200 research outputs found

    Some tree-level string amplitudes in the NSR formalism

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    We calculate tree level scattering amplitudes for open strings using the NSR formalism. We present a streamlined symmetry-based and pedagogical approach to the computations, which we first develop by checking two-, three-, and four-point functions involving bosons and fermions. We calculate the five-point amplitude for massless gluons and find agreement with an earlier result by Brandt, Machado and Medina. We then compute the five-point amplitudes involving two and four fermions respectively, the general form of which has not been previously obtained in the NSR formalism. The results nicely confirm expectations from the supersymmetric F4F^4 effective action. Finally we use the prescription of Kawai, Lewellen and Tye (KLT) to compute the amplitudes for the closed string sector.Comment: 40+8 pages; v2: references added; v3: additional field theory checks made; published version; v4: minor corrections; results unchange

    Bad barrels and bad cellars:a ‘boundaries’ perspective on professional misconduct

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    Professions have traditionally been associated with a public safeguard role, with their superior ethical standards usually invoked to justify their occupational privileges and special labour market position. As such professionals have been thought to act as 'social trustees' (Brint, 1994) of key skills for the benefit of society as a whole or as 'gatekeepers' (Coffee, 2006) who play a fundamental role in maintaining the integrity of broader institutions. Yet recent scandals from Enron, to Parmalat and the recent financial crisis call into question the fiduciary role played by the professions. Thus, rather than as gatekeepers and social trustees, professions may have acted, perhaps unwittingly, as accomplices if not masterminds in recent episodes of corporate wrongdoing and malpractice. This chapter focuses on the role of professions in processes of malpractice and approaches this through the consideration of a number of key boundaries which frame professional practice and the tensions, conflicts and opportunities or temptations these generate. These include: 1) internal divisions within professional services firms between different services and the conflict of interests these may produce (thus the tensions between auditing and consulting within large accountancy firms), 2) the relationship between professional advisers and external stakeholders such as clients and increasingly financial investors, and the capture dynamics which may be at play here, 3) the boundaries which exist between different firms and professions engaged in gatekeeping functions and the systemic myopia that this allows and 4) the existence national and regional boundaries between jurisdictions with different standards of professional practice and regulatory oversight

    Wall Crossing from Dirac Zeromodes

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    We explore the physics of two-body decay of BPS states using semiclassical analysis to construct explicit solutions that illustrate the main features of wall crossing, for both ordinary and framed BPS states. In particular we recover the primitive wall-crossing formula from an asymptotic analysis of certain Dirac-type operators on monopole moduli spaces. Along the way we give an asymptotic metric for the moduli space of singular monopoles, analogous to the Gibbons-Manton and Lee-Weinberg-Yi metrics for the moduli space of smooth monopoles, and we find evidence for the existence of stable non-BPS boundstates. Our discussion applies to four-dimensional N = 2 super-Yang-Mills theories with general gauge group and general 't Hooft defects.Comment: 32 pages plus appendices; 1 figure. v2: references added, typos fixed. v3: references added, published versio

    Gestational age at delivery and special educational need: retrospective cohort study of 407,503 schoolchildren

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    <STRONG>Background</STRONG> Previous studies have demonstrated an association between preterm delivery and increased risk of special educational need (SEN). The aim of our study was to examine the risk of SEN across the full range of gestation. <STRONG>Methods and Findings</STRONG> We conducted a population-based, retrospective study by linking school census data on the 407,503 eligible school-aged children resident in 19 Scottish Local Authority areas (total population 3.8 million) to their routine birth data. SEN was recorded in 17,784 (4.9%) children; 1,565 (8.4%) of those born preterm and 16,219 (4.7%) of those born at term. The risk of SEN increased across the whole range of gestation from 40 to 24 wk: 37–39 wk adjusted odds ratio (OR) 1.16, 95% confidence interval (CI) 1.12–1.20; 33–36 wk adjusted OR 1.53, 95% CI 1.43–1.63; 28–32 wk adjusted OR 2.66, 95% CI 2.38–2.97; 24–27 wk adjusted OR 6.92, 95% CI 5.58–8.58. There was no interaction between elective versus spontaneous delivery. Overall, gestation at delivery accounted for 10% of the adjusted population attributable fraction of SEN. Because of their high frequency, early term deliveries (37–39 wk) accounted for 5.5% of cases of SEN compared with preterm deliveries (<37 wk), which accounted for only 3.6% of cases. <STRONG>Conclusions</STRONG> Gestation at delivery had a strong, dose-dependent relationship with SEN that was apparent across the whole range of gestation. Because early term delivery is more common than preterm delivery, the former accounts for a higher percentage of SEN cases. Our findings have important implications for clinical practice in relation to the timing of elective delivery

