99 research outputs found

    Effetto di diverse intensità di defogliazione e ombreggiamento precoci sulla compattezza del grappolo, le componenti della produzione, la composizione dell’acino e le caratteristiche sensoriali del vino nel vitigno ‘Greco’

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    In viticoltura, la defogliazione in pre-antesi è una pratica di potatura verde impiegata per ridurre la compattezza del grappolo e quindi per diminuire la sua suscettibilità ad attacchi di marciumi durante le fasi finali della maturazione. Questa pratica può inoltre modificare il micro-clima nei dintorni del grappolo e ciò può avere effetti significativi sulla composizione dell’acino. È possibile però ipotizzare che gli effetti della defogliazione in pre-antesi sia sull’allegagione che sulla composizione degli acini siano una funzione della quantità di area fogliare rimossa con questa operazione di potatura verde. L’obiettivo di questo studio era di studiare l’effetto di diversi livelli di defogliazione e ombreggiamneto in pre-antesi sulla compattezza del grappolo, la produzione e la composizione dell’uva del vitigno Greco. Il disegno sperimentale ha confrontato i seguenti nove trattamenti: quattro trattamenti di defogliazione, che prevedevano, rispettivamente, la rimozione delle foglie presenti nei primi 15, 30, 45 e 60 cm alla base dei germogli, quattro di ombreggiamento ed un controllo, non sottoposto ad alcuna defogliazione. I trattamenti sono stati applicati in fase fenologica di pre-fioritura (fase H). Dall’allegagione alla raccolta sono state misurate la crescita e la composizione dell’acino (diametro, peso fresco e secco degli acini; contenuto in solidi solubili, pH e acidità titolabile della polpa). Inoltre in diverse date sono state eseguite stime della superficie fogliare per pianta, misure di fotosintesi e di temperatura dei grappoli e valutata la loro compattezza. Alla raccolta è stata inoltre misurata la produzione per pianta. Le defogliazioni hanno determinato una significativa diminuzione della superficie fotosintetizzante per pianta. Inoltre nelle prime due settimane dopo l’applicazione dei trattamenti il tasso fotosintetico per unità di area fogliare è risultato minore nei trattamenti esposti a defogliazione più intensa rispetto agli altri trattamenti. Tali differenze nell’area fogliare e nel tasso fotosintetico si sono tradotte in differenze significative tra i trattamenti nella percentuale di allegagione e nella compattezza del grappolo alla raccolta. Il controllo ha presentato un’allegagione pari a circa 53%, mentre i trattamenti di defogliazione hanno mostrato valori progressivamente decrescenti in funzione dell’intensità dei trattamenti. Il peso secco dell’acino alla raccolta è risultato minore nelle piante sottoposte a defogliazione rispetto alle piante controllo. Alla raccolta il numero di grappoli per pianta non ha presentato differenze significative tra i trattamenti, mentre il peso medio del grappolo e la produzione per pianta hanno mostrato valori maggiori per il controllo e progressivamente decrescenti all’aumentare dell’intensità di defogliazione. Alla raccolta l’acidità titolabile è risultata significativamente minore nelle piante sottoposte a defogliazione più intensa rispetto agli altri trattamenti

    Nucleation, reorganization and disassembly of an active network from lactose-modified chitosan mimicking biological matrices

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    Developing synthetic materials able to mimic micro- and macrorheological properties of natural networks opens up to novel applications and concepts in materials science. The present contribution describes an active network based on a semi-synthetic polymer, a lactitol-bearing chitosan derivative (Chitlac), and a transient inorganic cross-linker, boric acid. Due to the many and diverse anchoring points for boric acid on the flanking groups of Chitlac, the cross-links constantly break and reform in a highly dynamic fashion. The consequence is a network with unusual non-equilibrium and mechanical properties closely resembling the rheological behavior of natural three-dimensional arrangements and of cytoskeleton. Concepts like network nucleation, reorganization and disassembly are declined in terms of amount of the cross-linker, which acts as a putative motor for remodeling of the network upon application of energy. The out-of-equilibrium and non-linear behavior render the semi-synthetic system of great interest for tissue engineering and for developing in-vitro mimics of natural active matrices

