54 research outputs found

    The relationship between Theory of Mind, Inhibitory Control and Children's Behavioral Problems: a multi-informant approach

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    Die Beziehung zwischen Theory of Mind (ToM), inhibitorischer Kontrolle (IK) und Verhaltensproblemen von Kindern im Vorschulalter wurde bisher empirisch wenig untersucht und zeigt zudem uneinheitliche Ergebnisse. Eine Erklärung für diese Ergebnisse könnte darin begründet sein, dass der Fokus meist auf einer einzelnen Dimension der ToM lag, dem Verstehen falscher Überzeugungen. Die alleinige Untersuchung dieser Dimension reicht jedoch nicht aus, um ein umfassendes Profil der ToM im Vorschulalter abzubilden. Zudem blieb IK, welche häufig einen positiven Zusammenhang zur ToM zeigt, oftmals unbeachtet. Die Mehrheit der Studien verwendete verbale Aufgaben und untersuchte daher Kinder ab 4 Jahren. Die Frage nach einem früheren Zeitpunkt eines Zusammenhangs bleibt damit ebenfalls offen. Um umfassende Informationen über die Zusammenhänge zwischen ToM, IK und Verhaltensproblemen in der frühen Kindheit zu liefern, wurden Kinder im Alter von 2, 3 und 4 Jahren (N= 252) mit einer umfangreichen Batterie von ToM- und IK-Aufgaben untersucht. Zudem wurde ihr Sprachverständnis, Verhalten und Temperament mit einem Multi-Informanten Ansatz erfasst. Das Sprachverständnis steht ab dem Alter von 2 Jahren in positivem Zusammenhang zur IK, sowie ab 4 Jahren in positivem Zusammenhang zur ToM. Zudem zeigte sich, dass 4-jähirige Kinder mit hohen IK-Werten wenige Verhaltensprobleme zeigten. Gegensätzlich dazu zeigten 4-jähirige Kinder mit hohen ToM-Werten mehr Verhaltensprobleme. Das Temperament zeigte keinen einzigartigen Zusammenhang zu IK und ToM. Die Ergebnisse weisen drauf hin, dass sich ein direkter Zusammenhang zwischen ToM, IK und Verhaltensproblemen erst ab einem Alter von 4 Jahren entwickelt. Des Weiteren werden mögliche Erklärungen für die Beziehung von ToM, IK und Verhaltensproblemen unterschiedlicher Erscheinungsform diskutiert.The relationship between Theory of Mind (ToM), inhibitory control (IC) and behavioral problems has attracted little empirical investigation to date and delivered mixed findings. An explanation for these mixed findings might lie in focusing on a single mental state (i.e., false-belief understanding), which might not account for a comprehensive profile of children’s ToM. Furthermore, IC, often positively correlated to ToM, remained unattended by the majority of studies. Due to the use of verbal tests, investigations mostly focused on children from 4 years of age onwards. Thus, the time of emergence of a relationship also remains an open question. To provide comprehensive information on possible correlations between ToM, IC and behavioral problems in children’s early years, 2- , 3- and 4-year-old children (N= 252) were presented with a broad battery of ToM and IC tasks, and tested for receptive language abilities, complemented by comparable multi-informant assessment of their behavior and temperament. Language was positively correlated to IC from 2 years onwards, and to ToM only at 4 years of age. With regard to caregiver ratings, I found that for 4-year-old children higher scores in IC were associated with fewer behavioral problems. In contrast, higher scores in ToM were associated with more behavioral problems. No such associations were found for 2- and 3-year-old children. Considering temperament dimensions, only the measure of activity was negatively correlated to IC at the age of 2 years. However, taking language abilities into account the unique contribution disappeared. The results suggest that robust relationships between ToM, IC and behavioral problems start to develop at the age of 4 years. Different explanations for the patterns of association will be discussed, especially for the contribution of ToM and IC to the development of different manifestations of behavioral problems

    Two of the most common crustacean zooplankton Meganyctiphanes norvegica and Calanus spp. produce sounds within the hearing range of their fish predators

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    Sound is an effective channel for the transfer of information underwater. While it is known that fish and whales can use sound for communication, and as a cue to localise predators and prey, much less is known about sound production in invertebrates. Here we describe sounds produced by two of the most common marine crustacean zooplankton in the Northern hemisphere: Northern krill (Meganyctiphanes norvegica) and copepods (Calanus spp.). The recorded sounds were taxon-specific and within the hearing range of common planktivorous fish. We recorded similar sounds in the laboratory and in the field. In krill, the sound co-occurred with a tail flip, and the amplitude of the sound was correlated to the displacement distance of the animal, indicating a potential sound producing mechanism. Our findings highlight the possibility that zooplankton sounds could be used as a cue for their predators and for intraspecific communication.publishedVersio