    The socio-economic boundaries shaping young people’s lunchtime food practices on a school day

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    This is the peer reviewed version of the following article: Wendy J. Wills, Giada Danesi, Ariadne B. Kapetanaki, and Laura K. Hamilton, ‘The Socio‐Economic Boundaries Shaping Young People's Lunchtime Food Practices on a School Day’, Children & Society, Vol. 32 (3): 195-206, May 2018, which has been published in final form at https://doi.org/10.1111/chso.12261. Under embargo until 6 April 2019. This article may be used for non-commercial purposes in accordance with Wiley Terms and Conditions for Self-Archiving.Not enough is known about the relationship between socio-economic deprivation and places where young people purchase food at lunchtime on a school day. This paper draws on qualitative data from 600+ young people aged 13-15 years and illustrates that socio-economic factors form boundaries that young people have a feeling for when buying food. This informs where they seek out lunch (at school or in local food outlets) and what products, service and prices they access and find acceptable. Such insights help to understand why inequalities in young people’s health and eating practices prevail.Peer reviewedFinal Accepted Versio

    A Phase 2a cohort expansion study to assess the safety, tolerability, and preliminary efficacy of CXD101 in patients with advanced solid-organ cancer expressing HR23B or lymphoma.

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    BACKGROUND: This Phase 2a dose expansion study was performed to assess the safety, tolerability and preliminary efficacy of the maximum tolerated dose of the oral histone de-acetylase (HDAC) inhibitor CXD101 in patients with relapsed / refractory lymphoma or advanced solid organ cancers and to assess HR23B protein expression by immunohistochemistry as a biomarker of HDAC inhibitor sensitivity. METHODS: Patients with advanced solid-organ cancers with high HR23B expression or lymphomas received CXD101 at the recommended phase 2 dose (RP2D). Key exclusions: corrected QT > 450 ms, neutrophils  1. Baseline HR23B expression was assessed by immunohistochemistry. RESULTS: Fifty-one patients enrolled between March 2014 and September 2019, 47 received CXD101 (19 solid-organ cancer, 28 lymphoma). Thirty-four patients received ≥80% RP2D. Baseline characteristics: median age 57.4 years, median prior lines 3, male sex 57%. The most common grade 3-4 adverse events were neutropenia (32%), thrombocytopenia (17%), anaemia (13%), and fatigue (9%) with no deaths on CXD101. No responses were seen in solid-organ cancers, with disease stabilisation in 36% or patients; the overall response rate in lymphoma was 17% with disease stabilisation in 52% of patients. Median progression-free survival was 1.2 months (95% confidence interval (CI) 1.2-5.4) in solid-organ cancers and 2.6 months (95%CI 1.2-5.6) in lymphomas. HR23B status did not predict response. CONCLUSIONS: CXD101 showed acceptable tolerability with efficacy seen in Hodgkin lymphoma, T-cell lymphoma and follicular lymphoma. Further studies assessing combination approaches are warranted. TRIAL REGISTRATION: ClinicalTrials.gov identifier NCT01977638 . Registered 07 November 2013

    Data standards can boost metabolomics research, and if there is a will, there is a way.

