246 research outputs found
Practices of shared living: Exploring environmental sustainability in UK cohousing, community living, and coliving
The environmental impacts of the UK's domestic sector must be lowered if they are to meet UK government greenhouse gas emissions (GHGs) reduction targets. However, government initiatives to lower domestic GHGs have had little success, and progress has been too slow. Given this lack of top-down impetus, it is worth investigating alternative housing solutions. Previous research has shown that shared living - in which residents share spaces, resources, and social time - tends to have lower environmental impacts than the average household. However, this issue has not yet been explored within the UK. There is also research which shows that social networks can be effective in encouraging practice transitions and maintenance. This has not yet been thoroughly investigated within the context of shared living and environmental sustainability. This research aimed to explore the practices and infrastructures which enable pro-environmental outcomes within shared living. This aim was achieved through in-depth research in six shared living case studies. The research mainly adopted an ethnographic approach, complemented by quantitative measurement of GHGs. This research shows that the shared living case studies have significantly lower GHGs than the average UK household. This builds upon previous quantitative environmental evaluations of shared living. In studying practices, infrastructures and social networks within shared living, this research identifies four types of sharing that are significant to pro-environmental outcomes: shared ideals, shared governance, shared materials and spaces, and shared endeavour. For each type of sharing, the findings describe and analyse how processes of negotiation enable and constrain pro-environmental practices and outcomes. By exploring these processes, this research generates new knowledge on how and why shared living can produce lower-than-average domestic environmental impacts. Thus, the research demonstrates the potential and the mechanisms by which shared living may offer environmentally sustainable housing solutions for the UK
The Relationship of Field Burn Severity Measures To Satellite-derived Burned Area Reflectance Classification (Barc) Maps
Preliminary results are presented from ongoing research on spatial variability of fire effects on soils and vegetation from the Black Mountain Two and Cooney Ridge wildfires, which burned in western Montana during the 2003 fire season. Extensive field fractional cover data were sampled to assess the efficacy of quantitative satellite image-derived indicators of burn severity. The objective of this study was to compare the field burn severity measures to the digital numbers used to produce Burned Area Reflectance Classification (BARC) maps. Canopy density was the field variable most highly correlated to BARC data derived from either SPOT Multispectral (XS) or Landsat Thematic Mapper (TM) imagery. Among the other field variables, old litter depth and duff depth correlated better with the satellite data than did old litter cover. Ash cover correlated most poorly. Old litter cover correlated better with the satellite data than did exposed mineral soil or rock cover, but combining the mineral soil and rock cover fractions into a single inorganic cover fraction improved the correlation to a comparable level. Most field variables, with the notable exception of ash, tended to vary more at low and moderate severity sites than at high severity sites. Semivariograms of the field variables revealed spatial autocorrelation across the spatial scales sampled (2 – 130 m), which the 20 m or 30 m resolution satellite imagery only weakly detected. Future analyses will be broadened to quantify burn severity characteristics in other forest types and to consider erosion processes, such as soil water infiltration following fire
The Relationship of Field Burn Severity Measures To Satellite-derived Burned Area Reflectance Classification (Barc) Maps
Preliminary results are presented from ongoing research on spatial variability of fire effects on soils and vegetation from the Black Mountain Two and Cooney Ridge wildfires, which burned in western Montana during the 2003 fire season. Extensive field fractional cover data were sampled to assess the efficacy of quantitative satellite image-derived indicators of burn severity. The objective of this study was to compare the field burn severity measures to the digital numbers used to produce Burned Area Reflectance Classification (BARC) maps. Canopy density was the field variable most highly correlated to BARC data derived from either SPOT Multispectral (XS) or Landsat Thematic Mapper (TM) imagery. Among the other field variables, old litter depth and duff depth correlated better with the satellite data than did old litter cover. Ash cover correlated most poorly. Old litter cover correlated better with the satellite data than did exposed mineral soil or rock cover, but combining the mineral soil and rock cover fractions into a single inorganic cover fraction improved the correlation to a comparable level. Most field variables, with the notable exception of ash, tended to vary more at low and moderate severity sites than at high severity sites. Semivariograms of the field variables revealed spatial autocorrelation across the spatial scales sampled (2 – 130 m), which the 20 m or 30 m resolution satellite imagery only weakly detected. Future analyses will be broadened to quantify burn severity characteristics in other forest types and to consider erosion processes, such as soil water infiltration following fire
Sensitive Amplified Immunoenzymometric Assays (IEMA) for Human Insulin and Intact Proinsulin
Peer Reviewe
Trace element geochemistry (Li, Ba, Sr, and Rb) using Curiosity's ChemCam: Early results for Gale crater from Bradbury Landing Site to Rocknest
The ChemCam instrument package on the Mars rover, Curiosity, provides new capabilities to probe the abundances of certain trace elements in the rocks and soils on Mars using the laser-induced breakdown spectroscopy technique. We focus on detecting and quantifying Li, Ba, Rb, and Sr in targets analyzed during the first 100 sols, from Bradbury Landing Site to Rocknest. Univariate peak area models and multivariate partial least squares models are presented. Li, detected for the first time directly on Mars, is generally low (100 ppm and >1000 ppm, respectively. These analysis locations tend to have high Si and alkali abundances, consistent with a feldspar composition. Together, these trace element observations provide possible evidence of magma differentiation and aqueous alteration. Key Points Quantitative models for Li, Ba, Rb and Sr using ChemCam data are presented Abundances for the first 100 sols in Gale crater are discussed These results represent the first in situ measurements of Li and Ba on Mar
Update to the study protocol for an implementation-effectiveness trial comparing two education strategies for improving the uptake of noninvasive ventilation in patients with severe COPD exacerbation
BACKGROUND: There is strong evidence that noninvasive ventilation (NIV) improves the outcomes of patients hospitalized with severe COPD exacerbation, and NIV is recommended as the first-line therapy for these patients. Yet, several studies have demonstrated substantial variation in NIV use across hospitals, leading to preventable morbidity and mortality. In addition, prior studies suggested that efforts to increase NIV use in COPD need to account for the complex and interdisciplinary nature of NIV delivery and the need for team coordination. Therefore, our initial project aimed to compare two educational strategies: online education (OLE) and interprofessional education (IPE), which targets complex team-based care in NIV delivery. Due to the impact of the COVID-19 pandemic on recruitment and planned intervention, we had made several changes in the study design, statistical analysis, and implementation strategies delivery as outlined in the methods.
