166 research outputs found

    Influence of internal bores on larval fish abundance and community composition

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    A persistent semidiurnal internal tidal bore feature occurs at the head of the Monterey Bay Submarine Canyon and drives regular intrusions of cold, subthermocline waters onto the adjacent shelf. In this study, we examine the influence of this internal tidal bore feature on the larval fish community using over a year of periodic larval fish samples collected coincidently with physical measurements. Larval samples were categorized into one of two water mass periods: a “warm period” representative of shallow coastal shelf waters and a “cold period” characteristics of colder waters present during internal bore forcing. Using multivariate statistical methods, we show warm and cold periods, along with seasonality, are the primary drivers of larval fish community composition. A significantly different community composition was observed between warm and cold water mass periods. This difference was primarily due to decreased abundance in most taxa during the cold periods, and did not indicate an obvious shift in the assemblage of the taxa. However, our data do indicate that some taxa may show higher abundance during cold periods compared to warm periods, but further studies are warranted. Along with seasonality, the presence/absence of subthermocline waters driven by internal bores appears to be a key control on nearshore larval fish community composition at this location

    SPECIES COMPOSITION, FOOD HABITS, AND THE ECONOMIC AND ECOLOGIC IMPACT OF WINTER BLACKBIRD FLOCKS

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    Crop depredation by blackbirds (Icteridae) and Starlings (sturnus vulgaris) in North America has long prompted experimentation with control techniques. These efforts have been centered in the northeast and northcentral United States where concentrated cultivation of vulnerable crops coincides with the location where flocks of blackbirds congregate in the fall prior to their migration south (Stone, et al., 1972; Wiens and Dyer, 1975). In these areas the high cost and logistic impracticality of implementing widespread controls has suggested the need for modifying agricultural practices instead (Wiens and Dyer, 1975). More recently, attention has been focused farther south, particularly in Kentucky and Tennessee where winter roosts of mixed flocks of blackbirds and Starlings commonly number over several million birds. These highly localized concentrations have prompted concern for both agricultural damage and danger to human health (Department of Army, 1975). A major difference between the problem in the South and that farther north is that in the South the birds present themselves as much more accessible targets for control measures. By virtue of their tremendous concentrations they make the potential for large scale extermination very real. It is quite conceivable that a significant proportion of the entire North American populations of these birds could be eliminated if extermination efforts were maintained for several years at the major winter roosts. Before such extermination is allowed to proceed, a number of questions must be answered. These can be divided into two areas. The first area deals with whether or not the control measures are actually justified--how much agricultural damage is done by the birds and how real is their threat to human health? The second area of questioning concerns the environmental impact of both the control measures themselves as well as the effect of suddenly removing such large numbers of birds from the ecosystem. This paper presents the results of a preliminary study aimed not at answering these questions so much as providing some insight into the factors which must be considered if accurate answers are to be obtained

    SPECIES COMPOSITION, FOOD HABITS, AND THE ECONOMIC AND ECOLOGIC IMPACT OF WINTER BLACKBIRD FLOCKS

    Get PDF
    Crop depredation by blackbirds (Icteridae) and Starlings (sturnus vulgaris) in North America has long prompted experimentation with control techniques. These efforts have been centered in the northeast and northcentral United States where concentrated cultivation of vulnerable crops coincides with the location where flocks of blackbirds congregate in the fall prior to their migration south (Stone, et al., 1972; Wiens and Dyer, 1975). In these areas the high cost and logistic impracticality of implementing widespread controls has suggested the need for modifying agricultural practices instead (Wiens and Dyer, 1975). More recently, attention has been focused farther south, particularly in Kentucky and Tennessee where winter roosts of mixed flocks of blackbirds and Starlings commonly number over several million birds. These highly localized concentrations have prompted concern for both agricultural damage and danger to human health (Department of Army, 1975). A major difference between the problem in the South and that farther north is that in the South the birds present themselves as much more accessible targets for control measures. By virtue of their tremendous concentrations they make the potential for large scale extermination very real. It is quite conceivable that a significant proportion of the entire North American populations of these birds could be eliminated if extermination efforts were maintained for several years at the major winter roosts. Before such extermination is allowed to proceed, a number of questions must be answered. These can be divided into two areas. The first area deals with whether or not the control measures are actually justified--how much agricultural damage is done by the birds and how real is their threat to human health? The second area of questioning concerns the environmental impact of both the control measures themselves as well as the effect of suddenly removing such large numbers of birds from the ecosystem. This paper presents the results of a preliminary study aimed not at answering these questions so much as providing some insight into the factors which must be considered if accurate answers are to be obtained

