286 research outputs found
Does rearing laying hens in aviaries adversely affect long-term welfare following transfer to furnished cages?
This study tests the hypothesis that hens that are reared in aviaries but produce in furnished cages experience poorer welfare in production than hens reared in caged systems. This hypothesis is based on the suggestion that the spatial restriction associated with the transfer from aviaries to cages results in frustration or stress for the aviary reared birds. To assess the difference in welfare between aviary and cage reared hens in production, non-beak trimmed white leghorn birds from both rearing backgrounds were filmed at a commercial farm that used furnished cage housing. The videos were taken at 19 and 21 weeks of age, following the birds' transition to the production environment at 16 weeks. Videos were analysed in terms of the performance of aversion-related behaviour in undisturbed birds, comfort behaviour in undisturbed birds, and alert behaviour directed to a novel object in the home cage. A decrease in the performance of the former behaviour and increase in the performance of the latter two behaviours indicates improved welfare. The results showed that aviary reared birds performed more alert behaviour near to the object than did cage reared birds at 19 but not at 21 weeks of age (Pâ=â0.03). Blood glucose concentrations did not differ between the treatments (P>0.10). There was a significant difference in mortality between treatments (Pâ=â0.000), with more death in aviary reared birds (5.52%) compared to cage birds (2.48%). The higher mortality of aviary-reared birds indicates a negative effect of aviary rearing on bird welfare, whereas the higher duration of alert behavior suggests a positive effect of aviary rearing
Considering the role of cognitive control in expert performance
© 2014, Springer Science+Business Media Dordrecht. Dreyfus and Dreyfusâ (1986) influential phenomenological analysis of skill acquisition proposes that expert performance is guided by non-cognitive responses which are fast, effortless and apparently intuitive in nature. Although this model has been criticised (e.g., by Breivik Journal of Philosophy of Sport, 34, 116â134 2007, Journal of the Philosophy of Sport, 40, 85â106 2013; Eriksen 2010; Montero Inquiry:An interdisciplinary Journal of Philosophy, 53, 105â122 2010; Montero and Evans 2011) for over-emphasising the role that intuition plays in facilitating skilled performance, it does recognise that on occasions (e.g., when performance goes awry for some reason) a form of âdetached deliberative rationalityâ may be used by experts to improve their performance. However, Dreyfus and Dreyfus (1986) see no role for calculative problem solving or deliberation (i.e., drawing on rules or mental representations) when performance is going well. In the current paper, we draw on empirical evidence, insights from athletes, and phenomenological description to argue that âcontinuous improvementâ (i.e., the phenomenon whereby certain skilled performers appear to be capable of increasing their proficiency even though they are already experts; Toner and Moran 2014) among experts is mediated by cognitive (or executive) control in three distinct sporting situations (i.e., in training, during pre-performance routines, and while engaged in on-line skill execution). We conclude by arguing that Sutton et al. Journal of the British Society for Phenomenology, 42, 78â103 (2011) âapplying intelligence to the reflexesâ (AIR) approach may help to elucidate the process by which expert performers achieve continuous improvement through analytical/mindful behaviour during training and competition
Effects of an attention demanding task on dynamic stability during treadmill walking
