963 research outputs found
Pathophysiology of Himalayan endemic goiter
Goiter prevalence and iodine metabolism were studied in areas of endemic goiter in the Himalayas in India and Nepal. Similar studies were also made in Ceylon. The results are compatible with the hypothesis that severe environmental deficiency of iodide is the primary factor responsible for endemic goiter in these areas. The endemicity was less severe in Ceylon than in India and Nepal. The thyroid glands of persons living in endemic areas show an interesting adaptive response to maintain internal homeostasis in the face of severe iodine deficiency. The mechanism of this adaptation was studied in thyroids of goats raised in endemic and nonendemic areas. Thyroids of goats living in an area of severe iodine deficiency showed higher MIT/DIT and T3/T4 ratios than glands of those in an area of iodine abundance. There was a higher incorporation of 131I in 27S iodoproteins in the iodide-deficient glands. A decrease in iodine concentration of the thyroid and an increase in circulating TSH levels are possibly involved in mediating this response but of the two, the former mechanism seems more likely than the latter
Molecular markers for discriminating Streptococcus pyogenes and S. dysgalactiae subspecies equisimilis
Given the increasing aetiological importance of Streptococcus dysgalactiae subspecies equisimilis in diseases which are primarily attributed to S. pyogenes, molecular markers are essential to distinguish these species and delineate their epidemiology more precisely. Many clinical microbiology laboratories rely on agglutination reactivity and biochemical tests to distinguish them. These methods have limitations which are particularly exacerbated when isolates with mixed properties are encountered. In order to provide additional distinguishing parameters that could be used to unequivocally discriminate these two common pathogens, we assess here three molecular targets: the speB gene, intergenic region upstream of the scpG gene (IRSG) and virPCR. Of these, the former two respectively gave positive and negative results for S. pyogenes, and negative and positive results for S. dysgalactiae subsp. equisimilis. Thus, a concerted use of these nucleic acid-based methods is particularly helpful in epidemiological surveillance to accurately assess the relative contribution of these species to streptococcal infections and diseases
Magnetic control of large room-temperature polarization
Numerous authors have referred to room-temperature magnetic switching of
large electric polarizations as The Holy Grail of magnetoelectricity.We report
this long-sought effect using a new physical process of coupling between
magnetic and ferroelectric relaxor nano-regions. Here we report magnetic
switching between the normal ferroelectric state and the ferroelectric relaxor
state. This gives both a new room-temperature, single-phase, multiferroic
magnetoelectric, PbZr0.46Ti0.34Fe0.13W0.07O3, with polarization, loss (<4%),
and resistivity (typically 108 -109 ohm.cm) equal to or superior to BiFeO3, and
also a new and very large magnetoelectric effect: switching not from +Pr to
negative Pr with applied H, but from Pr to zero with applied H of less than a
Tesla. This switching of the polarization occurs not because of a conventional
magnetically induced phase transition, but because of dynamic effects:
Increasing H lengthens the relaxation time by x500 from 100 ?s, and
it couples strongly the polarization relaxation and spin relaxations. The
diverging polarization relaxation time accurately fits a modified Vogel-Fulcher
Equation in which the freezing temperature Tf is replaced by a critical
freezing field Hf that is 0.92 positive/negative 0.07 Tesla. This field
dependence and the critical field Hc are derived analytically from the
spherical random bond random field (SRBRF) model with no adjustable parameters
and an E2H2 coupling. This device permits 3-state logic (+Pr,0,negative Pr) and
a condenser with >5000% magnetic field change in its capacitance.Comment: 20 pages, 5 figure
Bounds on the Complexity of Halfspace Intersections when the Bounded Faces have Small Dimension
We study the combinatorial complexity of D-dimensional polyhedra defined as
the intersection of n halfspaces, with the property that the highest dimension
of any bounded face is much smaller than D. We show that, if d is the maximum
dimension of a bounded face, then the number of vertices of the polyhedron is
O(n^d) and the total number of bounded faces of the polyhedron is O(n^d^2). For
inputs in general position the number of bounded faces is O(n^d). For any fixed
d, we show how to compute the set of all vertices, how to determine the maximum
dimension of a bounded face of the polyhedron, and how to compute the set of
bounded faces in polynomial time, by solving a polynomial number of linear
programs
