139 research outputs found

    Advancing Methods of Diet Analysis: A Case Study Using Degraded Merlin (Falco columbarius) Prey Remains

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    Prey remains have long been used as a mechanism to approach diet analyses. As understanding diet is key to comprehending ecosystem dynamics, prey remains identification requires a unique methodological approach to determine diversity within a sample. With the advancement of technology, molecular protocols designed for species-specific identification have improved to incredible accuracy and precision. Yet, the visual identification method has remained a predominant technique within diet studies. With entry-level observers, we matched visual identifications with molecular-based methods to quantify the accuracy of the visual identification method. This study determined what fraction of visually identified prey remains could be correctly identified to a high degree of certainty. Using the mitochondrial DNA of \u3e 40-year-old Merlin (Falco columbarius) feather samples, we found that the correct identification of visually identified “high” certainty samples was 41.7%. Furthermore, visually identified samples with a “medium to low” certainty plummeted to 19.0%. This study reveals that correct identification of visually identified samples is significantly lower than previously considered but that certainty level has a significant role in correct identification. Similarly, visual identification can provide rapid determination of separate taxa and the number of species in a sample. It is critical to assess prey remains using multiple techniques to procure definitive identification of individual prey items. Anecdotally, I found that the primers AWF2-R4 and AWF4-R6 targeting regions within the cytochrome c oxidase subunit-1 gene are effective for degraded (i.e. \u3e 40 years old) feather samples of Passeriformes and Charadriiformes

    Covariant equations for the three-body bound state

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    The covariant spectator (or Gross) equations for the bound state of three identical spin 1/2 particles, in which two of the three interacting particles are always on shell, are developed and reduced to a form suitable for numerical solution. The equations are first written in operator form and compared to the Bethe-Salpeter equation, then expanded into plane wave momentum states, and finally expanded into partial waves using the three-body helicity formalism first introduced by Wick. In order to solve the equations, the two-body scattering amplitudes must be boosted from the overall three-body rest frame to their individual two-body rest frames, and all effects which arise from these boosts, including the Wigner rotations and rho-spin decomposition of the off-shell particle, are treated exactly. In their final form, the equations reduce to a coupled set of Faddeev-like double integral equations with additional channels arising from the negative rho-spin states of the off-shell particle.Comment: 57 pages, RevTeX, 6 figures, uses epsf.st

    Exercise, Service and Support: Client Experiences of Physical Activity Referral Schemes(PARS)

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    Physical activity referral schemes (PARS) represent one of the most prevalent interventions in the fight against chronic illness such as coronary heart disease and obesity. Despite this, issues surrounding low retention and adherence continue to hinder the potential effectiveness of such schemes on public health. This article reports on the second stage of a larger investigation into client experiences of PARS focusing specifically on findings from five client-based focus groups and interviews with five Scheme Organisers. The resulting analysis reveals three main factors impacting participant perceptions of the quality of service and support received: the organisation of PARS provision, client engagement with the PARS community and the nature and extent of client support networks. The article demonstrates that staff have a considerable role to play in engaging clients in the PARS system and that Scheme Organisers should give serious thought to ensuring that clients have valuable and sustainable networks of support. Furthermore, it is suggested that Scheme Organisers need to facilitate a system in which staff are genuinely engaged with the needs of clients and are able to provide individualised programmes of physical activity

    Forward Physics at the LHC; Elastic Scattering

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    The following effects in the nearly forward ("soft") region of the LHC are proposed to be investigated: 1) At small |t| the fine structure of the cone (Pomeron) shouldbe scrutinized: a) a break of the cone near t0.1 GeVt\approx - 0.1 ~ GeV^2, due to the two-pion threshold, and required by t-channel unitarity, is expected, and b) possible small-period oscillations between t=0t=0 and the dip region. 2) In measuring the elastic pppp scattering and total pppp cross section at the LHC, the experimentalists are urged to treat the total cross section σt,\sigma_t, the ratio ρ\rho, the forward slope BB and the luminosity L{\cal L} as free arameters, and to publish model-independent results on dN/dt.{dN/{dt}}. 3) Of extreme interest are the details of the expected diffraction minimum in the differential cross section. Its position, expected in the interval 0.4<t<10.4<-t<1 GeV2^2 at the level of about 102mb10^{-2} {\rm mb} \cdot GeV2÷101mb^{-2}\div 10^{-1} {\rm mb}\cdot GeV2^{-2}, cannot be predicted unambiguously, and its depth, i.e. the ratio of dσ/dtd\sigma/dt at the minimum to that at the subsequent maximum (about t=5-t=5 GeV2^2, which is about 5 is of great importance. 4) The expected slow-down with increasing t|t| of the shrinkage of the second cone (beyond the dip-bump), together with the transition from an exponential to a power decrease in t-t, will be indicative of the transition from "soft" to "hard" physics. Explicit models are proposed to help in quantifying this transition. 5) In a number of papers a limiting behavior, or saturation of the black disc limit (BDL) was predicted. This controversial phenomenon shows that the BDL may not be the ultimate limit.Comment: pp. 50, figs 16 (typos corrected

    Longitudinal effects on mental health of moving to greener and less green urban areas

