laury Gambles

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    A continuing goal of experiments is to understand risky decisions when the decisions are important. Often a decision’s importance is related to the magnitude of the associated monetary stake. Khaneman and Tversky (1979) argue that risky decisions in high stakes environments can be informed using questionnaires with hypothetical choices (since subjects have no incentive to answer questions falsely.) However, results reported by Holt and Laury (2002, henceforth HL), as well as replications by Harrison (2005) suggest that decisions in “high” monetary payoff environments are not well-predicted by questionnaire responses. Thus, a potential implication of the HL results is that studying decisions in high stakes environments requires using high stakes. Here we describe and implement a procedure for studying high-stakes behavior in a low-stakes environment. We use the binary-lottery reward technique (introduced by Berg, et al (1986)) to induce preferences in a way that is consistent with the decisions reported by HL under a variety of stake sizes. The resulting decisions, all of which were made in a low-stakes environment, reflect surprisingly well the noisy choice behavior reported by HL’s subjects even in their highstakes environment. This finding is important because inducing preferences evidently requires substantially less cost than paying people to participate in extremely high-stakes games.

    High Stakes Behavior with Low Payoffs: Inducing preferences with Holt-Laury gambles

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    A continuing goal of experiments is to understand risky decisions when the decisions are important. Often a decision’s importance is related to the magnitude of the associated monetary stake. Khaneman and Tversky (1979) argue that risky decisions in high stakes environments can be informed using questionnaires with hypothetical choices (since subjects have no incentive to answer questions falsely.) However, results reported by Holt and Laury (2002, henceforth HL), as well as replications by Harrison (2005) suggest that decisions in “high” monetary payoff environments are not well-predicted by questionnaire responses. Thus, a potential implication of the HL results is that studying decisions in high stakes environments requires using high stakes. Here we describe and implement a procedure for studying high-stakes behavior in a low-stakes environment. We use the binary-lottery reward technique (introduced by Berg, et al (1986)) to induce preferences in a way that is consistent with the decisions reported by HL under a variety of stake sizes. The resulting decisions, all of which were made in a low-stakes environment, reflect surprisingly well the noisy choice behavior reported by HL’s subjects even in their highstakes environment. This finding is important because inducing preferences evidently requires substantially less cost than paying people to participate in extremely high-stakes games

    Somatic Dysfunction and Its Association With Chronic Low Back Pain, Back-Specific Functioning, and General Health: Results From the OSTEOPATHIC Trial

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    Context: Somatic dysfunction is diagnosed by the presence of any of 4 TART criteria: tissue texture abnormality, asymmetry, restriction of motion, or tenderness. Objective: To measure the prevalence of somatic dysfunction in patients with chronic low back pain (LBP) and to study the associations of somatic dysfunction with LBP severity, back-specific functioning, and general health. Design: Cross-sectional study nested within a randomized controlled trial. Setting: University-based study in Dallas-Fort Worth, Texas. Patients: A total of 455 adult research patients with nonspecific chronic LBP. Main Study Measures: Somatic dysfunction in the lumbar, sacrum/pelvis, and pelvis/innominate regions, including key lesions representing severe somatic dysfunction. A 10-cm visual analog scale (VAS), the Roland-Morris Disability Questionnaire (RMDQ), and the Medical Outcomes Study Short Form-36 Health Survey (SF-36) were used to measure LBP severity, back-specific functioning, and general health, respectively. Results: Severe somatic dysfunction was most prevalent in the lumbar (225 [49%]), sacrum/pelvis (129 [28%]), and pelvis/innominate (48 [11%]) regions. Only 30 patients (7%) had no somatic dysfunction in the lumbar, sacrum/pelvis, or pelvis/innominate regions. There were 4 statistically significant pairwise correlations for severe somatic dysfunction: thoracic (T) 10-12 with ribs; T10-12 with lumbar; lumbar with sacrum/pelvis; and sacrum/pelvis with pelvis/innominate. Having a key lesion in the lumbar region (ρ=0.80) or sacrum/pelvis region (ρ=0.71) was strongly correlated with the overall number of key lesions. There were no consistent demographic or clinical predictors of somatic dysfunction. The presence (vs absence) of severe somatic dysfunction in the lumbar region was associated with greater LBP severity (median VAS score, 4.7 vs 3.8, respectively; P=.003) and greater back-specific disability (median RMDQ score, 6 vs 4, respectively; P=.01). The presence (vs absence) of severe somatic dysfunction in the sacrum/pelvis region was associated with greater back-specific disability (median RMDQ score, 6 vs 5, respectively; P=.02) and poorer general health 62 vs 72, respectively; P=.002). An increasing number of key lesions was associated with back-specific disability (P=.009) and poorer general health (P=.02). Conclusion: The present study demonstrates that somatic dysfunction, particularly in the lumbar and sacrum/pelvis regions, is common in patients with chronic LBP. Forthcoming extensions of the OSTEOPATHIC Trial will assess the efficacy of OMT according to baseline levels of somatic dysfunction