A Relevance of Serological Tests in Diagnosis of Early Congenital Syphilis: A Case Report
Abstract Congenital syphilis is acquired by an infant from an infected mother by transplacental transmission of Treponema pallidum during pregnancy or possibly at birth from contact with maternal lesions. Early form of congenital syphilis is when the clinical manifestations occur before two years of age and late congenital syphilis is when manifestations occur among untreated patients after two years of age. Serological tests hold a mainstay in syphilis diagnosis. Nontreponemal tests are commonly used as a screening test for syphilis, which may turn negative after full course of treatment, while treponemal tests are diagnostic and remain positive for life in low titre even after treatment. Here, we present a case of early congenital syphilis and its confirmation with serological tests with emphasis on the relevance of these tests in confirmation of diagnosis
THE STATE OF GLOBAL ANIMAL GENETIC RESOURCES AND A NEW FAO PROGRAMME OF MANAGEMENT (2 nd part)
Background: Grazed grassland management regimes can have various effects on soil fauna. For example, effects on earthworms can be negative through compaction induced by grazing animals, or positive mediated by increases in sward productivity and cattle dung pats providing a food source. Knowledge gaps exist in relation to the behaviour of different earthworm species i.e. their movement towards and aggregation under dung pats, the legacy effects of pats and the spatial area of recruitment. The present study addressed these knowledge gaps in field experiments, over 2 years, using natural and simulated dung pats on two permanent, intensively grazed pastures in Ireland. Results: Dung pats strongly affected spatial earthworm distribution, with up to four times more earthworms aggregating beneath pats, than in the control locations away from pats. In these earthworm communities comprising 11 species, temporally different aggregation and dispersal patterns were observed, including absence of individual species from control locations, but no clear successional responses. Epigeic species in general, but also certain species of the anecic and endogeic groups were aggregating under dung. Sampling after complete dung pat disappearance (27 weeks after application) suggested an absence of a dung pat legacy effect on earthworm communities. Based on species distributions, the maximum size of the recruitment area from which earthworms moved to pats was estimated to be 3.8 m2 per dung pat. Since actual grazing over 6 weeks would result in the deposition of about 300 dung pats per ha, it is estimated that a surface area of 1140 m2 or about 11% of the total grazing area can be influenced by dung pats in a given grazing period. Conclusions: This study showed that the presence of dung pats in pastures creates temporary hot spots in spatial earthworm species distribution, which changes over time. The findings highlight the importance of considering dung pats, temporally and spatially, when sampling earthworms in grazed pastures. Published comparisons of grazed and cut grasslands probably reached incorrect conclusions by ignoring or deliberately avoiding dung pats. Furthermore, the observed intense aggregation of earthworms beneath dung pats suggests that earthworm functions need to be assessed separately at these hot spots.</p
Analysis of the intraspinal calcium dynamics and its implications on the plasticity of spiking neurons
The influx of calcium ions into the dendritic spines through the
N-metyl-D-aspartate (NMDA) channels is believed to be the primary trigger for
various forms of synaptic plasticity. In this paper, the authors calculate
analytically the mean values of the calcium transients elicited by a spiking
neuron undergoing a simple model of ionic currents and back-propagating action
potentials. The relative variability of these transients, due to the stochastic
nature of synaptic transmission, is further considered using a simple Markov
model of NMDA receptos. One finds that both the mean value and the variability
depend on the timing between pre- and postsynaptic action-potentials. These
results could have implications on the expected form of synaptic-plasticity
curve and can form a basis for a unified theory of spike time-dependent, and
rate based plasticity.Comment: 14 pages, 10 figures. A few changes in section IV and addition of a
new figur
Distortions of Subjective Time Perception Within and Across Senses
Background: The ability to estimate the passage of time is of fundamental importance for perceptual and cognitive processes. One experience of time is the perception of duration, which is not isomorphic to physical duration and can be distorted by a number of factors. Yet, the critical features generating these perceptual shifts in subjective duration are not understood.
