343 research outputs found

    Second messenger systems underlying amine and peptide actions on cardiac muscle in the horseshoe crab, Limulus polyphemus

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    The biochemical mechanisms by which octopamine, catecholamines and the peptide proctolin exert their actions on Limulus cardiac muscle were investigated. Amines produced long-lasting increases in the amplitude of contractions evoked by electrical stimulation. At 10(−5) mol l-1, the apparent order of potency for amine-induced increases in evoked contraction amplitude was dopamine approximately equal to octopamine greater than norepinephrine approximately equal to epinephrine. At this dose, amines produced long-lasting increases in the levels of cyclic AMP (octopamine greater than dopamine approximately equal to norepinephrine approximately equal to epinephrine), but not of cyclic GMP, in Limulus cardiac muscle. Like the amines, the adenylate cyclase activator forskolin enhanced cardiac muscle contractility and increased levels of cyclic AMP, but not of cyclic GMP. The phosphodiesterase inhibitor IBMX produced a transient increase in cardiac muscle contractility, but typically produced long-lasting negative inotropy. This agent increased levels of both cyclic AMP and cyclic GMP in Limulus cardiac muscle. Proctolin and the protein kinase C activator phorbol dB increased the contraction amplitude of the intact heart and the electrically stimulated myocardium. These compounds, as well as dopamine, elicited sustained contractures and rhythmic contractions when applied to deganglionated Limulus cardiac muscle rings. Unlike the amines, proctolin and phorbol dB did not increase cardiac muscle cyclic AMP levels. These results suggest that several second-messenger systems may be utilized by amines and peptides to produce excitatory actions on cardiac muscle fibers of the Limulus heart. Cyclic AMP appears to be an important second messenger underlying the effects of amines to enhance cardiac muscle contractility. Pharmacological data suggest that proctolin may alter cardiac muscle contractility and excitability by a mechanism which involves the phosphatidylinositol pathway. Dopamine, unlike the other amines, produces a number of proctolin-like effects and may activate both the cyclic AMP and the phosphatidylinositol systems in Limulus cardiac muscle

    Involvement of cyclic AMP in multiple, excitatory actions of biogenic amines on the cardiac ganglion of the horseshoe crab Limulus polyphemus

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    Cyclic AMP appears to be involved in several excitatory actions of amines on neurones of the Limulus cardiac ganglion. Amines selectively increase levels of cardiac ganglion cyclic AMP with a magnitude and time course similar to that observed for amine-induced excitation of cardiac ganglion burst rate. With respect to either the physiological or biochemical effect, the apparent order of potency is octoparnine\u3eepinephrine==dopamine\u3enorepinephrine. Elevation of cardiac ganglion cyclic AMP levels by octopamine or dopamine is dose-dependent and is potentiated by the phosphodiesterase inhibitor 3-isobutyl 1-methylxanthine (IBMX). Several pharmacological agents which influence cyclic nucleotide metabolism, including forskolin, IBMX and 8-substituted cyclic AMP analogues, have amine-like effects on the Limulus cardiac ganglion. These effects include increased burst rate of the isolated cardiac ganglion and decreased burst duration, interburst interval and number of spikes per burst in follower neurones. Forskolin and IBMX increase levels of cardiac ganglion cyclic AMP, and IBMX also increases cyclic GMP levels in this tissue. Amines, forskolin and IBMX have direct effects on follower neurones pharmacologically isolated from pacemaker cell input. Octopamine, forskolin and IBMX depolarize follower neurones, while dopamine hyperpolarizes these cells. Amines, forskolin and IBMX elicit burst-like potentials in follower neurones, and increase the size of evoked, unitary junction potentials recorded in cardiac muscle fibres. These pharmacological and biochemical data suggest that multiple, excitatory effects of biogenic amines on the Limulus cardiac ganglion are mediated by simultaneous increases in cyclic AMP at several loci within this neural network

    First Troop Philadelphi : City Cavalry

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    https://digitalcommons.library.umaine.edu/mmb-vp/5507/thumbnail.jp