    ERÎČ Binds N-CoR in the Presence of Estrogens via an LXXLL-like Motif in the N-CoR C-terminus

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    Nuclear receptors (NRs) usually bind the corepressors N-CoR and SMRT in the absence of ligand or in the presence of antagonists. Agonist binding leads to corepressor release and recruitment of coactivators. Here, we report that estrogen receptor ÎČ (ERÎČ) binds N-CoR and SMRT in the presence of agonists, but not antagonists, in vitro and in vivo. This ligand preference differs from that of ERα interactions with corepressors, which are inhibited by estradiol, and resembles that of ERÎČ interactions with coactivators. ERÎČ /N-CoR interactions involve ERÎČ AF-2, which also mediates coactivator recognition. Moreover, ERÎČ recognizes a sequence (PLTIRML) in the N-CoR C-terminus that resembles coactivator LXXLL motifs. Inhibition of histone deacetylase activity specifically potentiates ERÎČ LBD activity, suggesting that corepressors restrict the activity of AF-2. We conclude that the ER isoforms show completely distinct modes of interaction with a physiologically important corepressor and discuss our results in terms of ER isoform specificity in vivo

    Canopy spectral reflectance detects oak wilt at the landscape scale using phylogenetic discrimination

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    The oak wilt disease caused by the invasive fungal pathogen Bretziella fagacearum is one of the greatest threats to oak-dominated forests across the Eastern United States. Accurate detection and monitoring over large areas are necessary for management activities to effectively mitigate and prevent the spread of oak wilt. Canopy spectral reflectance contains both phylogenetic and physiological information across the visible near-infrared (VNIR) and short-wave infrared (SWIR) ranges that can be used to identify diseased red oaks. We develop partial least square discriminant analysis (PLS-DA) models using airborne hyperspectral reflectance to detect diseased canopies and assess the importance of VNIR, SWIR, phylogeny, and physiology for oak wilt detection. We achieve high accuracy through a three-step phylogenetic process in which we first distinguish oaks from other species (90% accuracy), then red oaks from white oaks (Quercus macrocarpa) (93% accuracy), and, lastly, infected from non-infected trees (80% accuracy). Including SWIR wavelengths increased model accuracy by ca. 20% relative to models based on VIS-NIR wavelengths alone; using a phylogenetic approach also increased model accuracy by ca. 20% over a single-step classification. SWIR wavelengths include spectral information important in differentiating red oaks from other species and in distinguishing diseased red oaks from healthy red oaks. We determined the most important wavelengths to identify oak species, red oaks, and diseased red oaks. We also demonstrated that several multispectral indices associated with physiological decline can detect differences between healthy and diseased trees. The wavelengths in these indices also tended to be among the most important wavelengths for disease detection within PLS-DA models, indicating a convergence of the methods. Indices were most significant for detecting oak wilt during late August, especially those associated with canopy photosynthetic activity and water status. Our study suggests that coupling phylogenetics, physiology, and canopy spectral reflectance provides an interdisciplinary and comprehensive approach that enables detection of forest diseases at large scales. These results have potential for direct application by forest managers for detection to initiate actions to mitigate the disease and prevent pathogen spread

    Airborne radar imaging of subaqueous channel evolution in Wax Lake Delta, Louisiana, USA

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    Shallow coastal regions are among the fastest evolving landscapes but are notoriously difficult to measure with high spatiotemporal resolution. Using Uninhabited Aerial Vehicle Synthetic Aperture Radar (UAVSAR) data, we demonstrate that high signal‐to‐noise L band synthetic aperture radar (SAR) can reveal subaqueous channel networks at the distal ends of river deltas. Using 27 UAVSAR images collected between 2009 and 2015 from the Wax Lake Delta in coastal Louisiana, USA, we show that under normal tidal conditions, planform geometry of the distributary channel network is frequently resolved in the UAVSAR images, including ~700 m of seaward network extension over 5 years for one channel. UAVSAR also reveals regions of subaerial and subaqueous vegetation, streaklines of biogenic surfactants, and what appear to be small distributary channels aliased by the survey grid, all illustrating the value of fine resolution, low noise, L band SAR for mapping the nearshore subaqueous delta channel network
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