67 research outputs found

    Rubisco activation by wheat Rubisco activase isoform 2ÎČ is insensitive to inhibition by ADP

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    Rubisco activase (Rca) is a catalytic chaperone that remodels the active site, promotes the release of inhibitors and restores catalytic competence to Rubisco. Rca activity and its consequent effect on Rubisco activation and photosynthesis are modulated by changes to the chloroplast environment induced by fluctuations in light levels that reach the leaf, including redox status and adenosine diphosphate (ADP)/adenosine triphosphate (ATP) ratio. The Triticum aestivum (wheat) genome encodes for three Rca protein isoforms: 1ÎČ (42.7 kDa), 2ÎČ (42.2 kDa) and 2α (46.0 kDa). The regulatory properties of these isoforms were characterised by measuring rates of Rubisco activation and ATP hydrolysis by purified recombinant Rca proteins in the presence of physiological ADP/ATP ratios. ATP hydrolysis by all three isoforms was sensitive to inhibition by increasing amounts of ADP in the assay. In contrast, Rubisco activation activity of Rca 2ÎČ was insensitive to ADP inhibition, while Rca 1ÎČ and 2α were inhibited. Two double and one quadruple site-directed mutants were designed to elucidate if differences in the amino acid sequences between Rca 1ÎČ and 2ÎČ could explain the differences in ADP sensitivity. Changing two amino acids in Rca 2ÎČ to the corresponding residues in 1ÎČ (T358K & Q362E) resulted in significant inhibition of Rubisco activation in presence of ADP. The results show that the wheat Rca isoforms differ in their regulatory properties and that amino acid changes in the C domain influence ADP sensitivity. Advances in the understanding of Rubisco regulation will aid efforts to improve the efficiency of photosynthetic CO2 assimilation

    The 2-10 keV XRB dipole and its cosmological implications

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    The hard X-ray (>2 keV) emission of the local and distant Universe as observed with the HEAO1-A2 experiment is reconsidered in the context of large scale cosmic structure. Using all-sky X-ray samples of AGN and galaxy clusters we remove the dominant local X-ray flux from within a redshift of ~ 0.02. We evaluate the dipolar and higher order harmonic structure in 4 X-ray colours. The estimated dipole anisotropy of the unresolved flux appears to be consistent with a combination of the Compton-Getting effect due to the Local Group motion (dipole amplitude Delta = 0.0042) and remaining large scale structure (0.0023 <~ Delta <~ 0.0085), in good agreement with the expectations of Cold Dark Matter models. The observed anisotropy does however also suggest a non-negligible Galactic contribution which is more complex than current, simple models of >2 keV Galactic X-ray emission. Comparison of the soft and hard colour maps with a harmonic analysis of the 1.5 keV ROSAT all-sky data qualitatively suggests that at least a third of the faint, unresolved ~ 18 deg scale structure in the HEAO1-A2 data may be Galactic in origin. However, the effect on measured flux dipoles is small (<~3%). We derive an expression for dipole anisotropy and acceleration and demonstrate how the dipole anisotropy of the distant X-ray frame can constrain the amplitude of bulk motions of the universe. From observed bulk motions over a local ~ 50 Mpc/h radius volume we determine 0.14 <~ Omega^0.6/b_x(0) <~ 0.59.Comment: 39 pages, Revised version accepted ApJ Main Journal, 3 new Figures + additional tex

    Low power BL Lacertae objects and the blazar sequence: Clues on the particle acceleration process

