648 research outputs found

    Afterglow upper limits for four short duration, hard spectrum gamma-ray bursts

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    We present interplanetary network localization, spectral, and time history information for four short-duration, hard spectrum gamma-ray bursts, GRB000607, 001025B, 001204, and 010119. All of these events were followed up with sensitive radio and optical observations (the first and only such bursts to be followed up in the radio to date), but no detections were made, demonstrating that the short bursts do not have anomalously intense afterglows. We discuss the upper limits, and show that the lack of observable counterparts is consistent both with the hypothesis that the afterglow behavior of the short bursts is like that of the long duration bursts, many of which similarly have no detectable afterglows, as well as with the hypothesis that the short bursts have no detectable afterglows at all. Small number statistics do not allow a clear choice between these alternatives, but given the present detection rates of various missions, we show that progress can be expected in the near future.Comment: 19 pages, 4 figures; Revised version, accepted by the Astrophysical Journa

    Three-year tracking of fatty acid composition of plasma phospholipids in healthy children

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    Objectives: The fatty acid composition of plasma phospholipids reflects the dietary fatty acid intake as well as endogenous turnover. We aimed at investigating the potential tracking of plasma phospholipid fatty acid composition in children that participated in a prospective cohort study. Methods: 26 healthy children participated in a longitudinal study on health risks and had been enrolled after birth. All children were born at term with birth weights appropriate for gestational age. Follow-up took place at ages 24, 36 and 60 months. At each time point a 24-hour dietary recall was obtained, anthropometric parameters were measured and a blood sample for phospholipid fatty acid analysis was taken. Results: Dietary intake of saturated (SFA), monounsaturated (MUFA) and polyunsaturated (PUFA) fatty acids at the three time points were not correlated. We found lower values for plasma MUFA and the MUFA/SFA ratio at 60 months compared to 24 months. In contrast, total PUFA, total n-6 and n-6 long-chain polyunsaturated fatty acids (LC-PUFA) were higher at 60 months. Significant averaged correlation coefficients (average of Pearson's R for 24 versus 36 months and 36 versus 60 months) were found for n-6 LC-PUFA (r = 0.67), n-6/n-3 LC-PUFA ratio (r = 0.59) and arachidonic acid/linoleic acid ratio (r = 0.64). Partial tracking was found for the docosahexaenoic acid/alpha-linolenic acid ratio (r = 0.33). Body mass index and sum of skinfolds Z-scores were similar in the three evaluations. Conclusions: A significant tracking of n-6 LC-PUFA, n-6 LC-PUFA/n-3 LC-PUFA ratio, arachidonic acid/ linoleic acid ratio and docosahexaenoic acid/alpha-linolenic acid ratio may reflect an influence of individual endogenous fatty acid metabolism on plasma concentrations of some, but not all, fatty acids. Copyright (c) 2007 S. Karger AG, Basel

    Revisiting the minimum set cover, the maximal coverage problems and a maximum benefit area selection problem to make climate‐change‐concerned conservation plans effective

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    1. Informed decisions for the selection of protected areas (PAs) are grounded in two general problems in Operations Research: the minimum set covering problem (minCost), where a set of ecological constraints are established as conservation targets and the minimum cost PAs are found, and the maximal coverage problem (maxCoverage) where the constraint is uniquely economic (i.e., a fixed budget) and the goal is to maximize the number of species having conservation targets adequately covered. 2. We adjust minCost and maxCoverage to accommodate the dynamic effects of climate change on species’ ranges. The selection of sites is replaced by the selection of time-ordered sequences of sites (climate change corridors), and an estimate of the persistence of each species in corridors is calculated according to the expected suitability of each site in the respective time period and the capacity of species to disperse between consecutive sites along corridors. In these problems, conservation targets are expressed as desired (and attainable) species persistence levels. We also introduce a novel problem (minShortfall) that combines minCost and maxCoverage. Unlike these two problems, minShortfall allows persistence targets to be missed and minimizes the sum of those gaps (i.e., target shortfalls), subject to a limited budget. 3. We illustrate the three problems with a case study using climatic suitability estimates for ten mammal species in the Iberian Peninsula under a climate change scenario until 2080. We compare solutions of the three problems with respect to species persistence and PA costs, under distinct settings of persistence targets, number of target-fulfilled species, and budgets. The solutions from different problems differed with regard to the areas to prioritize, their timings and the species whose persistence targets were fulfilled. This analysis also allowed identifying groups of species sharing corridors in optimal solutions, thus allowing important financial savings in site protection. 4. We suggest that enhancing species persistence is an adequate approach to cope with habitat shifts due to climate change. We trust the three problems discussed can provide complementary and valuable support for planners to anticipate decisions in order that the negative effects of climate change on species’ persistence are minimized