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    This is a freely-available open access publication. Please cite the published version which is available via the DOI link in this record.Despite growing evidence of public health benefits from urban green space there has been little longitudinal analysis. This study used panel data to explore three different hypotheses about how moving to greener or less green areas may affect mental health over time. The samples were participants in the British Household Panel Survey with mental health data (General Health Questionnaire scores) for five consecutive years, and who relocated to a different residential area between the second and third years (n = 1064; observations = 5320). Fixed-effects analyses controlled for time-invariant individual level heterogeneity and other area and individual level effects. Compared to premove mental health scores, individuals who moved to greener areas (n = 594) had significantly better mental health in all three postmove years (P = .015; P = .016; P = .008), supporting a "shifting baseline" hypothesis. Individuals who moved to less green areas (n = 470) showed significantly worse mental health in the year preceding the move (P = .031) but returned to baseline in the postmove years. Moving to greener urban areas was associated with sustained mental health improvements, suggesting that environmental policies to increase urban green space may have sustainable public health benefits.European Regional Development Fund 2007-2013European Social Fund Convergence Programme for Cornwall and the Isles of ScillyEconomic and Social Research Counci

    Tangential beam IMRT versus tangential beam 3D-CRT of the chest wall in postmastectomy breast cancer patients: A dosimetric comparison

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    <p>Abstract</p> <p>Background</p> <p>This study evaluates the dose distribution of reversed planned tangential beam intensity modulated radiotherapy (IMRT) compared to standard wedged tangential beam three-dimensionally planned conformal radiotherapy (3D-CRT) of the chest wall in unselected postmastectomy breast cancer patients</p> <p>Methods</p> <p>For 20 unselected subsequent postmastectomy breast cancer patients tangential beam IMRT and tangential beam 3D-CRT plans were generated for the radiotherapy of the chest wall. The prescribed dose was 50 Gy in 25 fractions. Dose-volume histograms were evaluated for the PTV and organs at risk. Parameters of the dose distribution were compared using the Wilcoxon matched pairs test.</p> <p>Results</p> <p>Tangential beam IMRT statistically significantly reduced the ipsilateral mean lung dose by an average of 21% (1129 cGy versus 1437 cGy). In all patients treated on the left side, the heart volume encompassed by the 70% isodose line (V70%; 35 Gy) was reduced by an average of 43% (5.7% versus 10.6%), and the mean heart dose by an average of 20% (704 cGy versus 877 cGy). The PTV showed a significantly better conformity index with IMRT; the homogeneity index was not significantly different.</p> <p>Conclusions</p> <p>Tangential beam IMRT significantly reduced the dose-volume of the ipsilateral lung and heart in unselected postmastectomy breast cancer patients.</p

    Zebrafish as a model for kidney function and disease

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    Kidney disease is a global problem with around three million people diagnosed in the UK alone and the incidence is rising. Research is critical to develop better treatments. Animal models can help to better understand the pathophysiology behind the various kidney diseases and to screen for therapeutic compounds, but the use especially of mammalian models should be minimised in the interest of animal welfare. Zebrafish are increasingly used, as they are genetically tractable and have a basic renal anatomy comparable to mammalian kidneys with glomerular filtration and tubular filtration processing. Here, we discuss how zebrafish have advanced the study of nephrology and the mechanisms underlying kidney disease

    The James Webb Space Telescope Mission: Optical Telescope Element Design, Development, and Performance

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    The James Webb Space Telescope (JWST) is a large, infrared space telescope that has recently started its science program which will enable breakthroughs in astrophysics and planetary science. Notably, JWST will provide the very first observations of the earliest luminous objects in the Universe and start a new era of exoplanet atmospheric characterization. This transformative science is enabled by a 6.6 m telescope that is passively cooled with a 5-layer sunshield. The primary mirror is comprised of 18 controllable, low areal density hexagonal segments, that were aligned and phased relative to each other in orbit using innovative image-based wavefront sensing and control algorithms. This revolutionary telescope took more than two decades to develop with a widely distributed team across engineering disciplines. We present an overview of the telescope requirements, architecture, development, superb on-orbit performance, and lessons learned. JWST successfully demonstrates a segmented aperture space telescope and establishes a path to building even larger space telescopes.Comment: accepted by PASP for JWST Overview Special Issue; 34 pages, 25 figure

    Polygenic transmission disequilibrium confirms that common and rare variation act additively to create risk for autism spectrum disorders

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    Autism spectrum disorder (ASD) risk is influenced by common polygenic and de novo variation. We aimed to clarify the influence of polygenic risk for ASD and to identify subgroups of ASD cases, including those with strongly acting de novo variants, in which polygenic risk is relevant. Using a novel approach called the polygenic transmission disequilibrium test and data from 6,454 families with a child with ASD, we show that polygenic risk for ASD, schizophrenia, and greater educational attainment is over-transmitted to children with ASD. These findings hold independent of proband IQ. We find that polygenic variation contributes additively to risk in ASD cases who carry a strongly acting de novo variant. Lastly, we show that elements of polygenic risk are independent and differ in their relationship with phenotype. These results confirm that the genetic influences on ASD are additive and suggest that they create risk through at least partially distinct etiologic pathways
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