<p>Abstract</p> <p>Background</p> <p>People exhibit increased difficulty balancing when they perform secondary attention-distracting tasks while walking. However, a previous study by Grabiner and Troy (<it>J. Neuroengineering Rehabil</it>., 2005) found that young healthy subjects performing a concurrent Stroop task while walking on a motorized treadmill exhibited <it>decreased </it>step width variability. However, measures of variability do not directly quantify how a system responds to perturbations. This study re-analyzed data from Grabiner and Troy 2005 to determine if performing the concurrent Stroop task directly affected the dynamic stability of walking in these same subjects.</p> <p>Methods</p> <p>Thirteen healthy volunteers walked on a motorized treadmill at their self-selected constant speed for 10 minutes both while performing the Stroop test and during undisturbed walking. This Stroop test consisted of projecting images of the name of one color, printed in text of a different color, onto a wall and asking subjects to verbally identify the color of the text. Three-dimensional motions of a marker attached to the base of the neck (C5/T1) were recorded. Marker velocities were calculated over 3 equal intervals of 200 sec each in each direction. Mean variability was calculated for each time series as the average standard deviation across all strides. Both "local" and "orbital" dynamic stability were quantified for each time series using previously established methods. These measures directly quantify how quickly small perturbations grow or decay, either continuously in real time (local) or discretely from one cycle to the next (orbital). Differences between Stroop and Control trials were evaluated using a 2-factor repeated measures ANOVA.</p> <p>Results</p> <p>Mean variability of trunk movements was significantly reduced during the Stroop tests compared to normal walking. Conversely, local and orbital stability results were mixed: some measures showed slight increases, while others showed slight decreases. In many cases, different subjects responded differently to the Stroop test. While some of our comparisons reached statistical significance, many did not. In general, measures of variability and dynamic stability reflected different properties of walking dynamics, consistent with previous findings.</p> <p>Conclusion</p> <p>These findings demonstrate that the decreased movement variability associated with the Stroop task did <it>not </it>translate to greater dynamic stability.</p
ĐŃĐŸĐ±Đ»ĐžĐČĐŸŃŃŃ ŃĐŸŃĐŒŃĐČĐ°ĐœĐœŃ ŃĐ°ĐŒĐŸŃŃŃĐčĐœĐŸŃ ĐżŃĐ·ĐœĐ°ĐČĐ°Đ»ŃĐœĐŸŃ ĐŽŃŃĐ»ŃĐœĐŸŃŃŃ ĐŒĐ°ĐčбŃŃĐœŃŃ ŃŃĐžŃДлŃĐČ ĐŒĐ°ŃĐ”ĐŒĐ°ŃĐžĐșĐž
(uk) ĐŁ ŃŃĐ°ŃŃŃ Đ·ŃĐŸĐ±Đ»Đ”ĐœĐŸ ŃĐżŃĐŸĐ±Ń ŃĐŸĐ·ĐșŃĐžŃĐž ĐŸŃĐŸĐ±Đ»ĐžĐČĐŸŃŃŃ ŃĐ°ĐŒĐŸŃŃŃĐčĐœĐŸŃ ĐżŃĐ·ĐœĐ°ĐČĐ°Đ»ŃĐœĐŸŃ ĐŽŃŃĐ»ŃĐœĐŸŃŃŃ ĐŒĐ°ĐčбŃŃĐœŃŃ
ĐČŃĐžŃДлŃĐČ; ĐŽĐŸŃĐ»ŃЎжŃŃŃŃŃŃ ŃŃĐ·ĐœŃ ĐżŃĐŽŃ
ĐŸĐŽĐž ĐŽĐŸ ŃŃĐŸĐłĐŸ ĐżĐŸĐœŃŃŃŃ; ŃĐŸĐ·ĐșŃĐžĐČĐ°ŃŃŃŃŃ ŃĐ°ĐșŃ ĐčĐŸĐłĐŸ ŃĐșĐ»Đ°ĐŽĐŸĐČŃ, ŃĐș ŃĐ°ĐŒĐŸŃŃŃĐčĐœŃŃŃŃ, ĐżŃĐ·ĐœĐ°ĐČĐ°Đ»ŃĐœĐ° ŃĐ°ĐŒĐŸŃŃŃĐčĐœŃŃŃŃ, ĐżŃĐ·ĐœĐ°ĐČĐ°Đ»ŃĐœĐ° ĐŽŃŃĐ»ŃĐœŃŃŃŃ.(ru) Đ ŃŃĐ°ŃŃĐ” ŃĐŽĐ”Đ»Đ°ĐœĐ° ĐżĐŸĐżŃŃĐșĐ° ŃĐ°ŃĐșŃŃŃŃ ĐŸŃĐŸĐ±Đ”ĐœĐœĐŸŃŃĐž ŃĐ°ĐŒĐŸŃŃĐŸŃŃДлŃĐœĐŸĐč ĐżĐŸĐ·ĐœĐ°ĐČĐ°ŃДлŃĐœĐŸĐč ĐŽĐ”ŃŃДлŃĐœĐŸŃŃĐž бŃĐŽŃŃĐžŃ
ŃŃĐžŃДлДĐč; ĐžŃŃлДЎŃŃŃŃŃ ŃазлОŃĐœŃĐ” ĐżĐŸĐŽŃ
ĐŸĐŽŃ Đș ŃŃĐŸĐŒŃ ĐżĐŸĐœŃŃĐžŃ; ŃĐ°ŃĐșŃŃĐČĐ°ŃŃŃŃ ŃĐ°ĐșОД Đ”ĐłĐŸ ŃĐŸŃŃĐ°ĐČĐ»ŃŃŃОД, ĐșĐ°Đș ŃĐ°ĐŒĐŸŃŃĐŸŃŃДлŃĐœĐŸŃŃŃ, ĐżĐŸĐ·ĐœĐ°ĐČĐ°ŃДлŃĐœĐ°Ń ŃĐ°ĐŒĐŸŃŃĐŸŃŃДлŃĐœĐŸŃŃŃ, ĐżĐŸĐ·ĐœĐ°ĐČĐ°ŃДлŃĐœĐ°Ń ĐŽĐ”ŃŃДлŃĐœĐŸŃŃŃ
Age-dependent parathormone levels and different CKD-MBD treatment practices of dialysis patients in Hungary - results from a nationwide clinical audit
BACKGROUND: Achieving target levels of laboratory parameters of
bone and mineral metabolism in chronic kidney disease (CKD)
patients is important but also difficult in those living with
end-stage kidney disease. This study aimed to determine if there
are age-related differences in chronic kidney disease-mineral
and bone disorder (CKD-MBD) characteristics, including treatment
practice in Hungarian dialysis patients. METHODS: Data were
collected retrospectively from a large cohort of dialysis
