154 research outputs found
Eating increases oxidative damage in a reptile
While eating has substantial benefits in terms of both nutrient and energy acquisition, there are physiological costs associated with digesting and metabolizing a meal. Frequently, these costs have been documented in the context of energy expenditure while other physiological costs have been relatively unexplored. Here, we tested whether the seemingly innocuous act of eating affects either systemic pro-oxidant (reactive oxygen metabolite, ROM) levels or antioxidant capacity of corn snakes (Pantherophis guttatus) by collecting plasma during absorptive (peak increase in metabolic rate due to digestion of a meal) and non-absorptive (baseline) states. When individuals were digesting a meal, there was a minimal increase in antioxidant capacity relative to baseline (4%), but a substantial increase in ROMs (nearly 155%), even when controlling for circulating nutrient levels. We report an oxidative cost of eating that is much greater than that due to long distance flight or mounting an immune response in other taxa. This result demonstrates the importance of investigating non-energetic costs associated with meal processing, and it begs future work to identify the mechanism(s) driving this increase in ROM levels. Because energetic costs associated with eating are taxonomically widespread, identifying the taxonomic breadth of eating-induced ROM increases may provide insights into the interplay between oxidative damage and life history theory
Footpaths: pedogenic and geomorphological long-term effects of human trampling
Footpaths are of the oldest and most widely distributed forms of human imprint on the landscape. These elongated features are the result of continuous usage of a certain route for walking, at time scales ranging from days to centuries or millennia. In this qualitative investigation, we take a holistic approach combining micromorphology (including voids analysis), chemical soil parameters (such as selective iron oxide dissolution), and remote sensing (spatial distribution and orientation of footpaths in the landscape) to evaluate the long-term residues and environmental effects resulting from the formation of footpaths. Our diverse case studies incorporate footpaths used for recreational and transport purposes in temperate and sub-humid climates from both recent and historical perspectives. A reduction of the large pores was observed down to 3Â cm below current and historical surfaces compared to control areas without footpaths. The lower porosity subsequently hinders of the supply of oxygen and/or water into the sub-surface and encourages water stagnation on the compacted footpath surface. These processes result in higher amounts of pedogenic Fe oxides and, at times, macro-organic residues under footpaths and hindering of soil formation. As an additional result of compaction, surface runoff is promoted. The latter may either trigger the initiation of gullies directly downslope from footpaths or lead to incision of the footpaths themselves. Incised footpaths are more likely to occur when the footpath is oriented parallel to the stream network. Once an incised footpath is formed, it may reduce gully erosion susceptibility downslope as the incised footpath acts as a channel that decreases a footpathâs âoverbankâ flow. With a better understanding of footpaths as landscape units we can (1) pose archaeological questions related to human environmental interaction, (2) assess carbon storage potential under footpaths and (3) use incised footpaths as possible measures against gully erosion
A targeted drilling and dating campaign to identify Stone Age archaeological sites before excavation in west coast southern Africa
Here we present the results of a targeted drilling campaign that facilitated a geochronological study with coarse
sampling resolution inside a new cave site, Simons Cave, on the west coast of southern Africa. A combination of
radiocarbon (14C) dating and optically stimulated luminescence (OSL) dating was used as a range-finder. Results
confirmed preservation of Holocene and late Pleistocene sediments up to 133 ± 35 ka, overlapping with the ages
of Middle Stone Age (MSA) occupations of the broader west coast region. A subsequent, systematic test-
excavation at the site then embarked on a second geochronological study with a higher sampling resolution.
