351 research outputs found

    Book Reviews

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    Cooke: The Commerce Clause of the Federal Constitution; Various: Select Essays in Anglo-American Legal History. Volume 3.; Tiffany: A Handbook on the Law of Persons and Domestic Relation

    Occupancy and Abundance of American Badgers and Piute Ground Squirrels in the Sagebrush-Steppe: Implications of the Fire-Cheatgrass Cycle

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    Sagebrush-steppe is experiencing vast changes due to biological invasions and changing fire characteristics. Understanding how these changes influence functionally important animals is essential for ecosystem management. American Badgers (Taxidea taxus) are an apex predator and ecosystem engineer within sagebrush ecosystems. Piute Ground Squirrels (Urocitellus mollis) are also an ecosystem engineer as well as an essential prey source for many predators.  Our objective was to evaluate the relative importance of large-scale changes, abiotic processes, and biotic processes on badgers and ground squirrels. We samples 163 1-ha plots across a gradient of burn histories within a 1,962 km2 area in Southern Idaho, USA. At each plot, we characterized ground squirrel and badger occupancy, ground squirrel relative abundance, and many environmental variables. We used information-theoretic approaches to evaluate competing hypotheses concerning occupancy of ground squirrels and badgers, and ground squirrel relative abundance. Results suggest that ground squirrel occupancy was positively associated with abiotic characteristics (e.g., higher precipitation and finer textured soil). Badger occupancy was positively associated with ground squirrel occupancy and agriculture. Relative abundance of ground squirrels was positively associated with finer textured soils, but negatively associated with cheatgrass (Bromus tectorum), fire frequency, agriculture and shrubs. Managers can focus restoration efforts on areas with high cheatgrass and shrub cover, if ground squirrels are a management objective. These results support previous hypotheses suggesting abiotic processes are important for herbivore occupancy. However, we provide support that a combination of abiotic, biotic and disturbance processes are important for mesocarnivore occupancy and herbivore abundance

    Acute effects of vasoactive drug treatment on brachial artery reactivity

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    AbstractObjectivesThe goal of this study was to investigate whether concomitant therapy with vasoactive medications alters the results of noninvasive assessment of endothelial function.BackgroundUltrasound assessment of brachial artery flow-mediated dilation is emerging as a useful clinical tool. The current practice of withholding cardiac medications before ultrasound studies has unknown utility and would limit the clinical use of the methodology.MethodsTo determine whether a single dose of a vasoactive drug influences brachial reactivity, we examined flow-mediated dilation and nitroglycerin-mediated dilation in 73 healthy subjects (age 27 ± 6 years). Studies were completed at baseline and 3 h after randomized treatment with a single oral dose of placebo, felodipine (5 mg), metoprolol (50 mg), or enalapril (10 mg). To determine if holding vasoactive therapy for 24 h before study yields different results than continuation of clinically prescribed medications, we examined vascular function in 72 patients (age 57 ± 10 years) with coronary artery disease. Ultrasound studies were performed 24 h after the last dose and again 3 h after patients took their clinically prescribed medications.ResultsIn healthy subjects one dose of all three drugs lowered blood pressure, and metoprolol also lowered heart rate. However, there was no significant effect of treatment on brachial artery dilation. In patients with coronary artery disease on chronic treatment, taking prescribed medications reduced blood pressure and heart rate, but had no significant effect on brachial artery dilation.ConclusionsRecent administration of commonly used nonnitrate vasoactive drugs has no significant effect on brachial reactivity. These findings suggest that current practice of withholding cardiac medications before testing endothelial function may not be necessary, making this methodology more practical for clinical use

    TILLING for allergen reduction and improvement of quality traits in peanut (Arachis hypogaea L.)