    Effect of aggregation on thermal conduction in colloidal nanofluids

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    Using effective medium theory we demonstrate that the thermal conductivity of nanofluids can be significantly enhanced by the aggregation of nanoparticles into clusters. The enhancement is based purely on conduction and does not require a novel mechanism. Predictions of the effective medium theory are in excellent agreement with detailed numerical calculations on model nanofluids involving fractal clusters and show the importance of cluster morphology on thermal conductivity enhancements

    The impact of donor and recipient common clinical and genetic variation on estimated glomerular filtration rate in a European renal transplant population

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    Genetic variation across the HLA is known to influence renal‐transplant outcome. However, the impact of genetic variation beyond the HLA is less clear. We tested the association of common genetic variation and clinical characteristics, from both the donor and recipient, with post‐transplant eGFR at different time‐points, out to 5‐years post‐transplantation. We conducted GWAS meta‐analyses across 10,844 donors and recipients from five European ancestry cohorts. We also analysed the impact of polygenic risk scores (PRS), calculated using genetic variants associated with non‐transplant eGFR, on post‐transplant eGFR. PRS calculated using the recipient genotype alone, as well as combined donor and recipient genotypes were significantly associated with eGFR at 1‐year post‐transplant. 32% of the variability in eGFR at 1‐year post‐transplant was explained by our model containing clinical covariates (including weights for death/graft‐failure), principal components and combined donor‐recipient PRS, with 0.3% contributed by the PRS. No individual genetic variant was significantly associated with eGFR post‐transplant in the GWAS. This is the first study to examine PRS, composed of variants that impact kidney function in the general population, in a post‐transplant context. Despite PRS being a significant predictor of eGFR post‐transplant, the effect size of common genetic factors is limited compared to clinical variables

    Acute and long-term outcomes of SARS-CoV-2 infection in school-aged children in England: Study protocol for the joint analysis of the COVID-19 schools infection survey (SIS) and the COVID-19 mapping and mitigation in schools (CoMMinS) study.

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    BACKGROUND: The symptom profiles of acute SARS-CoV-2 infection and long-COVID in children and young people (CYP), risk factors, and associated healthcare needs, are poorly defined. The Schools Infection Survey 1 (SIS-1) was a nationwide study of SARS-CoV-2 infection in primary and secondary schools in England during the 2020/21 school year. The Covid-19 Mapping and Mitigation in Schools (CoMMinS) study was conducted in schools in the Bristol area over a similar period. Both studies conducted testing to identify current and previous SARS-CoV-2 infection, and recorded symptoms and school attendance. These research data have been linked to routine electronic health record (EHR) data. AIMS: To better understand the short- and long-term consequences of SARS-CoV-2 infection, and their risk factors, in CYP. METHODS: Retrospective cohort and nested case-control analyses will be conducted for SIS-1 and CoMMinS data linked to EHR data for the association between (1) acute symptomatic SARS-CoV-2 infection and risk factors; (2) SARS-CoV-2 infection and long-term effects on health: (a) persistent symptoms; (b) any new diagnosis; (c) a new prescription in primary care; (d) health service attendance; (e) a high rate of school absence. RESULTS: Our study will improve understanding of long-COVID in CYP by characterising the trajectory of long-COVID in CYP in terms of things like symptoms and diagnoses of conditions. The research will inform which groups of CYP are more likely to get acute- and long-term outcomes of SARS-CoV-2 infection, and patterns of related healthcare-seeking behaviour, relevant for healthcare service planning. Digested information will be produced for affected families, doctors, schools, and the public, as appropriate. CONCLUSION: Linked SIS-1 and CoMMinS data represent a unique and rich resource for understanding the impact of SARS-CoV-2 infection on children's health, benefiting from enhanced SARS-CoV-2 testing and ability to assess a wide range of outcomes