METHODS: We originally proposed a two-arm, pragmatic, cluster, randomized hybrid implementation-effectiveness trial comparing two education strategies to improve NIV uptake in patients with severe COPD exacerbation in 20 hospitals with a low baseline rate of NIV use. Due to logistical constrains and slow recruitment, we changed the study design to an opened cohort stepped-wedge design with three steps which will allow the institutions to enroll when they are ready to participate. Only the IPE strategy will be implemented, and the education will be provided in an online virtual format. Our primary outcome will be the hospital-level risk-standardized NIV proportion for the period post-IPE training, along with the change in rate from the period prior to training. Aim 1 will compare the change over time of NIV use among patients with COPD in the step-wedged design. Aim 2 will explore the mediators\u27 role (respiratory therapist autonomy and team functionality) on the relationship between the implementation strategies and effectiveness. Finally, in Aim 3, through interviews with providers, we will assess the acceptability and feasibility of the educational training.
CONCLUSION: The changes in study design will result in several limitation. Most importantly, the hospitals in the three cohorts are not randomized as they enroll based on their readiness. Second, the delivery of the IPE is virtual, and it is not known if remote education is conducive to team building. However, this study will be among the first to test the impact of IPE in the inpatient setting carefully and may generalize to other interventions directed to seriously ill patients.
TRIAL REGISTRATION: ClinicalTrials.gov NCT04206735 . Registered on December 20, 2019
A novel albumin gene mutation (R222I) in familial dysalbuminemic hyperthyroxinemia.
CONTEXT: Familial dysalbuminemic hyperthyroxinemia, characterized by abnormal circulating albumin with increased T4 affinity, causes artefactual elevation of free T4 concentrations in euthyroid individuals. OBJECTIVE: Four unrelated index cases with discordant thyroid function tests in different assay platforms were investigated. DESIGN AND RESULTS: Laboratory biochemical assessment, radiolabeled T4 binding studies, and ALB sequencing were undertaken. (125)I-T4 binding to both serum and albumin in affected individuals was markedly increased, comparable with known familial dysalbuminemic hyperthyroxinemia cases. Sequencing showed heterozygosity for a novel ALB mutation (arginine to isoleucine at codon 222, R222I) in all four cases and segregation of the genetic defect with abnormal biochemical phenotype in one family. Molecular modeling indicates that arginine 222 is located within a high-affinity T4 binding site in albumin, with substitution by isoleucine, which has a smaller side chain predicted to reduce steric hindrance, thereby facilitating T4 and rT3 binding. When tested in current immunoassays, serum free T4 values from R222I heterozygotes were more measurably abnormal in one-step vs two-step assay architectures. Total rT3 measurements were also abnormally elevated. CONCLUSIONS: A novel mutation (R222I) in the ALB gene mediates dominantly inherited dysalbuminemic hyperthyroxinemia. Susceptibility of current free T4 immunoassays to interference by this mutant albumin suggests likely future identification of individuals with this variant binding protein.This work was supported by funding from the Wellcome Trust (Grant 100585/Z/12/Z, to N.S., Grant 095564/Z/11/Z, to K.C.) and National Institute for Health Research Cambridge Biomedical Research Centre (to C.M., and M.G.).This is the final published version of the article. It was originally published in The Journal of Clinical Endocrinology & Metabolism (Nadia Schoenmakers, Carla Moran, Irene Campi, Maura Agostini, Olivia Bacon, Odelia Rajanayagam, John Schwabe, Sonia Bradbury, Timothy Barrett, Frank Geoghegan, Maralyn Druce, Paolo Beck-Peccoz, Angela O'Toole, Penelope Clark, Michelle Bignell, Greta Lyons, David Halsall, Mark Gurnell, Krishna Chatterjee. J Clin Endocrinol Metab 2014 Jul 19;99(7):E1381-6. Epub 2014 Mar 19. http://dx.doi.org/10.1210/jc.2013-4077). A correction to this article was issued because the CC-BY licence was not present on the final published paper (http://dx.doi.org/10.1210/jc.2015-1656)
Molecular Evolution in Nonrecombining Regions of the Drosophila melanogaster Genome