patients in Hungary. Patients on hemodialysis and peritoneal
dialysis were also included. The enrolled patients were
allocated into two groups based on their age (=65
years). Characteristics of the age groups and differences in
disease-related (epidemiology, laboratory, and treatment
practice) parameters between the groups were analyzed. RESULTS:
A total of 5008 patients were included in the analysis and the
mean age was 63.4+/-14.2 years. A total of 47.2% of patients
were women, 32.8% had diabetes, and 11.4% were on peritoneal
dialysis. Diabetes (37.9% vs 27.3%), bone disease (42.9% vs
34.1%), and soft tissue calcification (56.3% vs 44.7%) were more
prevalent in the older group than the younger group (p<0.001 for
all). We found an inverse relationship between age and
parathyroid hormone (PTH) levels (p<0.001). Serum PTH levels
were lower in patients with diabetes compared with those without
diabetes below 80 years (p<0.001). Diabetes and age were
independently associated with serum PTH levels (interaction:
diabetes x age groups, p=0.138). Older patients were more likely
than younger patients to achieve laboratory target ranges for
each parameter (Ca: 66.9% vs 62.1%, p<0.001; PO4: 52.6% vs
49.2%, p<0.05; and PTH: 50.6% vs 46.6%, p<0.01), and for
combined parameters (19.8% vs 15.8%, p<0.001). Older patients
were less likely to receive related medication than younger
patients (66.9% vs 79.7%, p<0.001). CONCLUSIONS: The achievement
of laboratory target ranges for bone and mineral metabolism and
clinical practice in CKD depends on the age of the patients. A
greater proportion of older patients met target criteria and
received less medication compared with younger patients
Transcript profiling of candidate genes in testis of pigs exhibiting large differences in androstenone levels
<p>Abstract</p> <p>Background</p> <p>Boar taint is an unpleasant odor and flavor of the meat and occurs in a high proportion of uncastrated male pigs. Androstenone, a steroid produced in testis and acting as a sex pheromone regulating reproductive function in female pigs, is one of the main compounds responsible for boar taint. The primary goal of the present investigation was to determine the differential gene expression of selected candidate genes related to levels of androstenone in pigs.</p> <p>Results</p> <p>Altogether 2560 boars from the Norwegian Landrace and Duroc populations were included in this study. Testicle samples from the 192 boars with most extreme high or low levels of androstenone in fat were used for RNA extraction, and 15 candidate genes were selected and analyzed by real-competitive PCR analysis. The genes Cytochrome P450 c17 (<it>CYP17A1</it>), Steroidogenic acute regulatory protein (<it>STAR</it>), Aldo-keto reductase family 1 member C4 (<it>AKR1C4</it>), Short-chain dehydrogenase/reductase family member 4 (<it>DHRS4</it>), Ferritin light polypeptide (<it>FTL</it>), Sulfotransferase family 2A, dehydroepiandrosterone-preferring member 1 (<it>SULT2A1</it>), Cytochrome P450 subfamily XIA polypeptide 1 (<it>CYP11A1</it>), Cytochrome b5 (<it>CYB5A</it>), and 17-beta-Hydroxysteroid dehydrogenase IV (<it>HSD17B4</it>) were all found to be significantly (P < 0.05) up-regulated in high androstenone boars in both Duroc and Landrace. Furthermore, Cytochrome P450 c19A2 (<it>CYP19A2</it>) was down-regulated and progesterone receptor membrane component 1 (<it>PGRMC1</it>) was up-regulated in high-androstenone Duroc boars only, while <it>CYP21 </it>was significantly down-regulated (2.5) in high-androstenone Landrace only. The genes Nuclear Receptor co-activator 4 (<it>NCOA4</it>), Sphingomyrlin phosphodiesterase 1 (<it>SMPD1</it>) and 3ÎČ-hydroxysteroid dehydrogenase (<it>HSD3B</it>) were not significantly differentially expressed in any breeds. Additionally, association studies were performed for the genes with one or more detected SNPs. Association between SNP and androstenone level was observed in <it>CYB5A </it>only, suggesting cis-regulation of the differential transcription in this gene.