Ultimately, the comparative study confirmed the potential of Simons Cave as a new site for the exploration of
hominin occupation through the later Pleistocene and Holocene, yet raised several issues concerning the direct
comparability of information deriving from drilled sediment cores and actual archaeological excavation
Ancient mammalian and plant DNA from Late Quaternary stalagmite layers at Solkota Cave, Georgia
Metagenomic analysis is a highly promising technique in paleogenetic research that allows analysis of the complete genomic make-up of a sample. This technique has successfully been employed to archaeological sediments, but possible leaching of DNA through the sequence limits interpretation. We applied this technique to the analysis of ancient DNA (aDNA) from Late Quaternary stalagmites from two caves in Western Georgia, Melouri Cave and Solkota. Stalagmites form closed systems, limiting the effect of leaching, and can be securely dated with U-series. The analyses of the sequence data from the Melouri Cave stalagmite revealed potential contamination and low preservation of DNA. However, the two Solkota stalagmites preserved ancient DNA molecules of mammals (bear, roe deer, bats) and plants (chestnut, hazelnut, flax). The aDNA bearing layers from one of the two Solkota stalagmites were dated to between ~84âka and ~56âka BP by U-series. The second Solkota stalagmite contained excessive detrital clay obstructing U-series dating, but it also contained bear bones with a minimum age of ~50 BP uncalibrated years and ancient DNA molecules. The preservation of authentic ancient DNA molecules in Late Quaternary speleothems opens up a new paleogenetic archive for archaeological, paleontological and paleoenvironmental research
Stress field and active faults in the orogenic front of the Andes in the MalargĂŒe fold-and-thrust belt (35°â36°S)
We integrate field and wellbore data to discuss the stress field in the frontal sector of the MalargĂŒe fold-and-thrust belt (Andes of Argentina). Surface observations indicate N-S thrusts and NW to WNW and ESE strike-slip faults are active in the study area. Inversion of fault kinematic indicators, combined with borehole breakout data and a mini-frac test within the study area, constrain the Quaternary to recent stress state, which is characterized by a subhorizontal, E-W oriented maximum stress, and by intermediate and minimum stresses with similar magnitudes that are locally interchanged, producing a setting in which reverse and strike-slip faults are alternatively active. The implications of the recognized structures for earthquake hazard are examined.Fil: Mescua, Jose Francisco. Consejo Nacional de Investigaciones CientĂficas y TĂ©cnicas. Centro CientĂfico TecnolĂłgico Conicet - Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Provincia de Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Universidad Nacional de Cuyo. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales; ArgentinaFil: Barrionuevo, MatĂas. Consejo Nacional de Investigaciones CientĂficas y TĂ©cnicas. Centro CientĂfico TecnolĂłgico Conicet - Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Provincia de Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Universidad Nacional de Cuyo. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales; ArgentinaFil: Giambiagi, Laura Beatriz. Consejo Nacional de Investigaciones CientĂficas y TĂ©cnicas. Centro CientĂfico TecnolĂłgico Conicet - Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Provincia de Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Universidad Nacional de Cuyo. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales; ArgentinaFil: Suriano, Julieta. Consejo Nacional de Investigaciones CientĂficas y TĂ©cnicas. Centro CientĂfico TecnolĂłgico Conicet - Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Provincia de Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Universidad Nacional de Cuyo. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales; ArgentinaFil: Spagnotto, Silvana Liz. Universidad Nacional de San Luis. Facultad de Ciencias FĂsico MatemĂĄticas y Naturales. Departamento de FĂsica; Argentina. Consejo Nacional de Investigaciones CientĂficas y TĂ©cnicas; ArgentinaFil: Stahlschmidt, E.. El TrĂ©bol S.a.; ArgentinaFil: de la Cal, H.. Roch S.a.; ArgentinaFil: Soto, J. L.. Roch S.a.; ArgentinaFil: Mazzitelli, Manuela Amelia. Consejo Nacional de Investigaciones CientĂficas y TĂ©cnicas. Centro CientĂfico TecnolĂłgico Conicet - Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Provincia de Mendoza. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales. Universidad Nacional de Cuyo. Instituto Argentino de NivologĂa, GlaciologĂa y Ciencias Ambientales; Argentin
A ten-year study of Retinoblastoma in Uganda: An approach to improving outcome with limited resources
Background Survival of children with cancer in resource-limited regions is very poor compared to better-resourced regions. Retinoblastoma (RB) is a childhood cancer that is commonly reported in many regions of Africa. RB may be safely and effectively treated by non-specialists, which could facilitate more widespread availability of treatment in under-resourced areas. Methods A ten-year consecutive series of children with RB treated at Ruharo Eye Centre between December 2009 and November 2019 was prospectively followed up. Chemoreduction followed by surgery is the standard approach to therapy. Costs of therapy and also of travel and food are borne by the program which is unaffordable to most families and necessitates donors. Survival by stage of RB and number of eyes affected was described using Kaplan-Meier plots. Visual acuity was assessed for all children with bilateral disease and the retention of sight during follow-up assessed. Results Among 665 children with RB, 18.2 % (121 children) presented with metastatic (Stage 4) RB with only two of these children surviving >24 months. Five-year survival was 60.2 % among all children with RB rising to 93.3 % and 87.2 % for children with unilateral and bilateral Stage 1 disease, respectively. Among 184 children with bilateral disease, 130 (70.7 %) retained some level of sight following primary treatment with 91 of those (49.5 % of all bilateral children) retaining vision up to their death or to the end of follow-up. Conclusion Many children in Uganda present with advanced RB and curative treatment is not possible in this setting. Children diagnosed and treated early have good prospects of survival. Retention of sight among many bilaterally affected children is achievable, facilitating access to normal education. Therefore, the strategic priorities for improving survival are changing community perceptions so that children with eye problems are brought without delay, and widening access to modern treatment by using genereal health workers with standard drugs, backed by financial, social and peer support
Three-dimensional digital reconstruction of human placental villus architecture in normal and complicated pregnancies.