We study the evolutionary effects of reduced recombination on the Drosophila melanogaster genome, analyzing more than 200 new genes that lack crossing-over and employing a novel orthology search among species of the melanogaster subgroup. These genes are located in the heterochromatin of chromosomes other than the dot (fourth) chromosome. Noncrossover regions of the genome all exhibited an elevated level of evolutionary divergence from D. yakuba at nonsynonymous sites, lower codon usage bias, lower GC content in coding and noncoding regions, and longer introns. Levels of gene expression are similar for genes in regions with and without crossing-over, which rules out the possibility that the reduced level of adaptation that we detect is caused by relaxed selection due to lower levels of gene expression in the heterochromatin. The patterns observed are consistent with a reduction in the efficacy of selection in all regions of the genome of D. melanogaster that lack crossing-over, as a result of the effects of enhanced Hill–Robertson interference. However, we also detected differences among nonrecombining locations: The X chromosome seems to exhibit the weakest effects, whereas the fourth chromosome and the heterochromatic genes on the autosomes located most proximal to the centromere showed the largest effects. However, signatures of selection on both nonsynonymous mutations and on codon usage persist in all heterochromatic regions
Feasibility and acceptability of point of care HIV testing in community outreach and GUM drop-in services in the North West of England: A programmatic evaluation
Background: In Liverpool, injecting drug users (IDUs), men-who-have-sex-with-men (MSM) and UK Africans experience a disproportionate burden of HIV, yet services do not reach out to these groups and late presentations continue. We set out to: increase testing uptake in targeted marginalized groups through a community and genitourinary medicine (GUM)-based point of care testing (POCT) programme; and conduct a process evaluation to examine service provider inputs and document service user perceptions of the programme.
Methods: Mixed quantitative, qualitative and process evaluation methods were used. Service providers were trained to use fourth generation rapid antibody/antigen HIV tests. Existing outreach services incorporated POCT into routine practice. Clients completed a semi-structured questionnaire and focus group discussions (FGDs) were
held with service providers.
Results: Between September 2009 and June 2010, 953 individuals underwent POCT (GUM: 556 [59%]; communitybased
sites: 397 [42%]). Participants in the community were more likely to be male (p = 0.028), older (p < 0.001), of UK African origin (p < 0.001) and IDUs (p < 0.001) than participants from the GUM clinic. Seventeen new HIV diagnoses were confirmed (prevalence = 1.8%), 16 of whom were in risk exposure categories (prevalence: 16/517,
3.1%). Questionnaires and FGDs showed that clients and service providers were supportive of POCT, highlighting
benefits of reaching out to marginalised communities and incorporating HIV prevention messages.
Conclusions: Community and GUM clinic-based POCT for HIV was feasible and acceptable to clients and service
providers in a low prevalence setting. It successfully reached target groups, many of whom would not have
otherwise tested. We recommend POCT be considered among strategies to increase the uptake of HIV testing
among groups who are currently underserved
A typology of practice narratives during the implementation of a preventive, community intervention trial
<p>Abstract</p> <p>Background</p> <p>Traditional methods of process evaluation encompass what components were delivered, but rarely uncover how practitioners position themselves and act relative to an intervention being tested. This could be crucial for expanding our understanding of implementation and its contribution to intervention effectiveness.</p> <p>Methods</p> <p>We undertook a narrative analysis of in-depth, unstructured field diaries kept by nine community development practitioners for two years. The practitioners were responsible for implementing a multi-component, preventive, community-level intervention for mothers of new babies in eight communities, as part of a cluster randomised community intervention trial. We constructed a narrative typology of approaches to practice, drawing on the phenomenology of Alfred Schutz and Max Weber's Ideal Type theory.</p> <p>Results</p> <p>Five types of practice emerged, from a highly 'technology-based' type that was faithful to intervention specifications, through to a 'romantic' type that held relationships to be central to daily operations, with intact relationships being the final arbiter of intervention success. The five types also differed in terms of how others involved in the intervention were characterized, the narrative form (<it>e.g</it>., tragedy, satire) and where and how transformative change in communities was best created. This meant that different types traded-off or managed the priorities of the intervention differently, according to the deeply held values of their type.</p> <p>Conclusions</p> <p>The data set constructed for this analysis is unique. It revealed that practitioners not only exercise their agency within interventions, they do so systematically, that is, according to a pattern. The typology is the first of its kind and, if verified through replication, may have value for anticipating intervention dynamics and explaining implementation variation in community interventions.</p
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