</p> <p>Conclusion</p> <p>A large pig material of highly extreme androstenone levels is investigated. The current study contributes to the knowledge about which genes that is differentially expressed regard to the levels of androstenone in pigs. Results in this paper suggest that several genes are important in the regulation of androstenone level in boars and warrant further evaluation of the above mentioned candidate genes, including analyses in different breeds, identification of causal mutations and possible gene interactions.</p
"Brace technology" thematic series - the Gensingen braceâą in the treatment of scoliosis
<p>Abstract</p> <p>Background</p> <p>Bracing concepts in use today for the treatment of scoliosis include symmetric and asymmetric hard braces usually made of polyethylene (PE) and soft braces. A new asymmetric ChĂȘneau style CAD/CAM derivate has been designed to overcome problems the author experienced with other ChĂȘneau CAD/CAM systems over the recent years.</p> <p>Brace description</p> <p>This CAD/CAM ChĂȘneau derivate has been called Gensingen braceâą, a brace available to address all possible curve patterns. Once the patients' trunk is scanned with the help of a whole trunk optical 3D-scan and the patients' data from the clinical measurements are recorded, a model of the brace can be created by (1) modifying the trunk model of the patient 'on screen' to achieve a very individual brace model using the CAD/CAM tools provided or by (2) choosing a brace model from our library and re-size it to the patients' properties 'on screen'.</p> <p>Results</p> <p>End-result studies have been published on the ChĂȘneau brace as early as 1985. Cohort studies on the ChĂȘneau brace are available as is a prospective controlled study respecting the SRS criteria for bracing studies, demonstrating beneficial outcomes, when compared to the controls using a soft brace. Sufficient in-brace correction effects have been demonstrated to be achievable when the ChĂȘneau principles of correction are used appropriately. As there is a positive correlation between in-brace correction and the final outcome, the ChĂȘneau concept of bracing with sufficient in-brace corrections as published can be regarded as being efficient when applied well. Case reports with high in-brace corrections, as shown within this paper using the Gensingen braceâą promise beneficial outcomes when a good compliance can be achieved.</p> <p>Conclusions</p> <p>The use of the Gensingen braceâą leads to sufficient in-brace corrections, when compared to the correction effects achieved with other braces, as described in literature.</p> <p>According to the patients' reports, the Gensingen braceâą is comfortable to wear, when adjusted properly.</p> <p>Further studies are necessary (1) in order to evaluate brace comfort and (2) effectiveness using the SRS inclusion criteria.</p
Gait stability and variability measures show effects of impaired cognition and dual tasking in frail people
<p>Abstract</p> <p>Background</p> <p>Falls in frail elderly are a common problem with a rising incidence. Gait and postural instability are major risk factors for falling, particularly in geriatric patients. As walking requires attention, cognitive impairments are likely to contribute to an increased fall risk. An objective quantification of gait and balance ability is required to identify persons with a high tendency to fall. Recent studies have shown that stride variability is increased in elderly and under dual task condition and might be more sensitive to detect fall risk than walking speed. In the present study we complemented stride related measures with measures that quantify trunk movement patterns as indicators of dynamic balance ability during walking. The aim of the study was to quantify the effect of impaired cognition and dual tasking on gait variability and stability in geriatric patients.