14 research outputs found

    Emerging strategies for regeneration of historic urban sites:a systematic literature review

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    The importance and effectiveness of adaptive reuse as an alternative to the demolition of cultural heritage is well-studied. However, increasing demand in cities to redevelop larger scale urban historic sites requires new strategies to benefit from their inherent values. This paper focuses on strategies of regeneration for historic urban sites. The paper presents a systematic literature review of 45 papers, with case studies geographically concentrated in Europe and Asia, and a focus on residential, commercial, and industrial areas. From the case studies, 46 different regeneration strategies have been deduced. The various strategies are, via content analysis, dissected into a select number of drivers to find commonalities. These key drivers are user participation, top-down, genius loci, sustainability, and conversion. Based on the reflections of the reviewed authors, a performance evaluation assesses the outcomes of these strategies. Further data analysis is conducted at the level of individual drivers as well as their combinations to deduce the most positive-evaluated strategies. Findings show that genius loci contributes to the most positive-evaluated strategies, while top-down driven strategies contribute to the most negative-evaluated strategies. Furthermore, strategies are assessed positively when three or more drivers are considered regardless of their combination. This paper acts as a starting point for further research into the formation of regeneration strategies and into the specific drivers and their combinations or underlying relations. Moreover, it can be of contribution to the practice, to support decision makers and urban planners in developing the appropriate regeneration strategy for historic urban sites

    Being relevant: Practical guidance for early career researchers interested in solving conservation problems

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    AbstractIn a human-altered world where biodiversity is in decline and conservation problems abound, there is a dire need to ensure that the next generation of conservation scientists have the knowledge, skills, and training to address these problems. So called “early career researchers” (ECRs) in conservation science have many challenges before them and it is clear that the status quo must change to bridge the knowledge–action divide. Here we identify thirteen practical strategies that ECRs can employ to become more relevant. In this context, “relevance” refers to the ability to contribute to solving conservation problems through engagement with practitioners, policy makers, and stakeholders. Conservation and career strategies outlined in this article include the following: thinking ‘big picture’ during conservation projects; embracing various forms of knowledge; maintaining positive relationships with locals familiar with the conservation issue; accepting failure as a viable (and potentially valuable) outcome; daring to be creative; embracing citizen science; incorporating interdisciplinarity; promoting and practicing pro-environmental behaviours; understanding financial aspects of conservation; forming collaboration from the onset of a project; accepting the limits of technology; ongoing and effective networking; and finally, maintaining a positive outlook by focusing on and sharing conservation success stories. These strategies move beyond the generic and highlight the importance of continuing to have an open mind throughout the entire conservation process, from establishing one’s self as an asset to embracing collaboration and interdisciplinary work, and striving to push for professional and personal connections that strengthen personal career objectives

    Shape abnormalities of the caudate nucleus correlate with poorer gait and balance : results from a subset of the ladis study

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    Objective Functional deficits seen in several neurodegenerative disorders have been linked with dysfunction in frontostriatal circuits and with associated shape alterations in striatal structures. The severity of visible white matter hyperintensities (WMHs) on magnetic resonance imaging has been found to correlate with poorer performance on measures of gait and balance. This study aimed to determine whether striatal volume and shape changes were correlated with gait dysfunction. Methods Magnetic resonance imaging scans and clinical gait/balance data (scores from the Short Physical Performance Battery [SPPB]) were sourced from 66 subjects in the previously published LADIS trial, performed in nondisabled individuals older than age 65 years with WMHs at study entry. Data were obtained at study entry and at 3-year follow-up. Caudate nuclei and putamina were manually traced using a previously published method and volumes calculated. The relationships between volume and physical performance on the SPPB were investigated with shape analysis using the spherical harmonic shape description toolkit. Results There was no correlation between the severity of WMHs and striatal volumes. Caudate nuclei volume correlated with performance on the SPPB at baseline but not at follow-up, with subsequent shape analysis showing left caudate changes occurred in areas corresponding to inputs of the dorsolateral prefrontal, premotor, and motor cortex. There was no correlation between putamen volumes and performance on the SPPB. Conclusion Disruption in frontostriatal circuits may play a role in mediating poorer physical performance in individuals with WMHs. Striatal volume and shape changes may be suitable biomarkers for functional changes in this population

    p53 immunohistochemistry is an accurate surrogate for TP53 mutational analysis in endometrial carcinoma biopsies

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    TP53 mutations are considered a surrogate biomarker of the serous-like 'copy number high' molecular subtype of endometrial carcinoma (EC). In ovarian carcinoma, p53 immunohistochemistry (IHC) accurately reflects mutational status with almost 100% specificity but its performance in EC has not been established. This study tested whether p53 IHC reliably predicts TP53 mutations identified by next-generation sequencing (NGS) in EC biopsy samples for all ECs and as part of a molecular classification algorithm after exclusion of cases harbouring mismatch repair defects (MMRd) or pathogenic DNA polymerase epsilon exonuclease domain mutations (POLEmut). A secondary aim assessed inter-laboratory variability in p53 IHC. From a total of 207 cases from five centres (37-49 cases per centre), p53 IHC carried out at a central reference laboratory was compared with local IHC (n = 164) and curated tagged-amplicon NGS TP53 sequencing results (n = 177). Following consensus review, local and central p53 IHC results were concordant in 156/164 (95.1%) tumours. Discordant results were attributable to both interpretive and technical differences in staining between the local and central laboratories. When results were considered as any mutant pattern versus wild-type pattern staining, however, there was disagreement between local and central review in only one case. The concordance between p53 IHC and TP53 mutation was 155/168 (92.3%) overall, and 117/123 (95.1%) after excluding MMRd and POLEmut EC. Three (3/6) discordant results were in serous carcinomas with complete absence of p53 staining but no detectable TP53 mutation. Subclonal mutant p53 IHC expression was observed in 9/177 (5.1%) cases, of which four were either MMRd or POLEmut. Mutant pattern p53 IHC was observed in 63/63 (100%) serous carcinomas that were MMR-proficient/POLE exonuclease domain wild-type. Optimised p53 IHC performs well as a surrogate test for TP53 mutation in EC biopsies, demonstrates excellent inter-laboratory reproducibility, and has high clinical utility for molecular classification algorithms in EC. (c) 2019 Pathological Society of Great Britain and Ireland. Published by John Wiley & Sons, Ltd.MTG8 - Moleculaire pathologie van gynecologische tumorenMolecular tumour pathology - and tumour genetic