    Diagnostic stability among chronic patients with functional psychoses: an epidemiological and clinical study

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    <p>Abstract</p> <p>Background</p> <p>Diagnostic stability and illness course of chronic non-organic psychoses are complex phenomena and only few risk factors or predictors are known that can be used reliably. This study investigates the diagnostic stability during the entire course of illness in patients with non-organic psychoses and attempts to identify non-psychopathological risk factors or predictors.</p> <p>Method</p> <p>100 patients with functional psychosis were initially characterised using the Operational Criteria Checklist for Psychotic Illness and Affective Illness (OPCRIT), medical records and health registers. To study the stability of diagnoses (i.e. shifts per time), we used registry data to define four measures of diagnostic variation that were subsequently examined in relation to four possible measures of time (i.e. observation periods or hospitalisation events). Afterwards, we identified putative co-variables and predictors of the best measures of diagnostic stability.</p> <p>Results</p> <p>All four measures of diagnostic variation are very strongly associated with numbers-of-hospitalisations and less so with duration-of-illness, duration-of-hospitalisation and with year-of-first-admission. The four measures of diagnostic variation corrected for numbers-of-hospitalisations were therefore used to study the diagnostic stability. Conventional predictors of illness course – e.g. age-of-onset and premorbid-functioning – are not significantly associated with stability. Only somatic-comorbidity is significantly associated with two measures of stability, while family-history-of-psychiatric-illness and global-assessment-of-functioning (GAF) scale score show a trend. However, the traditional variables age-of-first-admission, civil-status, first-diagnosis-being-schizophrenia and somatic-comorbidity are able to explain two-fifth of the variation in numbers-of-hospitalisations.</p> <p>Conclusion</p> <p>Diagnostic stability is closely linked with the contact between patient and the healthcare system. This could very likely be due to fluctuation of disease manifestation over time or presence of co-morbid psychiatric illness in combination with rigid diagnostic criteria that are unable to capture the multiple psychopathologies of the functional psychoses that results in differential diagnoses and therefore diagnostic instability. Not surprisingly, somatic-comorbidity was found to be a predictor of diagnostic variation thereby being a non-psychiatric confounder.</p

    Survey of Period Variations of Superhumps in SU UMa-Type Dwarf Novae

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    We systematically surveyed period variations of superhumps in SU UMa-type dwarf novae based on newly obtained data and past publications. In many systems, the evolution of superhump period are found to be composed of three distinct stages: early evolutionary stage with a longer superhump period, middle stage with systematically varying periods, final stage with a shorter, stable superhump period. During the middle stage, many systems with superhump periods less than 0.08 d show positive period derivatives. Contrary to the earlier claim, we found no clear evidence for variation of period derivatives between superoutburst of the same object. We present an interpretation that the lengthening of the superhump period is a result of outward propagation of the eccentricity wave and is limited by the radius near the tidal truncation. We interpret that late stage superhumps are rejuvenized excitation of 3:1 resonance when the superhumps in the outer disk is effectively quenched. Many of WZ Sge-type dwarf novae showed long-enduring superhumps during the post-superoutburst stage having periods longer than those during the main superoutburst. The period derivatives in WZ Sge-type dwarf novae are found to be strongly correlated with the fractional superhump excess, or consequently, mass ratio. WZ Sge-type dwarf novae with a long-lasting rebrightening or with multiple rebrightenings tend to have smaller period derivatives and are excellent candidate for the systems around or after the period minimum of evolution of cataclysmic variables (abridged).Comment: 239 pages, 225 figures, PASJ accepte
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