</p> <p>Methods</p> <p>Thirteen elderly with dementia (mean age: 82.6 ± 4.3 years) and thirteen without dementia (79.4 ± 5.55) recruited from a geriatric day clinic, walked at self-selected speed with and without performing a verbal dual task. The Mini Mental State Examination and the Seven Minute Screen were administered. Trunk accelerations were measured with an accelerometer. In addition to walking speed, mean, and variability of stride times, gait stability was quantified using stochastic dynamical measures, namely regularity (sample entropy, long range correlations) and local stability exponents of trunk accelerations.</p> <p>Results</p> <p>Dual tasking significantly (p < 0.05) decreased walking speed, while stride time variability increased, and stability and regularity of lateral trunk accelerations decreased. Cognitively impaired elderly showed significantly (p < 0.05) more changes in gait variability than cognitive intact elderly. Differences in dynamic parameters between groups were more discerned under dual task conditions.</p> <p>Conclusions</p> <p>The observed trunk adaptations were a consistent instability factor. These results support the concept that changes in cognitive functions contribute to changes in the variability and stability of the gait pattern. Walking under dual task conditions and quantifying gait using dynamical parameters can improve detecting walking disorders and might help to identify those elderly who are able to adapt walking ability and those who are not and thus are at greater risk for falling.</p
Disparities in Healthcare Utilisation Rates for Aboriginal and Non-Aboriginal Albertan Residents, 1997-2006: A Population Database Study
Background: It is widely recognised that significant discrepancies exist between the health of indigenous and nonindigenous
populations. Whilst the reasons are incompletely defined, one potential cause is that indigenous communities
do not access healthcare to the same extent. We investigated healthcare utilisation rates in the Canadian Aboriginal
population to elucidate the contribution of this fundamental social determinant for health to such disparities.
Methods: Healthcare utilisation data over a nine-year period were analysed for a cohort of nearly two million individuals to
determine the rates at which Aboriginal and non-Aboriginal populations utilised two specialties (Cardiology and
Ophthalmology) in Alberta, Canada. Unadjusted and adjusted healthcare utilisation rates obtained by mixed linear and
Poisson regressions, respectively, were compared amongst three population groups - federally registered Aboriginals,
individuals receiving welfare, and other Albertans.
Results: Healthcare utilisation rates for Aboriginals were substantially lower than those of non-Aboriginals and welfare
recipients at each time point and subspecialty studied [e.g. During 2005/06, unadjusted Cardiology utilisation rates were
0.28% (Aboriginal, n = 97,080), 0.93% (non-Aboriginal, n = 1,720,041) and 1.37% (Welfare, n = 52,514), p = ,0.001]. The age
distribution of the Aboriginal population was markedly different [2.7%$65 years of age, non-Aboriginal 10.7%], and
comparable utilisation rates were obtained after adjustment for fiscal year and estimated life expectancy [Cardiology:
Incidence Rate Ratio 0.66, Ophthalmology: IRR 0.85].
Discussion: The analysis revealed that Aboriginal people utilised subspecialty healthcare at a consistently lower rate than
either comparatively economically disadvantaged groups or the general population. Notably, the differences were relatively
invariant between the major provincial centres and over a nine year period. Addressing the causes of these discrepancies is
essential for reducing marked health disparities, and so improving the health of Aboriginal people
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