    Metacognition in schizophrenia: A practical overview of psychometric metacognition assessment tools for researchers and clinicians

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    Metacognition refers to the cognitive ability to control, monitor and modulate cognitive processes thus guiding and orienting behavior: a continuum of mental activities that ranges from more discrete ones, such as the awareness of the accuracy of others’ judgment, to more integrated activities, such as the knowledge of cognitive processes. Metacognition impairment in schizophrenia, which is considered a core feature of the illness, has become a growing research field focusing on a wide range of processes including reasoning, autobiographical memory, memory biases, cognitive beliefs and clinical insight. There is a well-established relationship between metacognition and schizophrenia symptoms severity, as well as between impaired metacognitive functioning and specific symptomatic sub-domains, such as positive symptoms, negative symptoms, or disorganization. The development of specific cognitive-derived psychotherapies for metacognitive deficits in schizophrenia has been ongoing in the last years. Although sharing a metacognitive feature, these treatments focus on different aspects: false or unhelpful beliefs for metacognitive therapy; cognitive biases for metacognitive training; schematic dysfunctional beliefs for cognitive behavioral therapy (CBT) for psychoses; metacognitive knowledge and sense of identity for MERIT; interpersonal ideas or events triggering delusional thinking for MIT-P. This article reviews the instruments designed to assess metacognitive domains and functions in individuals with schizophrenia, providing mental health professionals with an overview of the heterogeneous current scenario ranging from self-administered scales to semi-structured interviews, which are supported by a variety of theoretical frameworks. Future directions may address the need for more specific and refined tools, also able to follow-up psychotherapeutic-induced improvements

    Biodegradable mulching spray for weed control in the cultivation of containerized ornamental shrubs

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    Abstract Background Weed control represents a major issue in plant cultivation in containers. Manual weed control is very expensive and the use of chemical herbicide or plastic mulch films has a large environmental impact. The aim of this study was to test the efficacy of an experimental biodegradable chitosan-based mulching spray in controlling weed growth in containers. This research also studied the effect of this mulch on the growth of Viburnum lucidum Mill. plants to test for possible phytotoxic effects. Results The study compared a total of six treatments derived from three types of weed control (no weed control; herbicide, oxadiazon; mulching spray) applied in containers either filled only with the sterile substrate or filled with the sterile substrate and then artificially inoculated with seeds of the weed species [Sonchus asper (L.) Hill subsp. asper and Epilobium montanum L.]. The mulch controlled the weeds effectively for more than 2 months after its application even under severe weed infestation. The mulching spray controlled the emergence of S. asper more efficiently than E. montanum plants, probably because the latter has a stronger capacity to penetrate the mulch film during emergence. Conclusions Three months after its application, the mulch started to degrade and this allowed some weeds to emerge in the containers, but, in general, the mulch performed better than the herbicide. The chitosan-based mulch did not have any negative effective on the growth of V. lucidum plants

    Vox clamantis in deserto: a survey among Italian psychiatrists on defensive medicine and professional liability