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    The spectral properties of blazars seem to follow a phenomenological sequence according to the source luminosity. By inferring the source physical parameters through (necessarily) modeling the blazar spectra, we have previously proposed that the sequence arises because the particles responsible for most of the emission suffer increasing radiative losses as the luminosity increases. Here we extend those results by considering the widest possible range of blazar spectral properties. We find a new important ingredient for shaping the spectra of the lowest power objects, namely the role of a finite timescale for the injection of relativistic particles. Only high energy particles radiatively cool in such timescale leading to a break in the particle distribution: particles with this break energy are those emitting most of the power, and this gives raise to a link between blazar spectra and total energy density inside the source, which controls the cooling timescale. The emerging picture requires two phases for the particle acceleration: a first pre-heating phase in which particles reach a characteristic energy as the result of balancing heating and radiative cooling, and a more rapid acceleration phase which further accelerate these particles to form a power law distribution. While in agreement with standard shock theory, this scenario also agrees with the idea that the luminosity of blazars is produced through internal shocks, which naturally lead to shocks lasting for a finite time.Comment: 10 pages, 5 figures, accepted for publication in A&

    The X-ray absorber of PKS2126-158

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    BeppoSAX observed the z=3.27 quasar PKS2126-158 on 1999 May 24-28 when its 2-10keV and 0.1-2.5keV fluxes were 1.1E-11 and 4.4E-12 cgs respectively, a factor of 2 higher than in all previous ROSAT and ASCA observations and 40% higher than in two more recent Chandra and XMM-Newton observations. The shortest detected rest frame variability timescale is of a few months, comparable to the causal timescale associated to an emission region of ~10 Schwarzschild radii around a few 1E10 solar masses black hole. The source is detected with a signal to noise ratio S/N>=3 up to ~50 keV, 215 keV rest frame. The BeppoSAX observations confirm the presence of low energy absorption along the line of sight, independent on the continuum model adopted, at high confidence level. Despite the limited spectral resolution of the BeppoSAX LECS and MECS it is possible to put constraints on different absorption and continuum models, but not to unambiguously determine the redshift of the absorber. If the absorber is not significantly ionized the BeppoSAX data do prefer an absorber at z<=2.7. Strong and complex metal line systems along the line of sight to PKS2126-158 have been found at z=0.6631 and at 2.64<z<2.82. They could well be associated to the X-ray absorption. Conversely, an ionized (``warm'') absorber at the quasar redshift provides a good fit only if the iron abundance is smaller than ~0.3 solar, while that of the other elements is fixed to the solar value.Comment: A&A in pres

    Community Policing: Broken Windows, Community Building, and Satisfaction with the Police

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    The concept of community policing dominates the law enforcement profession today. One would be hard pressed to find an advertisement for a police chief’s position that does not require a thorough understanding of this method of policing. Like the Kansas City preventive patrol experiment and the Rand report on the criminal investigation process, the call for community policing has led to dramatic changes in the way that police carry out their responsibilities. In spite of its popularity, there have been a number of challenges to community policing from social scientists who are particularly concerned about the ‘broken windows’ model of policing. These challenges have not been received well by the law enforcement community, which argues that sociologists are wedded to the idea that crime is caused by the structural features of capitalist society, including economic injustice, racism, and poverty. The purpose of this article is to bridge the gap between these two positions. Yes, there is a place for community policing, and, yes, social problems do contribute to crime. The article starts by reviewing the development of community policing in the United States. An analysis of the theoretical constructs that support community policing then follows. Finally, we argue that there is sound theoretical evidence to support community policing, particularly those programmes that improve citizen satisfaction with the manner in which police carry out their responsibilities

    Cascade testing in Familial Hypercholesterolaemia: how should family members be contacted?

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    Cascade testing or screening provides an important mechanism for identifying people at risk of a genetic condition. For some autosomal dominant conditions, such as Familial Hpercholesterolaemia (FH), identifying relatives allows for significant health-affecting interventions to be administered, which can extend a person’s life expectancy significantly. However, cascade screening is not without ethical implications. In this paper, we examine one ethically contentious aspect of cascade screening programmes, namely the alternative methods by which relatives of a proband can be contacted. Should the proband be responsible for contacting his or her family members, or should the screening programme contact family members directly? We argue that direct contact is an ethically justifiable method of contact tracing in cascade screening for FH. Not only has this method of contact already been utilised without adverse effects, an examination of the ethical arguments against it shows these are unsubstantiated. We describe several criteria which, if met, will allow an appropriate balance to be struck between maximising the efficiency of family tracing and respecting the interests of probands and their relatives. Keywords Cascade genetic screening; cascade testing; confidentiality; autonomy; genetics; ethics; guidelines; familial hypercholesterolaemi