    Comparing Immobilization, Recovery, and Stress Indicators Associated with Electric Fish Handling Gloves and a Portable Electrosedation System

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    Fish sedation facilitates safer handling of fish during scientific research or fisheries assessment practices, thus limiting risk of injury to fish and reducing stress responses. In recent years, there has been growing interest in using electricity to sedate fish; two methods include (1) lower-voltage, non-pulsed-DC fish handling gloves (FHGs) that tend to only sedate fish while the gloves are touching the animal; and (2) a comparatively high-voltage, pulsed-DC Portable Electrosedation System (PES) that leads to galvanonarcosis. This study compared the physiological consequence

    Evidence-based restoration in the Anthropocene-from acting with purpose to acting for impact

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    The recognition that we are in the distinct new epoch of the Anthropocene suggests the necessity for ecological restoration to play a substantial role in repairing the Earth's damaged ecosystems. Moreover, the precious yet limited resources devoted to restoration need to be used wisely. To do so, we call for the ecological restoration community to embrace the concept of evidence-based restoration. Evidence-based restoration involves the use of rigorous, repeatable, and transparent methods (i.e. systematic reviews) to identify and amass relevant knowledge sources, critically evaluate the science, and synthesize the credible science to yield robust policy and/or management advice needed to restore the Earth's ecosystems. There are now several examples of restoration-relevant systematic reviews that have identified instances where restoration is entirely ineffective. Systematic reviews also serve as a tool to identify the knowledge gaps and the type of science needed (e.g. repeatable, appropriate replication, use of controls) to improve the evidence base. The restoration community, including both scientists and practitioners, needs to make evidence-based restoration a reality so that we can move from best intentions and acting with so-called "purpose" to acting for meaningful impact. Doing so has the potential to serve as a rallying point for reframing the Anthropocene as a so-called "good" epoch

    Telemetry-Determined Habitat Use Informs Multi-Species Habitat Management in an Urban Harbour

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    Widespread human development has led to impairment of freshwater coastal wetlands and embayments, which provide critical and unique habitat for many freshwater fish species. This is particularly evident in the Laurentian Great Lakes, where such habitats have been severely altered over the last century as a result of industrial activities, urbanization, dredging and infilling. In Toronto Harbour, extensive restoration efforts have been directed towards improving the amount and quality of aquatic habitat, especially for fishes. To evaluate the effectiveness of this restoration work, use of the restored area by both target species and the fish community as a whole must be assessed. Individuals from four species (Common Carp, Largemouth Bass, Northern Pike and Yellow Perch) were tagged and tracked continuously for 1 year using an acoustic telemetry array in Toronto Harbour area of Lake Ontario. Daily site fidelity was estimated using a mixed-effects logistic regression model. Daily site fidelity was influenced by habitat restoration and its interactions with species and body size, as well as season and its interactions with species and body size. Daily site fidelity was higher in restored sites compared to non-restored sites for Yellow Perch and Northern Pike, but lower for Largemouth Bass and Common Carp. For all species, daily site fidelity estimates were highest during the summer and lowest during autumn. The approach used here has merit for evaluating restoration success and informing future habitat management activities. Creating diverse habitats that serve multiple functions and species are more desirable than single-function-oriented or single-species-oriented designs

    Use of Fish Telemetry in Rehabilitation Planning, Management, and Monitoring in Areas of Concern in the Laurentian Great Lakes

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    Freshwater ecosystems provide many ecosystem services; however, they are often degraded as a result of human activity. To address ecosystem degradation in the Laurentian Great Lakes, Canada and the United States of America established the Great Lakes Water Quality Agreement (GLWQA). In 1987, 43 highly polluted and impacted areas were identified under the GLWQA as having one or more of 14 Beneficial Use Impairments (BUIs) to the physical and chemical habitat for fish, wildlife and humans, and were designated as Areas of Concern (AOC). Subnational jurisdictions combined with local stakeholders, with support from federal governments, developed plans to remediate and restore these sites. Biotelemetry (the tracking of animals using electronic tags) provides information on the spatial ecology of fish in the wild relevant to habitat management and stock assessment. Here, seven case studies are presented where biotelemetry data were directly incorporated within the AOC Remedial Action Plan (RAP) process. Specific applications include determining seasonal fish–habitat associations to inform habitat restoration plans, identifying the distribution of pollutant-indicator species to identify exposure risk to contamination sources, informing the development of fish passage facilities to enable fish to access fragmented upstream habitats, and assessing fish use of created or restored habitats. With growing capacity for fish biotelemetry research in the Great Lakes, we discuss the strengths and weaknesses of incorporating biotelemetry into AOC RAP processes to improve the science and practice of restoration and to facilitate the delisting of AOCs
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