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    Due to recent events, professional liability for psychiatrists in Italy is currently a matter of lively debate. Specifically, overwhelming pressure on psychiatrists’ duties has been brought by regulatory developments, such as the closure of forensic psychiatric hospitals, with the consequent return of offenders to community-based care, and the mental health consequences of the pandemic. According to Italian courts, psychiatrists are not only responsible for diagnostic and therapeutic appropriateness but also for the effects of their interventions on patients, and their behaviors. The aim of this study was to explore the attitude and behaviors of Italian psychiatrists regarding defensive medicine and professional liability. A total sample of 254 psychiatrists was surveyed by means of a quantitative online questionnaire. Most psychiatrists reported practicing defensive medicine (no. 153/254, 60.2%) and felt that their position of guarantee compromised their work in healthcare for patients (no. 138/253, 54.3%). Age correlated inversely with acknowledgment of defensive practices (r = −0.245, p < 0.001), with younger physicians more prone to defensive medicine (p = 0.013), particularly for patients at risk of suicide or violence. Psychiatrists in ‘closed’ settings (hospital wards, residential and rehabilitation centers, mental health service units in prison) reported more malpractice claims (p = 0.037) and complaints (p = 0.031), as well as a greater propensity to act defensively. In the treatment of patients with violent behavior, suicidal ideation, dual diagnoses, and criminal convictions, defensive practices were associated more with perceived legal risks (r = 0.306, p < 0.001) than actual legal involvement (p > 0.05). Anxiety, anger, and restlessness were common reactions to legal complaints, involving no. 50/254 (19.7%) respondents, with 40% reporting impaired functioning. Most psychiatrists (no. 175/253, 68.9%) were concerned about both civil and criminal laws regarding their professional responsibility, but many were not fully informed about recent legislative regulations and younger physicians resulted scarcely trained in risk management (p < 0.001). In conclusion, our findings suggest that defensive medicine is a common phenomenon among psychiatrists and their position of guarantee drives this attitude. Education on legal implications and risk management should be provided starting from the university and continuing over time, to improve the knowledge of young and senior doctors on professional liability and inform their decision-making processes. This would also reduce defensive practices and improve the quality of healthcare. Considering the concerns of younger physicians, as well as of professionals working in acute and high-intensity medical care facilities, there is also an urgent need for a revision of the medical liability to ensure the sustainability of the National Health Service

    Robotic rectal resection preserves anorectal function: Systematic review and meta-analysis.

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    AbstractBackgroundImproving survival rates in rectal cancer patients has generated a growing interest in functional outcomes after total mesorectal excision (TME). The well‐established low anterior resection syndrome (LARS) score assesses postoperative anorectal impairment after TME. Our meta‐analysis is the first to compare bowel function after open, laparoscopic, transanal, and robotic TME.MethodsAll studies reporting functional outcomes after rectal cancer surgery (LARS score) were included, and were compared with a consecutive series of robotic TME (n = 48).ResultsThirty‐two publications were identified, including 5 565 patients. Anorectal function recovered significantly better within one year after robotic TME (3.8 [95%CI –9.709–17.309]) versus laparoscopic TME (26.4 [95%CI 19.524–33.286]), p = 0.006), open TME (26.0 [95%CI 24.338–29.702], p = 0.002) and transanal TME (27.9 [95%CI 22.127–33.669], p = 0.003).ConclusionsRobotic TME enables better recovery of anorectal function compared to other techniques. Further prospective, high‐quality studies are needed to confirm the benefits of robotic surgery

    A method for using monthly average temperatures in phenology models for grapevine (Vitis vinifera L.)

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    In recent years, there have been increasing efforts to link phenology models with seasonal climate predictions in so-called Decision Support Systems (DSS) to tailor crop management strategies. However, temporal discrepancies between phenology models with temperature data gathered on a daily basis and seasonal forecasting systems providing predictability on monthly scales have limited their use. In this work, we present a novel methodology to use monthly average temperature data in phenology models. Briefly stated, we modelled the timing of the appearance of specific grapevine phenological phases using monthly average temperatures. To do so, we computed the cumulative thermal time (Sf) and the number of effective days per month (effd). The effd is the number of days in a month on which temperatures would be above the minimum value for development (Tb). The calculation of effd is obtained from a normal probability distribution function derived from historical weather records. We tested the methodology on four experimental plots located in different European countries with contrasting weather conditions and for four different grapevine cultivars. The root mean square deviation (RMSD) ranged from 4 to 7 days for all the phenological phases considered, at all the different sites, and for all the cultivars. Furthermore, the bias of observed vs predicted comparisons was not significantly different when using either monthly mean or daily temperature values to model phenology. This new methodology, therefore, provides an easy and robust way to incorporate monthly temperature data into grapevine phenology models.info:eu-repo/semantics/publishedVersio