    The characteristics and activities of child and adolescent mental health services in Italy: a regional survey

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    <p>Abstract</p> <p>Background</p> <p>To date, no studies have assessed in detail the characteristics, organisation, and functioning of Child and Adolescent Mental Health Services (CAMHS). This information gap represents a major limitation for researchers and clinicians because most mental disorders have their onset in childhood or adolescence, and effective interventions can therefore represent a major factor in avoiding chronicity. Interventions and mental health care are delivered by and through services, and not by individual, private clinicians, and drawbacks or limitations of services generally translate in inappropriateness and ineffectiveness of treatments and interventions: therefore information about services is essential to improve the quality of care and ultimately the course and outcome of mental disorders in childhood and adolescence.</p> <p>The present paper reports the results of the first study aimed at providing detailed, updated and comprehensive data on CAMHS of a densely populated Italian region (over 4 million inhabitants) with a target population of 633,725 subjects aged 0-17 years.</p> <p>Methods</p> <p>Unit Chiefs of all the CAMHS filled in a structured 'Facility Form', with activity data referring to 2008 (data for inpatient facilities referred to 2009), which were then analysed in detail.</p> <p>Results</p> <p>Eleven CAMHS were operative, including 110 outpatient units, with a ratio of approximately 20 child psychiatrists and 23 psychologists per 100,000 inhabitants aged 0-17 years. All outpatient units were well equipped and organized and all granted free service access. In 2008, approximately 6% of the target population was in contact with outpatient CAMHS, showing substantial homogeneity across the eleven areas thereby. Most patients in contact in 2008 received a language disorder- or learning disability diagnosis (41%). First-ever contacts accounted for 30% of annual visits across all units. Hospital bed availability was 5 per 100,000 inhabitants aged 0-17 years.</p> <p>Conclusion</p> <p>The percentage of young people in contact with CAMHS for mental disorders is in line with those observed in previous epidemiological studies. The overall number of child psychiatrists per 100,000 inhabitants is one of the highest in Europe and it is comparable with the most well equipped areas in the US. This comparison should be interpreted with caution, however, because in Italy, child psychiatrists also treat neurological disorders. Critical areas requiring improvement are: the uneven utilisation of standardised assessment procedures and the limited availability of dedicated emergency services during non-office hours (e.g., nights and holidays).</p

    Evaluation of a multi-disciplinary back pain rehabilitation programme—individual and group perspectives

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    To evaluate the impact of a multi-disciplinary back pain rehabilitation programme using a combination of individual and group change data. A total of 261 consecutive patients attending an assessment session for the back pain rehabilitation programme completed the SF-36 health survey questionnaire. The patients were requested to complete the questionnaires again at programme completion and at the 6-month follow-up. The Reliable Change Index was used to define 'clinical significance' in terms of the assessment of individual change. Half of those patients considered to be suitable for the programme subsequently completed it. In group terms, non-completers scored lower than completers on all SF-36 scales. Statistically significant improvements were evident for those completing the programme (all scales at P < 0.000), with improvement maintained at follow-up. In individual terms, 'clinical significance' was exceeded most frequently in the Physical Functioning and Role Physical scales. Whilst some participants lost previous improvements between completion and follow-up, others improved over this same time period. The majority of those completing the programme showed improvement in at least one scale. Adding assessment of individual change to traditional group change measures provides greater insight into the impact a rehabilitation programme has upon participants' quality of life. Whilst the programme is clearly effective for those who complete it, work is required to limit post-programme deterioration and improve uptak
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