555 research outputs found

    Puusta valmistettujen tuotteiden hiilivaraston muutoksen laskenta kasvihuonekaasuinventaariossa : MenetelmÀkehitys Suomen kasvihuonekaasuinventaarioon

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    TĂ€mĂ€n tutkimuksen pÀÀtavoite oli kehittÀÀ puutuotelaskentamenetelmĂ€, jolla voidaan tuottaa estimaatit Suomen kasvihuonekaasujen inventaarioraportointiin. LaskentamenetelmĂ€n oli perustuttava ilmastosopimuksen ja Kioton pöytĂ€kirjan osapuolikokousten pÀÀtöksiin. TĂ€ssĂ€ tutkimuksessa puutuotteilla tarkoitetaan puusta valmistettuja puolivalmisteita, joita ovat sahatavara, puulevyt, paperi ja kartonki sekĂ€ muut puolivalmisteet, kuten hirret ja puhelinpylvÀÀt. Kioton pöytĂ€kirjan laskennassa puutuotteiden alkuperĂ€n selvittĂ€minen oli yksi tĂ€rkeimmistĂ€ tavoitteista. AlkuperĂ€llĂ€ tarkoitetaan tĂ€ssĂ€ tapauksessa sitĂ€, onko puutuotteisiin kĂ€ytetty puu perĂ€isin Kioton pöytĂ€kirjan aktiviteeteistĂ€ (metsĂ€nhoito, metsitys, metsĂ€nhĂ€vitys) vai nĂ€iden kolmen luokan ulkopuolisilta alueilta. Tavoitteena oli arvioida hakkuupoistumat nĂ€issĂ€ luokissa vuodesta 1990 alkaen. Tutkimuksessa tuotettiin erilaisilla laskentavaihtoehdoilla aikasarjat ilmastosopimuksen ja Kioton pöytĂ€kirjan mukaisiin laskentoihin kĂ€yttĂ€en tuotantoon perustuvaa laskentaa, jossa huomioidaan kotimaassa tuotetut ja vientiin menneet puutuotteet, jotka on valmistettu kotimaisesta puusta. Laskennan luotettavuutta saatiin parannettua kokoamalla vuosia 1900–1960 koskeva kansallinen aineisto sekĂ€ selvittĂ€mĂ€llĂ€ suomalaisille puutuotteille soveltuvat kansalliset hiilenmuuntokertoimet. Sahatavara, puulevyt ja puumassat (paperin ja kartongin hiilitaseiden arvioimiseksi) jaettiin laskennassa mielekkĂ€isiin alaryhmiin, jotta puutuotteiden hiilitaseista saataisiin luotettavammat tulokset. Laskennassa kĂ€ytettiin kullekin alaryhmĂ€lle sopivia hiilenmuuntokertoimia, ja kullekin puutuoteryhmĂ€lle omia kotimaisuusasteitaan. Tutkimuksen tulokset antavat tietoa siitĂ€, kuinka puutuotteet on tarkoituksenmukaisinta laskea Suomen kasvihuonekaasuinventaariossa ottaen huomioon ilmastosopimuksen pÀÀtösten ja IPCC:n raportointiohjeiden asettamat vaatimukset.201

    Effect of Maxillary Osteotomy on Speech in Cleft Lip and Palate: Instrumental Outcomes of Velopharyngeal Function

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    Objective: To investigate the effect of maxillary osteotomy on velopharyngeal function in cleft lip and palate (CLP) using instrumental measures. / Design: A prospective study. / Participants: A consecutive series of 20 patients with CLP undergoing maxillary osteotomy by a single surgeon were seen at 0 to 3 months presurgery (T1), 3 months (T2), and 12 months (T3) post-surgery. / Interventions: Nasalance was measured on the Nasometer II 6400. For videofluoroscopy and nasendoscopy data, visual perceptual ratings, for example, palatal lift angle (PLAn), and quantitative ratiometric measurements, for example, closure ratio (CRa), were made using a validated methodology and computer software. Reliability studies were undertaken for all instrumental measures. / Main Outcome Measures: Repeated measures analysis of variance (with time at 3 levels) for nasalance and each velar parameter. Planned comparisons across pairs of time points (T1-T2, T1-T3, and T2-T3) including effect sizes. / Results: A significant difference over time was found for nasalance (P = .001) and planned comparisons across pairs of time points were significant between T1 and T2 (P = .008), T1 and T3 (P = .002), but not between T2 and T3 (P = .459) providing evidence that maxillary osteotomy can impact on nasalance adversely and that the changes seen are permanent and stable. There were also significant differences over time for PLAn (P = .012) and CRa (P = −.059) and planned comparisons for both velar parameters reflected similar findings to those of nasalance. / Conclusions: Maxillary osteotomy can adversely affect velopharyngeal function in patients with CLP. The study provides evidence for a much earlier post-surgery review even as early as 3 months after surgery

