111 research outputs found
Electron excitation and energy transfer rates for H2O in the upper atmosphere
Recent measurements of the cross sections for electronic state excitations in
H2O have made it possible to calculate rates applicable to these excitation
processes. We thus present here calculations of electron energy transfer rates
for electronic and vibrational state excitations in H2O, as well as rates for
excitation of some of these states by atmospheric thermal and auroral secondary
electrons. The calculation of these latter rates is an important first step
towards our aim of including water into a statistical equilibrium model of the
atmosphere under auroral conditions.Comment: 15 pages, 8 figure
Bright betatron x-ray radiation from a laser-driven-clustering gas target
Hard X-ray sources from femtosecond (fs) laser-produced plasmas, including the betatron X-rays from laser wakefield-accelerated electrons, have compact sizes, fs pulse duration and fs pump-probe capability, making it promising for wide use in material and biological sciences. Currently the main problem with such betatron X-ray sources is the limited average flux even with ultra-intense laser pulses. Here, we report ultra-bright betatron X-rays can be generated using a clustering gas jet target irradiated with a small size laser, where a ten-fold enhancement of the X-ray yield is achieved compared to the results obtained using a gas target. We suggest the increased X-ray photon is due to the existence of clusters in the gas, which results in increased total electron charge trapped for acceleration and larger wiggling amplitudes during the acceleration. This observation opens a route to produce high betatron average flux using small but high repetition rate laser facilities for applications
Salvage logging effects on regulating ecosystem services and fuel loads
We thank several authors who generously provided data
for this meta-analysis
(WebPanel 2). ABL acknowledges the
support of mobility grants from Universidad de Alcalá and
Spanish Ministry of Education, postdoctoral fellowships from
the Spanish Ministry of Economy and the Alexander von
Humboldt Foundation, and Project AS2013/MAE-2719
“REMEDINAL-3”
from the Government of Madrid. The
data underlying this paper are available through an institutional
repository (http://hdl.handle.net/10481/62260).Salvage logging, or logging after natural disturbances such as wildfires, insect outbreaks, and windstorms, is carried out to recover
some of a forest’s natural and/or economic capital. However, trade-offs
between management objectives and a lack of consensus
on the ecological consequences of salvage logging impair science-based
decision making on the management of forests after natural
disturbances. We conducted a global meta-analysis
of the impacts of salvage logging on regulating ecosystem services and on
fuel loads, as a frequent post-disturbance
objective is preventing subsequent wildfires that could be fueled by the accumulation of
dead trunks and branches. Salvage logging affected ecosystem services in a moderately negative way, regardless of disturbance type
and severity, time elapsed since salvage logging, intensity of salvage logging, and the group of regulating ecosystem services being
considered. However, prolonging the time between natural disturbance and salvage logging mitigated negative effects on regulating
ecosystem services. Salvage logging had no overall effect on surface fuels; rather, different fuel types responded differently
depending on the time elapsed since salvage logging. Delaying salvage logging by ~2–4 years may reduce negative ecological
impacts without affecting surface fuel loads.Project AS2013/MAE-2719 “REMEDINAL-3” from the Government of Madri
Estimating retention benchmarks for salvage logging to protect biodiversity
S.T. was supported by the Humboldt-Foundation and by the MOST (Ministry of Science
and Technology) Taiwan Research Fellowship to work with A.C. at National Tsing Hua
University, Taiwan. S.T. received funds from the Gregor Louisoder Environmental
Foundation. A.B.L. received funds from the Humboldt-Foundation.Forests are increasingly affected by natural disturbances. Subsequent salvage logging, a
widespread management practice conducted predominantly to recover economic capital,
produces further disturbance and impacts biodiversity worldwide. Hence, naturally disturbed
forests are among the most threatened habitats in the world, with consequences for their
associated biodiversity. However, there are no evidence-based benchmarks for the proportion
of area of naturally disturbed forests to be excluded from salvage logging to conserve biodiversity.
