116 research outputs found
Rapid One-Step Quantitative Reverse Transcriptase PCR Assay with Competitive Internal Positive Control for Detection of Enteroviruses in Environmental Samples
Human enteroviruses can serve as a more accurate indicator of human fecal contamination than conventional bacteriological fecal indicators. We describe here a quantitative reverse transcriptase PCR (qRT-PCR) assay specifically tailored to detect these viruses in environmental waters. The assay included a competitive internal positive control (CIPC) that allowed the inhibition of qRT-PCRs to be quantitatively assessed. Coamplification of the CIPC with enteroviral genetic material did not affect the sensitivity, specificity, or reproducibility of the enteroviral qRT-PCR assay. The assay is rapid (less than 5 h from sample to result), has a wide dynamic range (>3 logs), and is capable of detecting as few as 25 enteroviral genomes with an average amplification efficiency of 0.91. In samples with low or moderate inhibition, the delay in CIPC amplification was used to adjust enterovirus qRT-PCR concentrations to account for losses due to inhibition. Samples exhibiting significant inhibition were not corrected but instead diluted twofold and immediately assayed again. Using significantly inhibited samples, it was found that dilution relieved inhibition in 93% (25 of 27) of the samples. In addition, 15% (4 of 27) of these previously negative samples contained enteroviral genomes. The high-throughput format of the assay compared to conventional culture-based methods offers a fast, reliable, and specific method for detecting enteroviruses in environmental water samples. The ability of the assay to identify false negatives and provide improved quantitative assessments of enterovirus concentrations will facilitate the tracking of human fecal contamination and the assessment of potential public health risk due to enteroviruses in recreational and shellfish harvesting waters
Classification and identification of Pfiesteria and Pfiesteria-like species.
Dinoflagellates can be classified both botanically and zoologically; however, they are typically put in the botanical division Pyrrhophyta. As a group they appear most related to the protistan ciliates and apicomplexans at the ultrastructure level. Within the Pyrrhophyta are both unarmored and armored forms of the dominant, motile flagellated stage. Unarmored dinoflagellates do not have thecal or wall plates arranged in specific series, whereas armored species have plates that vary in thickness but are specific in number and arrangement. In armored dinoflagellates, the plate pattern and tabulation is a diagnostic character at the family, subfamily, and even genus levels. In most cases, the molecular characterization of dinoflagellates confirms the taxonomy on the basis of external morphology; this has been demonstrated for several groups. Together, both genetic and morphological criteria are becoming increasingly important for the characterization, separation, and identification of dinoflagellates species. Pfiesteria and Pfiesteria-like species are thinly armored forms with motile dinospore stages characterized by their distinct plate formulae. Pfiesteria piscicida is the best-known member of the genus; however, there is at least one other species. Other genetically and morphologically related genera, now grouped under the common names of "Lucy," "Shepherd's crook," and cryptoperidiniopsoid, are being studied and described in separate works. All these other heterotrophic dinoflagellate groups, many of which are thought to be benign, co-occur in estuarine waters where Pfiesteria has been found
Identification of larval sea basses (Centropristis spp.) using ribosomal DNA-specific molecular assays
This paper is not subject to U.S. copyright. The definitive version was published in Fishery Bulletin 106 (2008): 183-193.The identification of sea
bass (Centropristis) larvae to species
is difficult because of similar
morphological characters, spawning
times, and overlapping species ranges.
Black sea bass (Centropristis striata)
is an important fishery species and
is currently considered to be overfished
south of Cape Hatteras, North
Carolina. We describe methods for
identifying three species of sea bass
larvae using polymerase chain reaction
(PCR) and restriction fragment
length polymorphism (RFLP) assays
based on species-specific amplification
of rDNA internal transcribed
spacer reg ions. The assays were
tested against DNA of ten other cooccurring
reef fish species to ensure
the assayās specificity. Centropristis
larvae were collected on three cruises
during cross-shelf transects and were
used to validate the assays. Seventysix
Centropristis larvae were assayed
and 69 (91%) were identified successfully.
DNA was not amplified from
5% of the larvae and identification
was inconclusive for 3% of the larvae.
These assays can be used to identify
sea bass eggs and larvae and will help
to assess spawning locations, spawning
times, and larval dispersal.Collection
of larvae at sea was supported by funding from
the National Science Foundation through OCE 9876565
to C. Jones, S. Thorrold, A. Valle-Levinson, and J.