    BRCA2 polymorphic stop codon K3326X and the risk of breast, prostate, and ovarian cancers

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    Background: The K3326X variant in BRCA2 (BRCA2*c.9976A>T; p.Lys3326*; rs11571833) has been found to be associated with small increased risks of breast cancer. However, it is not clear to what extent linkage disequilibrium with fully pathogenic mutations might account for this association. There is scant information about the effect of K3326X in other hormone-related cancers. Methods: Using weighted logistic regression, we analyzed data from the large iCOGS study including 76 637 cancer case patients and 83 796 control patients to estimate odds ratios (ORw) and 95% confidence intervals (CIs) for K3326X variant carriers in relation to breast, ovarian, and prostate cancer risks, with weights defined as probability of not having a pathogenic BRCA2 variant. Using Cox proportional hazards modeling, we also examined the associations of K3326X with breast and ovarian cancer risks among 7183 BRCA1 variant carriers. All statistical tests were two-sided. Results: The K3326X variant was associated with breast (ORw = 1.28, 95% CI = 1.17 to 1.40, P = 5.9x10- 6) and invasive ovarian cancer (ORw = 1.26, 95% CI = 1.10 to 1.43, P = 3.8x10-3). These associations were stronger for serous ovarian cancer and for estrogen receptor–negative breast cancer (ORw = 1.46, 95% CI = 1.2 to 1.70, P = 3.4x10-5 and ORw = 1.50, 95% CI = 1.28 to 1.76, P = 4.1x10-5, respectively). For BRCA1 mutation carriers, there was a statistically significant inverse association of the K3326X variant with risk of ovarian cancer (HR = 0.43, 95% CI = 0.22 to 0.84, P = .013) but no association with breast cancer. No association with prostate cancer was observed. Conclusions: Our study provides evidence that the K3326X variant is associated with risk of developing breast and ovarian cancers independent of other pathogenic variants in BRCA2. Further studies are needed to determine the biological mechanism of action responsible for these associations

    Cross-sectional validation of the Aging Perceptions Questionnaire: a multidimensional instrument for assessing self-perceptions of aging

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    <p>Abstract</p> <p>Background</p> <p>Self-perceptions of aging have been implicated as independent predictors of functional disability and mortality in older adults. In spite of this, research on self-perceptions of aging is limited. One reason for this is the absence of adequate measures. Specifically, there is a need to develop a measure that is theoretically-derived, has good psychometric properties, and is multidimensional in nature. The present research seeks to address this need by adopting the Self-Regulation Model as a framework and using it to develop a comprehensive, multi-dimensional instrument for assessing self-perceptions of aging. This study describes the validation of this newly-developed instrument, the Aging Perceptions Questionnaire (APQ).</p> <p>Methods</p> <p>Participants were 2,033 randomly selected community-dwelling older (+65 yrs) Irish adults who completed the APQ alongside measures of physical and psychological health. The APQ assesses self-perceptions of aging along eight distinct domains or subscales; seven of these examine views about own aging, these are: timeline chronic, timeline cyclical, consequences positive, consequences negative, control positive, control negative, and emotional representations; the eighth domain is the identity domain and this examines the experience of health-related changes.</p> <p>Results</p> <p>Mokken scale analysis showed that the majority of items within the views about aging subscales were strongly scalable. Confirmatory factor analysis also indicated that the model provided a good fit for the data. Overall, subscales had good internal reliabilities. Hierarchical linear regression was conducted to investigate the independent contribution of APQ subscales to physical and psychological health and in doing so determine the construct validity of the APQ. Results showed that self-perceptions of aging were independently related to physical and psychological health. Mediation testing also supported a role for self-perceptions of aging as partial mediators in the relationship between indices of physical functioning and physical and psychological health outcomes.</p> <p>Conclusion</p> <p>Findings support the complex and multifaceted nature of the aging experience. The good internal reliability and construct validity of the subscales suggests that the APQ is a promising instrument that can enable a theoretically informed, multidimensional assessment of self-perceptions of aging. The potential role of self-perceptions of aging in facilitating physical and psychological health in later life is also highlighted.</p
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