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    Thousands of articles using metabolomics approaches are published every year. With the increasing amounts of data being produced, mere description of investigations as text in manuscripts is not sufficient to enable re-use anymore: the underlying data needs to be published together with the findings in the literature to maximise the benefit from public and private expenditure and to take advantage of an enormous opportunity to improve scientific reproducibility in metabolomics and cognate disciplines. Reporting recommendations in metabolomics started to emerge about a decade ago and were mostly concerned with inventories of the information that had to be reported in the literature for consistency. In recent years, metabolomics data standards have developed extensively, to include the primary research data, derived results and the experimental description and importantly the metadata in a machine-readable way. This includes vendor independent data standards such as mzML for mass spectrometry and nmrML for NMR raw data that have both enabled the development of advanced data processing algorithms by the scientific community. Standards such as ISA-Tab cover essential metadata, including the experimental design, the applied protocols, association between samples, data files and the experimental factors for further statistical analysis. Altogether, they pave the way for both reproducible research and data reuse, including meta-analyses. Further incentives to prepare standards compliant data sets include new opportunities to publish data sets, but also require a little "arm twisting" in the author guidelines of scientific journals to submit the data sets to public repositories such as the NIH Metabolomics Workbench or MetaboLights at EMBL-EBI. In the present article, we look at standards for data sharing, investigate their impact in metabolomics and give suggestions to improve their adoption

    A comparison of methods to adjust for continuous covariates in the analysis of randomised trials

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    BACKGROUND: Although covariate adjustment in the analysis of randomised trials can be beneficial, adjustment for continuous covariates is complicated by the fact that the association between covariate and outcome must be specified. Misspecification of this association can lead to reduced power, and potentially incorrect conclusions regarding treatment efficacy. METHODS: We compared several methods of adjustment to determine which is best when the association between covariate and outcome is unknown. We assessed (a) dichotomisation or categorisation; (b) assuming a linear association with outcome; (c) using fractional polynomials with one (FP1) or two (FP2) polynomial terms; and (d) using restricted cubic splines with 3 or 5 knots. We evaluated each method using simulation and through a re-analysis of trial datasets. RESULTS: Methods which kept covariates as continuous typically had higher power than methods which used categorisation. Dichotomisation, categorisation, and assuming a linear association all led to large reductions in power when the true association was non-linear. FP2 models and restricted cubic splines with 3 or 5 knots performed best overall. CONCLUSIONS: For the analysis of randomised trials we recommend (1) adjusting for continuous covariates even if their association with outcome is unknown; (2) keeping covariates as continuous; and (3) using fractional polynomials with two polynomial terms or restricted cubic splines with 3 to 5 knots when a linear association is in doubt

    Quality of care in elder emergency department patients with pneumonia: a prospective cohort study

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    <p>Abstract</p> <p>Background</p> <p>The goals of the study were to assess the relationship between age and processes of care in emergency department (ED) patients admitted with pneumonia and to identify independent predictors of failure to meet recommended quality care measures.</p> <p>Methods</p> <p>This was a prospective cohort study of a pre-existing database undertaken at a university hospital ED in the Midwest. ED patients ≥18 years of age requiring admission for pneumonia, with no documented use of antibiotics in the 24 hours prior to ED presentation were included. Compliance with Pneumonia National Quality Measures was assessed including ED antibiotic administration, antibiotics within 4 hours, oxygenation assessment, and obtaining of blood cultures. Odds ratios were calculated for elders and non-elders. Logistic regression was used to identify independent predictors of process failure.</p> <p>Results</p> <p>One thousand, three hundred seventy patients met inclusion criteria, of which 560 were aged ≥65 years. In multiple variable logistic regression analysis, age ≥65 years was independently associated with receiving antibiotics in the ED (odds ratio [OR] = 2.03, 95% CI 1.28–3.21) and assessment of oxygenation (OR = 2.10, 95% CI, 1.18–3.32). Age had no significant impact on odds of receiving antibiotics within four hours of presentation (OR 1.10, 95% CI 0.84–1.43) or having blood cultures drawn (OR 1.02, 95%CI 0.78–1.32). Certain other patient characteristics were also independently associated with process failure.</p> <p>Conclusion</p> <p>Elderly patients admitted from the ED with pneumonia are more likely to receive antibiotics while in the ED and to have oxygenation assessed in the ED than younger patients. The independent association of certain patient characteristics with process failure provides an opportunity to further increase compliance with recommended quality measures in admitted patients diagnosed with pneumonia.</p
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