    Assessing the full costs of floodplain buyouts

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    Given projected increases in flood damages, managed retreat strategies are likely to become more widespread. Voluntary buyouts, where governments acquire flood-damaged properties and return the sites to open space, have been the primary form of federally funded retreat in the USA to date. However, little attention has been paid to the cost structure of buyout projects. Using a transaction cost framework, we analyze the costs of activities that comprise floodplain buyouts. Federal data do not distinguish transaction costs, but they do suggest that the cost of purchasing properties often accounts for 80% or less of total project costs. Through a systematic review (n = 1103 publications) and an analysis of government budgets (across n = 859 jurisdiction-years), we find limited sources with relevant cost information, none of which reports transaction costs. The absence of activity-level cost data inhibits more targeted policy reform to support community-driven and efficient buyout programs. Better data collection and reporting can inform more impactful and equitable buyout policy

    Heterogeneous Subgreenschist Deformation in an Exhumed Sediment-Poor Mélange

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    Many described subduction complexes (or mélanges) exhumed from seismogenic depths comprise thick, turbidite-dominated sequences with deformed zones containing clasts or boudins of more competent sandstone and/or basalt. In contrast, many active subduction zones have a relatively small thickness of sedimentary inputs (<2 km), turbidite sequences are commonly accreted rather than subducted, and the role of pelagic sediments and basalt (lavas and hyaloclastites) in the deforming zone near the plate interface at <20 km depth is poorly understood. Field investigation of Neoproterozoic oceanic sequences accreted in the Gwna Complex, Anglesey, UK, reveals repeated lenticular slices of variably sampled ocean plate stratigraphy (OPS) bounded by thin mélange-bearing shear zones. Mélange matrix material is derived from adjacent OPS lithologies and is either dominantly illitic, likely derived from altered siliciclastic sediment, or chloritic, likely derived from altered volcanics. In the illitic mélange, mutually cross-cutting phyllosilicate foliation and variably deformed chlorite-quartz-calcite veins suggest ductile creep was cyclically punctuated by transient, localized fluid pulses. Chlorite thermometry indicates the veins formed at 260 ± 10°C. In the chloritic mélange, recrystallized through-going calcite veins are deformed to shear strains of 4–5 within a foliated chlorite matrix, suggesting calcite veins in subducting volcanics may localize deformation in the seismogenic zone. Shear stress-strain rate curves constructed using existing empirical relationships in a simplified shear zone geometry predict that slip velocities varied depending on pore fluid pressure; models predict slow slip velocities preferentially by frictional sliding in chlorite, at pore fluid pressures greater than hydrostatic but less than lithostatic

    Case-control vaccine effectiveness studies: Data collection, analysis and reporting results

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    The case-control methodology is frequently used to evaluate vaccine effectiveness post-licensure. The results of such studies provide important insight into the level of protection afforded by vaccines in a \u27real world\u27 context, and are commonly used to guide vaccine policy decisions. However, the potential for bias and confounding are important limitations to this method, and the results of a poorly conducted or incorrectly interpreted case-control study can mislead policies. In 2012, a group of experts met to review recent experience with case-control studies evaluating vaccine effectiveness; we summarize the recommendations of that group regarding best practices for data collection, analysis, and presentation of the results of case-control vaccine effectiveness studies. Vaccination status is the primary exposure of interest, but can be challenging to assess accurately and with minimal bias. Investigators should understand factors associated with vaccination as well as the availability of documented vaccination status in the study context; case-control studies may not be a valid method for evaluating vaccine effectiveness in settings where many children lack a documented immunization history. To avoid bias, it is essential to use the same methods and effort gathering vaccination data from cases and controls. Variables that may confound the association between illness and vaccination are also important to capture as completely as possible, and where relevant, adjust for in the analysis according to the analytic plan. In presenting results from case-control vaccine effectiveness studies, investigators should describe enrollment among eligible cases and controls as well as the proportion with no documented vaccine history. Emphasis should be placed on confidence intervals, rather than point estimates, of vaccine effectiveness. Case-control studies are a useful approach for evaluating vaccine effectiveness; however careful attention must be paid to the collection, analysis and presentation of the data in order to best inform evidence-based vaccine policies