    Identifying Predictors of Acquired Velopharyngeal Insufficiency in Cleft Lip and Palate Following Maxillary Osteotomy Using Multiple Regression Analyses

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    Background: Maxillary osteotomy is typically undertaken to correct abnormal facial growth in cleft lip and palate. The surgery can cause velopharyngeal insufficiency resulting in hypernasality. This study aims to identify valid predictors of acquired velopharyngeal insufficiency following maxillary osteotomy by using a range of perceptual and instrumental speech investigations and multiple regression. / Methods: A prospective study was undertaken consisting of a consecutive series of patients with cleft lip and palate (N = 20) undergoing maxillary osteotomy by a single surgeon. Participants were seen at: 0 to 3 months pre-surgery (T1), 3-months (T2), and 12-months (T3) post-surgery. Hypernasality was rated using the cleft audit protocol for speech-augmented (CAPS-A) and visual analog scales, and nasalance was measured on the Nasometer II 6400. For lateral videofluorosopic and nasendoscopic images, visual perceptual ratings and quantitative ratiometric measurements were undertaken. Multiple regression analyses were undertaken to identify predictors. / Results: T3 models with hypernasality as the dependent variable were found to be a good fit and significant (eg, CAPS-A: R2 = 0.920, F(11,7) = 7.303, P = 0.007). Closure ratio (a quantitative ratiometric measurement) and proportion of palate contacting the posterior pharyngeal wall (a visual perceptual rating) were identified as significant predictors for the CAPS-A model (P = 0.030, P = 0.002)

    Dietary fat quality and serum androgen concentrations in middle-aged men

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    Average testosterone concentrations in men have declined over the last few decades. The reasons for this are not fully known, but changes in dietary fat quality have been suggested to have a role. This study aimed to investigate the associations of different dietary fatty acids with serum androgen concentrations

    A new method for estimating carbon dioxide emissions from drained peatland forest soils for the greenhouse gas inventory of Finland

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    Reporting the greenhouse gas (GHG) emissions from the LULUCF sector in the GHG inventory requires sound methods for estimating both the inputs and outputs of carbon (C) in managed ecosystems. Soil CO2 balance of forests consists of the CO2 released from decomposing soil organic matter (SOM) and the C entering the soil through aboveground and belowground plant litter input. Peatlands drained for forestry release soil C as CO2 because the drainage deepens the oxic peat layer prone to SOM decomposition. IPCC Guidelines provide default CO2 emission factors for different climatic zones and the defaults or locally adapted static emission factors are commonly in use in GHG inventory reporting for drained peatlands. In this paper, we describe a new dynamic method to estimate the CO2 balance of drained peatland forest soils in Finland. Contrary to static emission factors, the annual CO2 release from soil is in our method estimated using empirical regression models driven by time series of tree basal area (BA), derived from the national forest inventories in Finland, time series of air temperature and the drained peatland forest site type. Aboveground and belowground litter input is also estimated using empirical models with newly acquired turnover rates for tree fine roots and BA as a dynamic driver. All major components of litter input from ground vegetation and live, harvested and naturally died trees are included. Our method produces an increasing trend of emissions from 1.4 to 7.9 Mt CO2 for drained peatland forest soils in Finland for the period 1990&ndash;2021, with a statistically significant difference between years 1990 and 2021. Across the period 1990&ndash;2021, annual emissions are on average 3.4 Mt and &minus;0.3 Mt in southern and northern parts of Finland, respectively. When combined with data of the CO2 sink created by trees, it appears that in 2021 drained peatland forest ecosystems were a source of 2.3 Mt CO2 in southern Finland and a sink of 2.5 Mt CO2 in northern Finland. We compare the emissions produced by the new method with those produced by the old GHGI method of Finland and discuss the strengths and vulnerabilities of our method in comparison to static emission factors.</p

    Understanding dexamethasone kinetics in the rabbit tear fluid : Drug release and clearance from solution, suspension and hydrogel formulations