Methodology/Findings: We used prospective duration judgments within and across sensory modalities to examine the effect of stimulus predictability and feature change on the perception of duration. First, we found robust distortions of perceived duration in auditory, visual and auditory-visual presentations despite the predictability of the feature changes in the stimuli. For example, a looming disc embedded in a series of steady discs led to time dilation, whereas a steady disc embedded in a series of looming discs led to time compression. Second, we addressed whether visual (auditory) inputs could alter the perception of duration of auditory (visual) inputs. When participants were presented with incongruent audio-visual stimuli, the perceived duration of auditory events could be shortened or lengthened by the presence of conflicting visual information; however, the perceived duration of visual events was seldom distorted by the presence of auditory information and was never perceived shorter than their actual durations.
Conclusions/Significance: These results support the existence of multisensory interactions in the perception of duration and, importantly, suggest that vision can modify auditory temporal perception in a pure timing task. Insofar as distortions in subjective duration can neither be accounted for by the unpredictability of an auditory, visual or auditory-visual event, we propose that it is the intrinsic features of the stimulus that critically affect subjective time distortions
An update on the Hirsch conjecture
The Hirsch conjecture was posed in 1957 in a letter from Warren M. Hirsch to
George Dantzig. It states that the graph of a d-dimensional polytope with n
facets cannot have diameter greater than n - d.
Despite being one of the most fundamental, basic and old problems in polytope
theory, what we know is quite scarce. Most notably, no polynomial upper bound
is known for the diameters that are conjectured to be linear. In contrast, very
few polytopes are known where the bound is attained. This paper collects
known results and remarks both on the positive and on the negative side of the
conjecture. Some proofs are included, but only those that we hope are
accessible to a general mathematical audience without introducing too many
technicalities.Comment: 28 pages, 6 figures. Many proofs have been taken out from version 2
and put into the appendix arXiv:0912.423
A one-stop perineal clinic: our eleven-year experience.
INTRODUCTION AND HYPOTHESIS: The perineal clinic is a dedicated setting offering assessment for various childbirth-related presentations including obstetric anal sphincter injuries (OASIs), perineal wound complications, pelvic floor dysfunction and other conditions such as female genital mutilation(FGM). We describe the clinical presentation and outcomes of women from a tertiary perineal clinic based on data collected over an 11-year period. METHODS: This is a retrospective observational study. A one-stop outpatient service was offered to all women who sustained OASIs (postnatally and antenatally in a subsequent pregnancy), perineal complications (within 16 weeks postpartum), FGM and/or peripartum symptoms of urinary/anal incontinence or prolapse. Assessment included history with validated questionnaires, examination and anal manometry and endoanal ultrasound when appropriate. Outcomes were compared among different grades of OASIs. Management of each type of presentation was reported with outcomes. RESULTS: There were 3254 first attendance episodes between 2006 and 2016. The majority (58.1%) were for OASIs, followed by perineal wound complications. Compared to the lower grades, the higher grades of OASI were associated with poorer outcomes in terms of symptoms, investigations and complications. Women with OASIs had unrelated symptoms such as urinary incontinence, perineal pain and wound infections that needed further intervention. A high proportion(42%) of wound complications required further specialist management. CONCLUSION: We describe a dedicated, one-stop perineal clinic model for antenatal and postnatal women for management of perineal and pelvic floor disorders. This comprehensive and novel data will enable clinicians to better counsel women regarding of outcomes after OASI and focus training to minimize risks of morbidities
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