    Transthoracic coronary flow reserve and dobutamine derived myocardial function: a 6-month evaluation after successful coronary angioplasty

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    After percutaneous transluminal coronary angioplasty (PTCA), stress-echocardiography and gated single photon emission computerized tomography (g-SPECT) are usually performed but both tools have technical limitations. The present study evaluated results of PTCA of left anterior descending artery (LAD) six months after PTCA, by combining transthoracic Doppler coronary flow reserve (CFR) and color Tissue Doppler (C-TD) dobutamine stress. Six months after PTCA of LAD, 24 men, free of angiographic evidence of restenosis, underwent standard Doppler-echocardiography, transthoracic CFR of distal LAD (hyperemic to basal diastolic coronary flow ratio) and C-TD at rest and during dobutamine stress to quantify myocardial systolic (S(m)) and diastolic (E(m )and A(m), E(m)/A(m )ratio) peak velocities in middle posterior septum. Patients with myocardial infarction, coronary stenosis of non-LAD territory and heart failure were excluded. According to dipyridamole g-SPECT, 13 patients had normal perfusion and 11 with perfusion defects. The 2 groups were comparable for age, wall motion score index (WMSI) and C-TD at rest. However, patients with perfusion defects had lower CFR (2.11 ± 0.4 versus 2.87 ± 0.6, p < 0.002) and septal S(m )at high-dose dobutamine (p < 0.01), with higher WMSI (p < 0.05) and stress-echo positivity of LAD territory in 5/11 patients. In the overall population, CFR was related negatively to high-dobutamine WMSI (r = -0.50, p < 0.01) and positively to high-dobutamine S(m )of middle septum (r = 0.55, p < 0.005). In conclusion, even in absence of epicardial coronary restenosis, stress perfusion imaging reflects a physiologic impairment in coronary microcirculation function whose magnitude is associated with the degree of regional functional impairment detectable by C-TD

    Acute Delta Hepatitis in Italy spanning three decades (1991–2019): Evidence for the effectiveness of the hepatitis B vaccination campaign

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    Updated incidence data of acute Delta virus hepatitis (HDV) are lacking worldwide. Our aim was to evaluate incidence of and risk factors for acute HDV in Italy after the introduction of the compulsory vaccination against hepatitis B virus (HBV) in 1991. Data were obtained from the National Surveillance System of acute viral hepatitis (SEIEVA). Independent predictors of HDV were assessed by logistic-regression analysis. The incidence of acute HDV per 1-million population declined from 3.2 cases in 1987 to 0.04 in 2019, parallel to that of acute HBV per 100,000 from 10.0 to 0.39 cases during the same period. The median age of cases increased from 27 years in the decade 1991-1999 to 44 years in the decade 2010-2019 (p &lt; .001). Over the same period, the male/female ratio decreased from 3.8 to 2.1, the proportion of coinfections increased from 55% to 75% (p = .003) and that of HBsAg positive acute hepatitis tested for by IgM anti-HDV linearly decreased from 50.1% to 34.1% (p &lt; .001). People born abroad accounted for 24.6% of cases in 2004-2010 and 32.1% in 2011-2019. In the period 2010-2019, risky sexual behaviour (O.R. 4.2; 95%CI: 1.4-12.8) was the sole independent predictor of acute HDV; conversely intravenous drug use was no longer associated (O.R. 1.25; 95%CI: 0.15-10.22) with this. In conclusion, HBV vaccination was an effective measure to control acute HDV. Intravenous drug use is no longer an efficient mode of HDV spread. Testing for IgM-anti HDV is a grey area requiring alert. Acute HDV in foreigners should be monitored in the years to come
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