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    Rapid precorneal loss of topically applied eye drops limits ocular drug absorption. Controlling release and precorneal residence properties of topical formulations may improve ocular drug bioavailability and duration of action. In this study, we evaluated in vivo ocular pharmacokinetics of dexamethasone in rabbits after application of a drug solution (0.01%), suspension (Maxidex (R) 0.1%), and hydrogels of 2-hydroxyethyl methacrylate (HEMA) and acrylic acid (AAc) copolymers. The rabbits received a single eyedrop (solution or suspension) or dexamethasone-loaded hydrogel topically. Dexamethasone in tear fluid was sampled with glass capillaries and quantitated by LC-MS/MS. Higher dexamethasone exposure (AUC) in the tear fluid was observed with the suspension (approximate to 3.6-fold) and hydrogel (12.8-fold) as compared to the solution. During initial 15 min postapplication, the highest AUC of dissolved dexamethasone was seen after hydrogel application (368 min*mu g/ mL) followed by suspension (109.9 min*mu g/mL) and solution (28.7 min*mu g/mL. Based on kinetic simulations, dexamethasone release from hydrogels in vivo and in vitro is comparable. Our data indicate that prolonged exposure of absorbable dexamethasone in tear fluid is reached with hydrogels and suspensions. Pharmacokinetic understanding of formulation behavior in the lacrimal fluid helps in the design of dexamethasone delivery systems with improved ocular absorption and prolonged duration of action.Peer reviewe

    Protocol for the development and validation procedure of the managing the link and strengthening transition from child to adult mental health care (MILESTONE) suite of measures

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    Background: Mental health disorders in the child and adolescent population are a pressing public health concern. Despite the high prevalence of psychopathology in this vulnerable population, the transition from Child and Adolescent Mental Health Services (CAMHS) to Adult Mental Health Services (AMHS) has many obstacles such as deficiencies in planning, organisational readiness and policy gaps. All these factors contribute to an inadequate and suboptimal transition process. A suite of measures is required that would allow young people to be assessed in a structured and standardised way to determine the on-going need for care and to improve communication across clinicians at CAMHS and AMHS. This will have the potential to reduce the overall health economic burden and could also improve the quality of life for patients travelling across the transition boundary. The MILESTONE (Managing the Link and Strengthening Transition from Child to Adult Mental Health Care) project aims to address the significant socioeconomic and societal challenge related to the transition process. This protocol paper describes the development of two MILESTONE transition-related measures: The Transition Readiness and Appropriateness Measure (TRAM), designed to be a decision-making aide for clinicians, and the Transition Related Outcome Measure (TROM), for examining the outcome of transition. Methods: The TRAM and TROM have been developed and were validated following the US FDA Guidance for Patient-reported Outcome Measures which follows an incremental stepwise framework. The study gathers information from service users, parents, families and mental health care professionals who have experience working with young people undergoing the transition process from eight European countries. Discussion: There is an urgent need for comprehensive measures that can assess transition across the CAMHS/AMHS boundary. This study protocol describes the process of development of two new transition measures: the TRAM and TROM. The TRAM has the potential to nurture better transitions as the findings can be summarised and provided to clinicians as a clinician-decision making support tool for identifying cases who need to transition and the TROM can be used to examine the outcomes of the transition process. Trial registration: MILESTONE study registration: ISRCTN83240263 Registered 23-July-2015 - ClinicalTrials.gov NCT03013595 Registered 6 January 2017

    Comparative transcriptome analysis of the metal hyperaccumulator Noccaea caerulescens

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    The metal hyperaccumulator Noccaea caerulescens is an established model to study the adaptation of plants to metalliferous soils. Various comparators have been used in these studies. The choice of suitable comparators is important and depends on the hypothesis to be tested and methods to be used. In high-throughput analyses such as microarray, N. caerulescens has been compared to non-tolerant, non-accumulator plants like Arabidopsis thaliana or Thlaspi arvense rather than to the related hypertolerant or hyperaccumulator plants. An underutilized source is N. caerulescens populations with considerable variation in their capacity to accumulate and tolerate metals. Whole transcriptome sequencing (RNA-Seq) is revealing interesting variation in their gene expression profiles. Combining physiological characteristics of N. caerulescens accessions with their RNA-Seq has a great potential to provide detailed insight into the underlying molecular mechanisms, including entirely new gene products. In this review we will critically consider comparative transcriptome analyses carried out to explore metal hyperaccumulation and hypertolerance of N. caerulescens, and demonstrate the potential of RNA-Seq analysis as a tool in evolutionary genomic
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