1,963 research outputs found
Teaching Thinking in the Basic Course
More critical thinking and greater transfer seem to be the rallying cries of educational reformers. Few in the field of communication would dispute the need for critical thinking. The argument, instead, maybe whether we concentrate on logic and/or argumentation as the basis for teaching critical thinking, or choose to look at higher order thinking skills and practical application. This paper provides practical application for teaching thinking in the basic course
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Changes in neuronal activity across the mouse ventromedial nucleus of the hypothalamus in response to low glucose: evaluation using an extracellular multiāelectrode array approach
The hypothalamic ventromedial nucleus (VMN) is involved in maintaining systemic glucose homeostasis. Neurophysiological studies in rodent brain slices have identified populations of VMN glucoseāsensing neurones: glucoseāexcited (GE) neurones, cells which increased their firing rate in response to increases in glucose concentration, and glucoseāinhibited (GI) neurones, which show a reduced firing frequency in response to increasing glucose concentrations. To date, most slice electrophysiological studies characterising VMN glucoseāsensing neurones in rodents have utilised the patch clamp technique. Multiāelectrode arrays (MEAs) are a stateāofātheāart electrophysiological tool enabling the electrical activity of many cells to be recorded across multiple electrode sites (channels) simultaneously. We used a perforated MEA (pMEA) system to evaluate electrical activity changes across the dorsalāventral extent of the mouse VMN region in response to alterations in glucose concentration. Because intrinsic (ie, direct postsynaptic sensing) and extrinsic (ie, presynaptically modulated) glucosensation were not discriminated, we use the terminology āGE/presynaptically excited by an increase (PER)ā and āGI/presynaptically excited by a decrease (PED)ā in the present study to describe responsiveness to changes in extracellular glucose across the mouse VMN. We observed that 15%ā60% of channels were GE/PER, whereas 2%ā7% were GI/PED channels. Within the dorsomedial portion of the VMN (DMāVMN), significantly more channels were GE/PER compared to the ventrolateral portion of the VMN (VLāVMN). However, GE/PER channels within the VLāVMN showed a significantly higher basal firing rate in 2.5 mmol lā1 glucose than DMāVMN GE/PER channels. No significant difference in the distribution of GI/PED channels was observed between the VMN subregions. The results of the present study demonstrate the utility of the pMEA approach for evaluating glucose responsivity across the mouse VMN. pMEA studies could be used to refine our understanding of other neuroendocrine systems by examining population level changes in electrical activity across brain nuclei, thus providing key functional neuroanatomical information to complement and inform the design of singleācell neurophysiological studies
The Economic Costs and Benefits of Dental Education: An Empirical Analysis
The rising costs associated with obtaining a dental education have caused some to question the financial benefit of pursuing a dental degree. There is a concern that recent graduates may have difficulty finding professional opportunities that provide the income necessary to service their accumulated educational debt. The aim of this study was to evaluate the trends in educational costs to aid in making an accurate appraisal of the financial benefit of a dental education. Adjusted into constant dollar terms, data from a variety of sources were collected for economic variables such as tuition, fees, student indebtedness, and dentistsā earnings. These variables were then analyzed to determine the true costs and benefits of obtaining a dental education. The results showed that, over the course of the last decade, educational costs increased faster than the real net income of practicing dentists, which led to a decline in the return on investment in dental education. However, regardless of an applicantās choice of public or private dental school, there continues to be a positive economic return on studentsā commitment of both financial resources and time to receive a dental education
The Relationship Between Food Deserts, Farmersā Markets and Food Assistance in Georgia Census Tracts
Background: Due to inadequate resources and limited access to healthy foods, residents of food deserts struggle to maintain a well-balanced, nutritious diet. These factors increase the risk of developing obesity and diet-related chronic diseases. Local farmersā markets serve as community-level interventions, bringing healthy food to food deserts. Over the past two decades, farmersā markets have been growing in numbers nationally. The present study explores the relationship between food deserts, placement of farmersā markets, and availability of food assistance programs in Georgia.
Methods: Data are from the 2014 USDA Food Desert Atlas and the USDA Farmersā Market Directory. Farmersā market addresses were geocoded in ArcGIS 10.2. Descriptive statistics and spatial visualization were used to explore census tract-level relationships.
Results: Of the Georgia census tracts, 20% are food deserts. Of these, 7.2% have a farmersā market within their boundary, compared to 5.7% of non-food desert tracts. Of these markets, 3.2% accept Famersā Market Nutrition Program (FMNP) coupons, 9.6% accept Women, Infants, and Children Fruit and Vegetable Checks (WIC-FVC), and 21.6% accept Supplemental Nutrition Assistance Program (SNAP) benefits.