    Case-control vaccine effectiveness studies: Preparation, design, and enrollment of cases and control

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    Case-control studies are commonly used to evaluate effectiveness of licensed vaccines after deployment in public health programs. Such studies can provide policy-relevant data on vaccine performance under \u27real world\u27 conditions, contributing to the evidence base to support and sustain introduction of new vaccines. However, case-control studies do not measure the impact of vaccine introduction on disease at a population level, and are subject to bias and confounding, which may lead to inaccurate results that can misinform policy decisions. In 2012, a group of experts met to review recent experience with case-control studies evaluating the effectiveness of several vaccines; here we summarize the recommendations of that group regarding best practices for planning, design and enrollment of cases and controls. Rigorous planning and preparation should focus on understanding the study context including healthcare-seeking and vaccination practices. Case-control vaccine effectiveness studies are best carried out soon after vaccine introduction because high coverage creates strong potential for confounding. Endpoints specific to the vaccine target are preferable to non-specific clinical syndromes since the proportion of non-specific outcomes preventable through vaccination may vary over time and place, leading to potentially confusing results. Controls should be representative of the source population from which cases arise, and are generally recruited from the community or health facilities where cases are enrolled. Matching of controls to cases for potential confounding factors is commonly used, although should be reserved for a limited number of key variables believed to be linked to both vaccination and disease. Case-control vaccine effectiveness studies can provide information useful to guide policy decisions and vaccine development, however rigorous preparation and design is essential

    Heterogeneous subgreenschist deformation in an exhumed sediment‐poor mélange

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    Many described subduction complexes (or mélanges) exhumed from seismogenic depths comprise thick, turbidite‐dominated sequences with deformed zones containing clasts or boudins of more competent sandstone and/or basalt. In contrast, many active subduction zones have a relatively small thickness of sedimentary inputs (<2 km), turbidite sequences are commonly accreted rather than subducted, and the role of pelagic sediments and basalt (lavas and hyaloclastites) in the deforming zone near the plate interface at <20 km depth is poorly understood. Field investigation of Neoproterozoic oceanic sequences accreted in the Gwna Complex, Anglesey, UK, reveals repeated lenticular slices of variably sampled ocean plate stratigraphy (OPS) bounded by thin mélange‐bearing shear zones. Mélange matrix material is derived from adjacent OPS lithologies and is either dominantly illitic, likely derived from altered siliciclastic sediment, or chloritic, likely derived from altered volcanics. In the illitic mélange, mutually cross‐cutting phyllosilicate foliation and variably deformed chlorite‐quartz‐calcite veins suggest ductile creep was cyclically punctuated by transient, localized fluid pulses. Chlorite thermometry indicates the veins formed at 260 ± 10°C. In the chloritic mélange, recrystallized through‐going calcite veins are deformed to shear strains of 4–5 within a foliated chlorite matrix, suggesting calcite veins in subducting volcanics may localize deformation in the seismogenic zone. Shear stress‐strain rate curves constructed using existing empirical relationships in a simplified shear zone geometry predict that slip velocities varied depending on pore fluid pressure; models predict slow slip velocities preferentially by frictional sliding in chlorite, at pore fluid pressures greater than hydrostatic but less than lithostatic

    Cognitive performance in light current users and ex-users of ecstasy (MDMA) and controls

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    Previous research has shown that heavy users of ecstasy may suffer impaired cognitive functioning, and the present study set out to investigate whether such impairment might also be found in light users or ex-users of ecstasy. Sixty subjects, comprising 20 current light users, 20 ex-users, and 20 non-users of ecstasy, were tested on an extensive battery of cognitive tests. Current light users of ecstasy achieved significantly lower scores on the overall cognitive test battery than did the non-users (p=0.011), though there were no significant differences on any individual subtests. However, the scores obtained by the ex-users of ecstasy did not differ significantly from those of the non-users. It was concluded that current light users of ecstasy show a small but significant cognitive impairment, but that no such impairment is detectable in ex-users who had abstained from the drug for at least 6 months
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