    Less Is More - Estimation of the Number of Strides Required to Assess Gait Variability in Spatially Confined Settings

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    Background: Gait variability is an established marker of gait function that can be assessed using sensor-based approaches. In clinical settings, spatial constraints and patient condition impede the execution of longer distance walks for the recording of gait parameters. Turning paradigms are often used to overcome these constraints and commercial gait analysis systems algorithmically exclude turns for gait parameters calculations. We investigated the effect of turns in sensor-based assessment of gait variability. Methods: Continuous recordings from 31 patients with movement disorders (ataxia, essential tremor and Parkinson's disease) and 162 healthy elderly (HE) performing level walks including 180° turns were obtained using an inertial sensor system. Accuracy of the manufacturer's algorithm of turn-detection was verified by plotting stride time series. Strides before and after turn events were extracted and compared to respective average of all strides. Coefficient of variation (CoV) of stride length and stride time was calculated for entire set of strides, segments between turns and as cumulative values. Their variance and congruency was used to estimate the number of strides required to reliably assess the magnitude of stride variability. Results: Non-detection of turns in 5.8% of HE lead to falsely increased CoV for these individuals. Even after exclusion of these, strides before/after turns tended to be spatially shorter and temporally longer in all groups, contributing to an increase of CoV at group level and widening of confidence margins with increasing numbers of strides. This could be attenuated by a more generous turn excision as an alternative approach. Correlation analyses revealed excellent consistency for CoVs after at most 20 strides in all groups. Respective stride counts were even lower in patients using a more generous turn excision. Conclusion: Including turns to increase continuous walking distance in spatially confined settings does not necessarily improve the validity and reliability of gait variability measures. Specifically with gait pathology, perturbations of stride characteristics before/after algorithmically excised turns were observed that may increase gait variability with this paradigm. We conclude that shorter distance walks of around 15 strides suffice for reliable and valid recordings of gait variability in the groups studied here

    Less Is More – Estimation of the Number of Strides Required to Assess Gait Variability in Spatially Confined Settings

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    Background: Gait variability is an established marker of gait function that can be assessed using sensor-based approaches. In clinical settings, spatial constraints and patient condition impede the execution of longer distance walks for the recording of gait parameters. Turning paradigms are often used to overcome these constraints and commercial gait analysis systems algorithmically exclude turns for gait parameters calculations. We investigated the effect of turns in sensor-based assessment of gait variability.Methods: Continuous recordings from 31 patients with movement disorders (ataxia, essential tremor and Parkinson’s disease) and 162 healthy elderly (HE) performing level walks including 180° turns were obtained using an inertial sensor system. Accuracy of the manufacturer’s algorithm of turn-detection was verified by plotting stride time series. Strides before and after turn events were extracted and compared to respective average of all strides. Coefficient of variation (CoV) of stride length and stride time was calculated for entire set of strides, segments between turns and as cumulative values. Their variance and congruency was used to estimate the number of strides required to reliably assess the magnitude of stride variability.Results: Non-detection of turns in 5.8% of HE lead to falsely increased CoV for these individuals. Even after exclusion of these, strides before/after turns tended to be spatially shorter and temporally longer in all groups, contributing to an increase of CoV at group level and widening of confidence margins with increasing numbers of strides. This could be attenuated by a more generous turn excision as an alternative approach. Correlation analyses revealed excellent consistency for CoVs after at most 20 strides in all groups. Respective stride counts were even lower in patients using a more generous turn excision.Conclusion: Including turns to increase continuous walking distance in spatially confined settings does not necessarily improve the validity and reliability of gait variability measures. Specifically with gait pathology, perturbations of stride characteristics before/after algorithmically excised turns were observed that may increase gait variability with this paradigm. We conclude that shorter distance walks of around 15 strides suffice for reliable and valid recordings of gait variability in the groups studied here

    A large scale hearing loss screen reveals an extensive unexplored genetic landscape for auditory dysfunction

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    The developmental and physiological complexity of the auditory system is likely reflected in the underlying set of genes involved in auditory function. In humans, over 150 non-syndromic loci have been identified, and there are more than 400 human genetic syndromes with a hearing loss component. Over 100 non-syndromic hearing loss genes have been identified in mouse and human, but we remain ignorant of the full extent of the genetic landscape involved in auditory dysfunction. As part of the International Mouse Phenotyping Consortium, we undertook a hearing loss screen in a cohort of 3006 mouse knockout strains. In total, we identify 67 candidate hearing loss genes. We detect known hearing loss genes, but the vast majority, 52, of the candidate genes were novel. Our analysis reveals a large and unexplored genetic landscape involved with auditory function