We apply a mixed rarefaction/extrapolation approach to a global multi-taxa dataset
from disturbed forests, including birds, plants, insects and fungi, to close this gap. We find
that 75 ± 7% (mean ± SD) of a naturally disturbed area of a forest needs to be left unlogged
to maintain 90% richness of its unique species, whereas retaining 50% of a naturally disturbed
forest unlogged maintains 73 ± 12% of its unique species richness. These values do
not change with the time elapsed since disturbance but vary considerably among taxonomic
groups.Open Access funding enabled and organized by Projekt DEA
Evaluating predictive pharmacogenetic signatures of adverse events in colorectal cancer patients treated with fluoropyrimidines
The potential clinical utility of genetic markers associated with response to fluoropyrimidine treatment in colorectal cancer patients remains controversial despite extensive study. Our aim was to test the clinical validity of both novel and previously identified markers of adverse events in a broad clinical setting. We have conducted an observational pharmacogenetic study of early adverse events in a cohort study of 254 colorectal cancer patients treated with 5-fluorouracil or capecitabine. Sixteen variants of nine key folate (pharmacodynamic) and drug metabolising (pharmacokinetic) enzymes have been analysed as individual markers and/or signatures of markers. We found a significant association between TYMP S471L (rs11479) and early dose modifications and/or severe adverse events (adjusted OR = 2.02 [1.03; 4.00], p = 0.042, adjusted OR = 2.70 [1.23; 5.92], p = 0.01 respectively). There was also a significant association between these phenotypes and a signature of DPYD mutations (Adjusted OR = 3.96 [1.17; 13.33], p = 0.03, adjusted OR = 6.76 [1.99; 22.96], p = 0.002 respectively). We did not identify any significant associations between the individual candidate pharmacodynamic markers and toxicity. If a predictive test for early adverse events analysed the TYMP and DPYD variants as a signature, the sensitivity would be 45.5 %, with a positive predictive value of just 33.9 % and thus poor clinical validity. Most studies to date have been under-powered to consider multiple pharmacokinetic and pharmacodynamic variants simultaneously but this and similar individualised data sets could be pooled in meta-analyses to resolve uncertainties about the potential clinical utility of these markers
Insulin resistance in type 1 diabetes: what is ‘double diabetes’ and what are the risks?
In this review, we explore the concept of ‘double diabetes’, a combination of type 1 diabetes with features of insulin resistance and type 2 diabetes. After considering whether double diabetes is a useful concept, we discuss potential mechanisms of increased insulin resistance in type 1 diabetes before examining the extent to which double diabetes might increase the risk of cardiovascular disease (CVD). We then go on to consider the proposal that weight gain from intensive insulin regimens may be associated with increased CV risk factors in some patients with type 1 diabetes, and explore the complex relationships between weight gain, insulin resistance, glycaemic control and CV outcome. Important comparisons and contrasts between type 1 diabetes and type 2 diabetes are highlighted in terms of hepatic fat, fat partitioning and lipid profile, and how these may differ between type 1 diabetic patients with and without double diabetes. In so doing, we hope this work will stimulate much-needed research in this area and an improvement in clinical practice
Synthesis, Infra-red, Raman, NMR and structural characterization by X-ray Diffraction of [C12H17N2]2CdCl4 and [C6H10N2]2Cd3Cl10 compounds
The synthesis, infra-red, Raman and NMR spectra and crystal structure of 2,
4, 4- trimethyl-4, 5- dihydro-3H-benzo[b] [1, 4] diazepin-1-ium
tetrachlorocadmate, [C12H17N2]2CdCl4 and benzene-1,2-diaminium
decachlorotricadmate(II) [C6H10N2]2Cd3Cl10 are reported.
The [C12H17N2]2CdCl4 compound crystallizes in the triclinic system (P-1 space
group) with Z = 2 and the following unit cell dimensions: a = 9.6653(8)
angstrom, b = 9.9081(9) angstrom, c = 15.3737(2) angstrom, alpha =
79.486(1)degrees, beta = 88.610(8)degrees and gamma = 77.550(7)degrees. The
structure was solved by using 4439 independent reflections down to R value of
0.029. In crystal structure, the tetrachlorocadmiate anion is connected to two
organic cations through N-H...Cl hydrogen bonds and Van Der Waals interaction
as to build cation-anion-cation cohesion. The [C6H10N2]2Cd3Cl10 crystallizes in
the triclinic system (P-1 space group). The unit cell dimensions are a = 6.826
(5)angstrom, b = 9.861 (7)angstrom, c = 10.344 (3)angstrom, alpha = 103.50
(1)degrees, beta = 96.34 (4)degrees and gamma = 109.45 (3)degrees, Z=2. The
final R value is 0.053 (Rw=0.128). Its crystal structure consists of organic
cations and polymeric chains of [Cd3Cl10]4- anions running along the [011]
direction, In The [C6H10N2]2Cd3Cl10 compounds hydrogen bond interactions
between the inorganic chains and the organic cations, contribute to the crystal
packing.