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    <p>Abstract</p> <p>Background</p> <p>Allergic reactions to peanuts (<it>Arachis hypogaea </it>L.) can cause severe symptoms and in some cases can be fatal, but avoidance is difficult due to the prevalence of peanut-derived products in processed foods. One strategy of reducing the allergenicity of peanuts is to alter or eliminate the allergenic proteins through mutagenesis. Other seed quality traits could be improved by altering biosynthetic enzyme activities. Targeting Induced Local Lesions in Genomes (TILLING), a reverse-genetics approach, was used to identify mutations affecting seed traits in peanut.</p> <p>Results</p> <p>Two similar copies of a major allergen gene, <it>Ara h 1</it>, have been identified in tetraploid peanut, one in each subgenome. The same situation has been shown for major allergen <it>Ara h 2</it>. Due to the challenge of discriminating between homeologous genes in allotetraploid peanut, nested PCR was employed, in which both gene copies were amplified using unlabeled primers. This was followed by a second PCR using gene-specific labeled primers, heteroduplex formation, CEL1 nuclease digestion, and electrophoretic detection of labeled fragments. Using ethyl methanesulfonate (EMS) as a mutagen, a mutation frequency of 1 SNP/967 kb (3,420 M<sub>2 </sub>individuals screened) was observed. The most significant mutations identified were a disrupted start codon in <it>Ara h 2.02 </it>and a premature stop codon in <it>Ara h 1.02</it>. Homozygous individuals were recovered in succeeding generations for each of these mutations, and elimination of Ara h 2.02 protein was confirmed. Several Ara h 1 protein isoforms were eliminated or reduced according to 2D gel analyses. TILLING also was used to identify mutations in fatty acid desaturase <it>AhFAD2 </it>(also present in two copies), a gene which controls the ratio of oleic to linoleic acid in the seed. A frameshift mutation was identified, resulting in truncation and inactivation of AhFAD2B protein. A mutation in <it>AhFAD2A </it>was predicted to restore function to the normally inactive enzyme.</p> <p>Conclusions</p> <p>This work represents the first steps toward the goal of creating a peanut cultivar with reduced allergenicity. TILLING in peanut can be extended to virtually any gene, and could be used to modify other traits such as nutritional properties of the seed, as shown in this study.</p

    Antibody quality and protection from lethal ebola virus challenge in nonhuman primates immunized with rabies virus based bivalent vaccine.

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    We have previously described the generation of a novel Ebola virus (EBOV) vaccine platform based on (a) replication-competent rabies virus (RABV), (b) replication-deficient RABV, or (c) chemically inactivated RABV expressing EBOV glycoprotein (GP). Mouse studies demonstrated safety, immunogenicity, and protective efficacy of these live or inactivated RABV/EBOV vaccines. Here, we evaluated these vaccines in nonhuman primates. Our results indicate that all three vaccines do induce potent immune responses against both RABV and EBOV, while the protection of immunized animals against EBOV was largely dependent on the quality of humoral immune response against EBOV GP. We also determined if the induced antibodies against EBOV GP differ in their target, affinity, or the isotype. Our results show that IgG1-biased humoral responses as well as high levels of GP-specific antibodies were beneficial for the control of EBOV infection after immunization. These results further support the concept that a successful EBOV vaccine needs to induce strong antibodies against EBOV. We also showed that a dual vaccine against RABV and filoviruses is achievable; therefore addressing concerns for the marketability of this urgently needed vaccine

    Treatment Use Among Children with Tourette Syndrome Living in The United States, 2014

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    Treatment of Tourette syndrome (TS) can be complicated by changes over time in tic expression, severity, and co-occurring disorders. Using the 2014 National Survey of the Diagnosis and Treatment of ADHD and Tourette Syndrome, this study provides descriptive estimates of the use of behavioral interventions and medication among children living with TS. Parent-reported data on 115 children aged 5–17 years ever diagnosed with TS were analyzed to provide descriptive, unweighted results. Overall, 77.4% of children had current or past use of any TS treatment; 59.1% ever used behavioral interventions and 56.1% had ever taken TS medication. Children with moderate” or “severe” versus “mild” TS, ≥1 co-occurring disorders, and tics that interfered with functioning were significantly more likely to have used one or more TS treatments. Side effects were reported for 84.4% of children who took TS medication. Most parents of children with current TS (87.2%) were satisfied with the management of their child\u27s TS. However, parents of children with “moderate” or “severe” current TS were significantly more dissatisfied compared to parents of children with “mild” TS. Findings from this study could be used to inform efforts to support children living with TS and their families

    Evaluating GEDI data fusions for continuous characterizations of forest wildlife habitat