Objective: This study aimed to examine the use of digital technology in the three-dimensional reconstruction of human placentas. Study design: Placentas obtained at term elective caesarean section were sampled, formalin-fixed and embedded in paraffin. Two hundred 5 mm consecutive sections were cut from each specimen and the resultant slides stained with haematoxylin and eosin. Slides were then scanned and the digitised images reconstructed using customised software. Results: Three-dimensional reconstructions were successfully achieved in placentas from normal pregnancies and those complicated by pre-eclampsia, growth restriction, and gestational diabetes. Marked morphological differences were readily identifiable, most clearly in the stem villus architecture. Conclusion: This method is an emerging research tool for examining placental histoarchitecture at high resolution and gaining clinically relevant insight into the placental pathology allied to pregnancy complications such as PET, IUGR and GD
Microstratigraphic preservation of ancient faunal and hominin DNA in Pleistocene cave sediments
Ancient DNA recovered from Pleistocene sediments represents a rich resource for the study of past hominin and environmental diversity. However, little is known about how DNA is preserved in sediments and the extent to which it may be translocated between archaeological strata. Here, we investigate DNA preservation in 47 blocks of resin-impregnated archaeological sediment collected over the last four decades for micromorphological analyses at 13 prehistoric sites in Europe, Asia, Africa, and North America and show that such blocks can preserve DNA of hominins and other mammals. Extensive microsampling of sediment blocks from Denisova Cave in the Altai Mountains reveals that the taxonomic composition of mammalian DNA differs drastically at the millimeter-scale and that DNA is concentrated in small particles, especially in fragments of bone and feces (coprolites), suggesting that these are substantial sources of DNA in sediments. Three microsamples taken in close proximity in one of the blocks yielded Neanderthal DNA from at least two male individuals closely related to Denisova 5, a Neanderthal toe bone previously recovered from the same layer. Our work indicates that DNA can remain stably localized in sediments over time and provides a means of linking genetic information to the archaeological and ecological records on a microstratigraphic scale
Prevalence of potential drug-drug interactions in the intensive care unit of a Brazilian teaching hospital
Abstract Patients in intensive care unit are prescribed large numbers of drugs, highlighting the need to study potential Drug-Drug Interactions in this environment. The aim of this study was to delineate the prevalence and risk of potential drug-drug interactions between medications administered to patients in an ICU. This cross-sectional observational study was conducted during 12 months, in an adult ICU of a teaching hospital. Inclusion criteria were: prescriptions with 2 or more drugs of patients admitted to the ICU for > 24 hours and age of â„18 years. Potential Drug-Drug Interactions were quantified and classified through MicromedexTM database. The 369 prescriptions included in this study had 205 different drugs, with an average of 13.04 ± 4.26 (mean ± standard deviation) drugs per prescription. Potential Drug-Drug Interactions were identified in 89% of these, with an average of 5.00 ± 5.06 interactions per prescription. Of the 405 different pairs of potentially interacting drugs identified, moderate and major interactions were present in 74% and 67% of prescriptions, respectively. The most prevalent interaction was between dipyrone and enoxaparin (35.8%), though its clinical occurrence was not observed in this study. The number of potential Drug-Drug Interactions showed significant positive correlations with the length of stay in the intensive care unit, and with the number of prescribed drugs. Acknowledging the high potential for Drug-Drug Interactions in the ICU represents an important step toward improving patient safety and best therapy results
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