Hare. Additional funding for this project was
provided by Office of National Marine Sanctuaries
and by Grays Reef National Marine
Sanctuary
New scenario for speciation in the benthic dinoflagellate genus Coolia (Dinophyceae)
In this study, inter- and intraspecific genetic diversity within the marine harmful dinoflagellate genus
Coolia Meunier was evaluated using isolates obtained from the tropics to subtropics in both Pacific and
Atlantic Ocean basins. The aim was to assess the phylogeographic history of the genus and to clarify the
validity of established species including Coolia malayensis. Phylogenetic analysis of the D1-D2 LSU rDNA
sequences identified six major lineages (L1āL6) corresponding to the morphospecies Coolia malayensis
(L1), C. monotis (L2), C. santacroce (L3), C. palmyrensis
(L4), C. tropicalis (L5), and C. canariensis (L6). A
median joining network (MJN) of C. malayensis ITS2 rDNA sequences revealed a total of 16 haplotypes;
however, no spatial genetic differentiation among populations was observed. These MJN results in
conjunction with CBC analysis, rDNA phylogenies and geographical distribution analyses confirm C.
malayensis as a distinct species which is globally distributed in the tropical to warm-temperate regions. A
molecular clock analysis using ITS2 rDNA revealed the evolutionary history of Coolia dated back to the
Mesozoic, and supports the hypothesis that historical vicariant events in the early Cenozoic drove the
allopatric differentiation of C. malayensis and C. monotis
Addressing Antimicrobial Resistance in China: Policy Implementation in a Complex Context
The effectiveness of antibiotics in treating bacterial infections is decreasing in China because of the widespread development of resistant organisms. Although China has enacted a number of regulations to address this problem, but the impact is very limited. This paper investigates the implementation of these regulations through the lens of complex adaptive systems (CAS). It presents the findings from reviews of relevant policy documents and published papers. The paper identifies different types of agent and explores their interaction with regard to the use of antibiotics and their responses to changes of the regulations. It focuses particularly on the impact of perverse financial incentives on overall patterns of use of antibiotics. Implications for the possibilities of nonlinear results, interactive relationships, and new pathways of policy implementation are discussed. The paper concludes that policy-makers need to better understand the objectives, incentives and potential adaptive behaviors of the agents when they implement interventions to improve antibiotic use and reduce the risk of emergence of resistant organism
Advancing the application of systems thinking in health: managing rural China health system development in complex and dynamic contexts
Background: This paper explores the evolution of schemes for rural finance in China as a case study of the long and complex process of health system development. It argues that the evolution of these schemes has been the outcome of the response of a large number of agents to a rapidly changing context and of efforts by the government to influence this adaptation process and achieve public health goals.
Methods:The study draws on several sources of data including a review of official policy documents and academic papers and in-depth interviews with key policy actors at national level and at a sample of localities.
Results: The study identifies three major transition points associated with changes in broad development strategy and demonstrates how the adaptation of large numbers of actors to these contextual changes had a major impact on the performance of the health system. Further, it documents how the Ministry of Health viewed its role as both an advocate for the interests of health facilities and health workers and as the agency responsible for ensuring that government health system objectives were met. It is argued that a major reason for the resilience of the health system and its ability to adapt to rapid economic and institutional change was the ability of the Ministry to provide overall strategy leadership. Additionally, it postulates that a number of interest groups have emerged, which now also seek to influence the pathway of health system development.
Conclusions: This history illustrates the complex and political nature of the management of health system development and reform. The paper concludes that governments will need to increase their capacity to analyze the health sector as a complex system and to manage change processes.UKaid: DFI
Organizational interventions employing principles of complexity science have improved outcomes for patients with Type II diabetes
<p>Abstract</p> <p>Background</p> <p>Despite the development of several models of care delivery for patients with chronic illness, consistent improvements in outcomes have not been achieved. These inconsistent results may be less related to the content of the models themselves, but to their underlying conceptualization of clinical settings as linear, predictable systems. The science of complex adaptive systems (CAS), suggests that clinical settings are non-linear, and increasingly has been used as a framework for describing and understanding clinical systems. The purpose of this study is to broaden the conceptualization by examining the relationship between interventions that leverage CAS characteristics in intervention design and implementation, and effectiveness of reported outcomes for patients with Type II diabetes.</p> <p>Methods</p> <p>We conducted a systematic review of the literature on organizational interventions to improve care of Type II diabetes. For each study we recorded measured process and clinical outcomes of diabetic patients. Two independent reviewers gave each study a score that reflected whether organizational interventions reflected one or more characteristics of a complex adaptive system. The effectiveness of the intervention was assessed by standardizing the scoring of the results of each study as 0 (no effect), 0.5 (mixed effect), or 1.0 (effective).</p> <p>Results</p> <p>Out of 157 potentially eligible studies, 32 met our eligibility criteria. Most studies were felt to utilize at least one CAS characteristic in their intervention designs, and ninety-one percent were scored as either "mixed effect" or "effective." The number of CAS characteristics present in each intervention was associated with effectiveness (p = 0.002). Two individual CAS characteristics were associated with effectiveness: interconnections between participants and co-evolution.</p> <p>Conclusion</p> <p>The significant association between CAS characteristics and effectiveness of reported outcomes for patients with Type II diabetes suggests that complexity science may provide an effective framework for designing and implementing interventions that lead to improved patient outcomes.</p
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