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    Continuous characterizations of forest structure are critical for modeling wildlife habitat as well as for assessing trade-offs with additional ecosystem services. To overcome the spatial and temporal limitations of airborne lidar data for studying wide-ranging animals and for monitoring wildlife habitat through time, novel sampling data sources, including the space-borne Global Ecosystem Dynamics Investigation (GEDI) lidar instrument, may be incorporated within data fusion frameworks to scale up satellite-based estimates of forest structure across continuous spatial extents. The objectives of this study were to: 1) investigate the value and limitations of satellite data sources for generating GEDI-fusion models and 30 m resolution predictive maps of eight forest structure measures across six western U.S. states (Colorado, Wyoming, Idaho, Oregon, Washington, and Montana); 2) evaluate the suitability of GEDI as a reference data source and assess any spatiotemporal biases of GEDI-fusion maps using samples of airborne lidar data; and 3) examine differences in GEDI-fusion products for inclusion within wildlife habitat models for three keystone woodpecker species with varying forest structure needs. We focused on two fusion models, one that combined Landsat, Sentinel-1 Synthetic Aperture Radar, disturbance, topographic, and bioclimatic predictor information (combined model), and one that was restricted to Landsat, topographic, and bioclimatic predictors (Landsat/topo/bio model). Model performance varied across the eight GEDI structure measures although all representing moderate to high predictive performance (model testing R2 values ranging from 0.36 to 0.76). Results were similar between fusion models, as well as for map validations for years of model creation (2019–2020) and hindcasted years (2016–2018). Within our wildlife case studies, modeling encounter rates of the three woodpecker species using GEDI-fusion inputs yielded AUC values ranging from 0.76–0.87 with observed relationships that followed our ecological understanding of the species. While our results show promise for the use of remote sensing data fusions for scaling up GEDI structure metrics of value for habitat modeling and other applications across broad continuous extents, further assessments are needed to test their performance within habitat modeling for additional species of conservation interest as well as biodiversity assessments

    Nothing but the truth: Consistency and efficiency of the list experiment method for the measurement of sensitive health behaviours

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    Rationale: Social desirability bias, which is the tendency to under-report socially, undesirable health behaviours, significantly distorts information on sensitive behaviours, gained from self-reports and prevents accurate estimation of the prevalence of those, behaviours. We contribute to a growing body of literature that seeks to assess the performance of the list experiment method to improve estimation of these sensitive health behaviours. Method: We use a double-list experiment design in which respondents serve as the treatment group for one list and as the control group for the other list to estimate the prevalence of two sensitive health behaviours in different settings: condom use among 500 female sex workers in urban Senegal and physical intimate partner violence among 1700 partnered women in rural Burkina Faso. First, to assess whether the list experiment improves the accuracy of estimations of the prevalence of sensitive behaviours, we compare the prevalence rates estimated from self-reports with those elicited through the list experiment. Second, we test whether the prevalence rates of the sensitive behaviours obtained using the double-list design are similar, and we estimate the reduction in the standard errors obtained with this design. Finally, we compare the results obtained through another indirect elicitation method, the polling vote method. Results: We show that the list experiment method reduces misreporting by 17 percentage points for condom use and 16–20 percentage points for intimate partner violence. Exploiting the double-list experiment design, we also demonstrate that the prevalence estimates obtained through the use of the two lists are identical in the full sample and across sub-groups and that the double-list design reduces the standard errors by approximately 40% compared to the standard errors in the simple list design. Finally, we show that the list experiment method leads to a higher estimation of the prevalence of sensitive behaviours than the polling vote method. Conclusion: The study suggests that list experiments are an effective method to improve estimation of the prevalence of sensitive health behaviours

    Splenic peliosis with spontaneous splenic rupture: report of two cases

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    BACKGROUND: Peliosis is a rare condition characterised by multiple cyst-like, blood-filled cavities within the parenchyma of solid organs. Most commonly affecting the liver, isolated splenic peliosis is an even more unique phenomenon. Patients with the condition are often asymptomatic. However, this potentially lethal condition can present with spontaneous organ rupture. We present two such cases, discuss their management and review what is currently known in the existing literature. CASE PRESENTATION: A previously well twenty-six year old woman presented with abdominal pain following a trivial episode of coughing. A diagnosis of spontaneous splenic rupture was made following clinical and radiological examination. She underwent emergency splenectomy and made a full, uneventful recovery. Histopathological examination confirmed splenic peliosis. The second case describes an eighty six year old lady who sustained a trivial fall and developed pain in her left side. A CT confirmed splenic rupture. She became haemodynamically unstable during her admission and underwent emergency splenectomy. Histopathological examination revealed splenic peliosis. She went on to make an uneventful recovery. CONCLUSION: Splenic peliosis is very rare. It has a number of associations including immunosuppression, drug therapy and infection. Although patients are often asymptomatic, life-threatening spontaneous organ rupture may occur. If the diagnosis of peliosis is confirmed, additional investigations should be considered to detect its presence in other organs. Furthermore, the presence of the condition may be relevant if further medical or surgical intervention is planned
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