Conclusions: Few farmersā markets in Georgia are located in food deserts, and few accept food assistance programs. Fresh food remains inaccessible to low-income residents in these areas and lack of access to fresh food is associated with dietrelated chronic diseases. To reduce food insecurity, farmersā markets could accept food assistance program funds. Additional farmersā markets could be established in food deserts to increase availability of healthy food, reducing the risk of developing obesity and diet-related chronic diseases
Conserved role for 14-3-3Ļµ downstream of type I TGFĪ² receptors
AbstractSchistosoma mansoni receptor kinase-1 (SmRK1) is a divergent type I transforming growth factor Ī² (TGFĪ²) receptor on the surface of adult parasites. Using the intracellular domain of SmRK1 as bait in a yeast two-hybrid screen we identified an interaction with S. mansoni 14-3-3Ļµ. The interaction which is phosphorylation-dependent is not specific to schistosomes since 14-3-3Ļµ also binds to TĪ²RI, the human type I TGFĪ² receptor. 14-3-3Ļµ enhances TGFĪ²-mediated signaling by TĪ²RI and is the first TĪ²RI-interacting non-Smad protein identified that positively regulates this receptor. The interaction of 14-3-3Ļµ with schistosome and human TĪ²RI suggests a conserved, but previously unappreciated, role for this protein in TGFĪ² signaling pathways
Observations of celestial X-ray sources above 20 keV with the high-energy scintillation spectrometer on board OSO 8
High-energy X-ray spectra of the Crab Nebula, Cyg- XR-1, and Cen A were determined from observations with the scintillation spectrometer on board the OSO-8 satellite, launched in June, 1975. Each of these sources was observed over two periods of 8 days or more, enabling a search for day-to-day and year to year variations in the spectral and temporal characteristics of the X-ray emission. No variation in the light curve of the Crab pulsar was found from observations which span a 15-day period in March 1976, with demonstrable phase stability. Transitions associated with the binary phase of Cyg XR-1 and a large change in the emission from Con A are reported
Detection of high energy X-rays from the galactic center region
Observations of the galactic center region made with the high energy X-ray detector on OSO-8 are discussed. A strong hard X-ray which was detected during these observations from the vicinity of the galactic center are examined. The counting rate spectrum and the photon number spectrum of the flux are determined. Comparisons with the high energy X-ray fluxes observed from sources in the region by others are discussed
Thrifty Phenotype vs Cold Adaptation: Trade-offs in Upper Limb Proportions of Himalayan Populations of Nepal
The multi-stress environment of high altitude has been associated with growth deficits in humans, particularly in zeugopod elements (forearm, lower leg). This is consistent with the thrifty phenotype hypothesis, which has been observed in Andeans, but has yet to be tested in other high altitude populations. In Himalayan populations, other factors, such as cold stress, may shape limb proportions. The current study investigated whether relative upper limb proportions of Himalayan adults (n=254) differ between highland and lowland populations, and whether cold adaptation or a thrifty phenotype mechanism may be acting here. Height, weight, humerus length, ulna length, hand length, and hand width were measured using standard methods. Relative to height, total upper limb and ulna lengths were significantly shorter in highlanders compared to lowlanders in both sexes, whilst hand and humerus length were not. Hand width did not significantly differ between populations. These results support the thrifty phenotype hypothesis, as hand and humerus proportions are conserved at the expense of the ulna. The reduction in relative ulna length could be attributed to cold adaptation, but the lack of difference between populations in both hand length and width indicate that cold adaptation is not shaping hands proportions in this case
An assessment of the screening method to evaluate vaccine effectiveness: the case of 7-valent pneumococcal conjugate vaccine in the United States.
The screening method, which employs readily available data, is an inexpensive and quick means of estimating vaccine effectiveness (VE). We compared estimates of effectiveness of heptavalent pneumococcal conjugate vaccine (PCV7) against invasive pneumococcal disease (IPD) using the screening and case-control methods. Cases were children aged 19-35 months with pneumococcus isolated from normally sterile sites residing in Active Bacterial Core surveillance areas in the United States. Case-control VE was estimated for 2001-2004 by comparing the odds of vaccination among cases and community controls. Screening-method VE for 2001-2009 was estimated by comparing the proportion of cases vaccinated to National Immunization Survey-derived coverage among the general population. To evaluate the plausibility of screening-method VE findings, we estimated attack rates among vaccinated and unvaccinated persons. We identified 1,154 children with IPD. Annual population PCV7 coverage with ā„1 dose increased from 38% to 97%. Case-control VE for ā„1 dose was estimated as 75% against all-serotype IPD (annual range: 35-83%) and 91% for PCV7-type IPD (annual range: 65-100%). By the screening method, the overall VE was 86% for ā„1 dose (annual range: -240-70%) against all-serotype IPD and 94% (annual range: 62-97%) against PCV7-type IPD. As cases of PCV7-type IPD declined during 2001-2005, estimated attack rates for all-serotype IPD among vaccinated and unvaccinated individuals became less consistent than what would be expected with the estimated effectiveness of PCV7. The screening method yields estimates of VE that are highly dependent on the time period during which it is used and the choice of outcome. The method should be used cautiously to evaluate VE of PCVs
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