    Consumption of alcohol, cigarettes and illegal substances among physicians and medical students in Brandenburg and Saxony (Germany)

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    <p>Abstract</p> <p>Background</p> <p>Patients regard health care professionals as role models for leading a healthy lifestyle. Health care professionals' own behaviour and attitudes concerning healthy lifestyle have an influence in counselling patients. The aim of this study was to assess consumption of alcohol, cigarettes and illegal substances among physicians and medical students in two German states: Brandenburg and Saxony.</p> <p>Methods</p> <p>Socio-demographic data and individual risk behaviour was collected by an anonymous self-administered questionnaire. Physicians were approached via mail and students were recruited during tutorials or lectures.</p> <p>Results</p> <p>41.6% of physicians and 60.9% of medical students responded to the questionnaire; more than 50% of the respondents in both groups were females. The majority of respondents consumed alcohol at least once per week; median daily alcohol consumption ranged from 3.88 g/d (female medical students) to 12.6 g/d (male physicians). A significantly higher percentage of men (p < 0.05) reported hazardous or harmful drinking compared to women. A quarter of all participating physicians and one third of all students indicated unhealthy alcohol-drinking behaviour. The majority of physicians (85.7%) and medical students (78.5%) were non-smokers. Both groups contained significantly more female non-smokers (p < 0.05). Use of illegal substances was considerably lower in physicians (5.1%) than medical students (33.0%). Male students indicated a significantly (p < 0.001) higher level of illegal drug-use compared to female students.</p> <p>Conclusion</p> <p>More than one third of the medical students and health care professionals showed problematic alcohol-drinking behaviour. Although the proportion of non-smokers in the investigated sample was higher than in the general population, when compared to the general population, medical students between 18-24 reported higher consumption of illegal substances.</p> <p>These results indicate that methods for educating and promoting healthy lifestyle, particularly with respect to excessive alcohol consumption, tobacco use and abuse of illegal drugs should be considered.</p

    Cross-realm assessment of climate change impacts on species' abundance trends

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    Climate change, land-use change, pollution and exploitation are among the main drivers of species' population trends; however, their relative importance is much debated. We used a unique collection of over 1,000 local population time series in 22 communities across terrestrial, freshwater and marine realms within central Europe to compare the impacts of long-term temperature change and other environmental drivers from 1980 onwards. To disentangle different drivers, we related species' population trends to species- and driver-specific attributes, such as temperature and habitat preference or pollution tolerance. We found a consistent impact of temperature change on the local abundances of terrestrial species. Populations of warm-dwelling species increased more than those of cold-dwelling species. In contrast, impacts of temperature change on aquatic species' abundances were variable. Effects of temperature preference were more consistent in terrestrial communities than effects of habitat preference, suggesting that the impacts of temperature change have become widespread for recent changes in abundance within many terrestrial communities of central Europe.Additionally, we appreciate the open access marine data provided by the International Council for the Exploration of the Sea. We thank the following scientists for taxonomic or technical advice: C. Brendel, T. Caprano, R. Claus, K. Desender, A. Flakus, P. R. Flakus, S. Fritz, E.-M. Gerstner, J.-P. Maelfait, E.-L. Neuschulz, S. Pauls, C. Printzen, I. Schmitt and H. Turin, and I. Bartomeus for comments on a previous version of the manuscript. R.A. was supported by the EUproject LIMNOTIP funded under the seventh European Commission Framework Programme (FP7) ERA-Net Scheme (Biodiversa, 01LC1207A) and the long-term ecological research program at the Leibniz-Institute of Freshwater Ecology and Inland Fisheries (IGB). R.W.B. was supported by the Scottish Government Rural and Environment Science and Analytical Services Division (RESAS) through Theme 3 of their Strategic Research Programme. S.D. acknowledges support of the German Research Foundation DFG (grant DO 1880/1-1). S.S. acknowledges the support from the FP7 project EU BON (grant no. 308454). S.K., I.Kü. and O.S. acknowledge funding thorough the Helmholtz Association’s Programme Oriented Funding, Topic ‘Land use, biodiversity, and ecosystem services: Sustaining human livelihoods’. O.S. also acknowledges the support from FP7 via the Integrated Project STEP (grant no. 244090). D.E.B. was funded by a Landes–Offensive zur Entwicklung Wissenschaftlich–ökonomischer Exzellenz (LOEWE) excellence initiative of the Hessian Ministry for Science and the Arts and the German Research Foundation (DFG: Grant no. BO 1221/23-1).Peer Reviewe
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