PACS Codes: 61.10.Nz, 61.18.Fs, 78.30.-jComment: 19 pages, 10 figure
Association between respiratory tract diseases and secondhand smoke exposure among never smoking flight attendants: a cross-sectional survey
<p>Abstract</p> <p>Background</p> <p>Little is known about long-term adverse health consequences experienced by flight attendants exposed to secondhand smoke (SHS) during the time smoking was allowed on airplanes. We undertook this study to evaluate the association between accumulated flight time in smoky airplane cabins and respiratory tract diseases in a cohort of never smoking flight attendants.</p> <p>Methods</p> <p>We conducted a mailed survey in a cohort of flight attendants. Of 15,000 mailed questionnaires, 2053 (14%) were completed and returned. We excluded respondents with a personal history of smoking (n = 748) and non smokers with a history of respiratory tract diseases before the age of 18 years (n = 298). The remaining 1007 respondents form the study sample.</p> <p>Results</p> <p>The overall study sample was predominantly white (86%) and female (89%), with a mean age of 54 years. Overall, 69.7% of the respondents were diagnosed with at least one respiratory tract disease. Among these respondents, 43.4% reported a diagnosis of sinusitis, 40.3% allergies, 30.8% bronchitis, 23.2% middle ear infections, 13.6% asthma, 13.4% hay fever, 12.5% pneumonia, and 2.0% chronic obstructive pulmonary disease. More hours in a smoky cabin were observed to be significantly associated with sinusitis (OR = 1.21; p = 0.024), middle ear infections (OR = 1.30; p = 0.006), and asthma (OR = 1.26; p = 0.042).</p> <p>Conclusion</p> <p>We observed a significant association between hours of smoky cabin exposure and self-reported reported sinusitis, middle ear infections, and asthma. Our findings suggest a dose-response between duration of SHS exposure and diseases of the respiratory tract. Our findings add additional evidence to the growing body of knowledge supporting the need for widespread implementation of clean indoor air policies to decrease the risk of adverse health consequences experienced by never smokers exposed to SHS.</p
Quantitative and Qualitative Responses to Topical Cold in Healthy Caucasians Show Variance between Individuals but High Test-Retest Reliability.
Increased sensitivity to cold may be a predictor of persistent pain, but cold pain threshold is often viewed as unreliable. This study aimed to determine the within-subject reliability and between-subject variance of cold response, measured comprehensively as cold pain threshold plus pain intensity and sensation quality at threshold. A test-retest design was used over three sessions, one day apart. Response to cold was assessed at four sites (thenar eminence, volar forearm, tibialis anterior, plantar foot). Cold pain threshold was measured using a Medoc thermode and standard method of limits. Intensity of pain at threshold was rated using a 10cm visual analogue scale. Quality of sensation at threshold was quantified with indices calculated from subjects' selection of descriptors from a standard McGill Pain Questionnaire. Within-subject reliability for each measure was calculated with intra-class correlation coefficients and between-subject variance was evaluated as group coefficient of variation percentage (CV%). Gender and site comparisons were also made. Forty-five healthy adults participated: 20 male, 25 female; mean age 29 (range 18-56) years. All measures at all four test sites showed high within-subject reliability: cold pain thresholds r = 0.92-0.95; pain rating r = 0.93-0.97; McGill pain quality indices r = 0.87-0.85. In contrast, all measures showed wide between-subject variance (CV% between 51.4% and 92.5%). Upper limb sites were consistently more sensitive than lower limb sites, but equally reliable. Females showed elevated cold pain thresholds, although similar pain intensity and quality to males. Females were also more reliable and showed lower variance for all measures. Thus, although there was clear population variation, response to cold for healthy individuals was found to be highly reliable, whether measured as pain threshold, pain intensity or sensation quality. A comprehensive approach to cold response testing therefore may add validity and improve acceptance of this potentially important pain measure.Thus, although there was clear population variation, response to cold for healthy individuals was found to be highly reliable, whether measured as pain threshold, pain intensity or sensation quality. A comprehensive approach to cold response testing therefore may add validity and improve acceptance of this potentially important pain measure
Functional Inactivation of EBV-Specific T-Lymphocytes in Nasopharyngeal Carcinoma: Implications for Tumor Immunotherapy
Nasopharyngeal carcinoma (NPC) is an Epstein-Barr virus (EBV) associated malignancy with high prevalence in Southern Chinese. In order to assess whether defects of EBV-specific immunity may contribute to the tumor, the phenotype and function of circulating T-cells and tumor infiltrating lymphocytes (TILs) were investigated in untreated NPC patients. Circulating naïve CD3+CD45RA+ and CD4+CD25− cells were decreased, while activated CD4+CD25+ T-cells and CD3−CD16+ NK-cells were increased in patients compared to healthy donors. The frequency of T-cells recognizing seven HLA-A2 restricted epitopes in LMP1 and LMP2 was lower in the patients and remained low after stimulation with autologous EBV-carrying cells. TILs expanded in low doses of IL-2 exhibited an increase of CD3+CD4+, CD3+CD45RO+ and CD4+CD25+ cells and 2 to 5 fold higher frequency of LMP1 and LMP2 tetramer positive cells compared to peripheral blood. EBV-specific cytotoxicity could be reactivated from the blood of most patients, whereas the TILs lacked cytotoxic activity and failed to produce IFNγ upon specific stimulation. Thus, EBV-specific rejection responses appear to be functionally inactivated at the tumor site in NPC
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