169 research outputs found

    Distinguishing offshore bird hunting from beach scavenging in archaeological contexts: the value of modern beach surveys

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    Determining whether seabirds recovered from coastal shell middens were obtained via active hunting or scavenging of beached carcasses is a challenge for archaeologists. Traditional methods have included analyzing skeletal part frequencies, abundance, age profiles, and contextual evidence. The assumption has been made, based on limited biological data, that an assemblage of carcasses scavenged from the beach will have more wing elements, and fewer legs and heads. Few studies, however, have embraced modern beaching data to verify this assumption and assess the potential faunal resources available for scavenging. We analyze the skeletal part representation of modern beached birds observed by the Coastal Observation and Seabird Survey Team (COASST), comparing the COASST dataset to two idealized hypotheses used by archaeologists: the human scavenging hypothesis (wings only are recovered, while heads and legs are absent) and the human hunting hypothesis (all body parts are found in equal proportions). Finally, we apply these results to analysis of the bird remains from the Minard site (45-GH-15), a late Holocene coastal site in Grays Harbor, Washington. We find that contemporary beached bird data are closer to replicating the human hunting hypothesis as compared to the human scavenging hypothesis, as \u3e75% of the 19,599 carcasses in the COASST dataset had a combination of head, wings and legs. This result, and the similarity in taxonomic distribution between our contemporary beached bird data and Minard assemblage, suggests that indigenous peoples may have used scavenging as a viable means of resource acquisition in the past. Use of contemporaneous beached bird data may provide zooarchaeology with a statistically defensible baseline of information on the phenology, abundance and condition of bird carcasses

    Maximizing Access to Medications through Efficient Use of CARE Act Resources

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    HRSA\u27s HIV/AIDS Bureau (HAB) contracted with the George Washington University to conduct a series of studies regarding various aspects of HIV medications funding through the Ryan White Comprehensive AIDS Resources Emergency (CARE) Act, including the Title II-funded AIDS Drug Assistance Program and Title I-funded AIDS Pharmaceutical Assistance Programs. The goal of the studies was to inform HAB regarding (1) opportunities to promote more efficient use of scarce resources for HIV-related medications and (2) policy options that might ensure equitable access to life-saving therapies for low-income people living with HIV (PLWH). The three key issues addressed and the related study questions are shown in Table 1 on page 3. This report summarizes the methods, limitations, major findings, and recommendations of these studies. The contents of this report are solely the responsibility of the authors and do not necessarily represent the official views of HRSA

    Use of Fatty Acid Analysis to Determine Dispersal of Caspian Terns in the Columbia River Basin, U.S.A.

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    Lethal control, which has been used to reduce local abundances of animals in conflict with humans or with endangered species, may not achieve management goals if animal movement is not considered. In populations with emigration and immigration, lethal control may induce compensatory immigration, if the source of attraction remains unchanged. Within the Columbia River Basin (Washington, U.S.A.), avian predators forage at dams because dams tend to reduce rates of emigration of juvenile salmonids (Oncorhynchus spp.), artificially concentrating these prey. We used differences in fatty acid profiles between Caspian Terns (Hydroprogne caspia) at coastal and inland breeding colonies and terns culled by a lethal control program at a mid-Columbia River dam to infer dispersal patterns. We modeled the rate of loss of fatty acid biomarkers, which are fatty acids that can be traced to a single prey species or groups of species, to infer whether and when terns foraging at dams had emigrated from the coast. Nonmetric multidimensional scaling showed that coastal terns had high levels of C20 and C22 monounsaturated fatty acids, whereas fatty acids of inland breeders were high in C18:3n3, C20:4n6, and C22:5n3. Models of the rate of loss of fatty acid showed that approximately 60% of the terns collected at Rock Island Dam were unlikely to have bred successfully at local (inland) sites, suggesting that terns foraging at dams come from an extensive area. Fatty acid biomarkers may provide accurate information about patterns of dispersal in animal populations and may be extremely valuable in cases where populations differ demonstrably in prey base

    Evaluating Native American Bird Use and Bird Assemblage Variability along the Oregon Coast

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    Native American use of birds on the Oregon coast is not well known and has never been synthesized to present a regional understanding. We rectify this by analyzing data from 26 zooarchaeological assemblages, including three previously unpublished bird assemblages: Umpqua/Eden (35DO83), Whale Cove (35LNC60), and the Dunes Site (35CLT27). We employ a series of non-parametric randomization tests to directly evaluate patterns of taxonomic diversity, correlations with nearby breeding colonies, and broader procurement strategies discussed in ethnohistorical accounts. We compare the assemblages to contemporary surveys of naturally beached birds as observed by COASST (Coastal Observation Seabird Survey Team) and evaluate whether archaeological specimens were scavenged from the beach. While 71% of the identified bird remains belong to just three families (Anatidae, Alcidae, and Procellariidae), closer analysis reveals the incredible diversity of birds used by Oregon coast Native Americans. The assemblages vary considerably in terms of taxonomic diversity and composition, leading us to conclude that people used birds opportunistically, likely incorporating multiple strategies, including hunting, collecting beached carcasses and targeting cormorant colonies. We hope that the methods and approaches employed here will inspire other archaeologists to devote more attention to bird assemblages, and how their study can inform conservation efforts

    External and internal grouping characteristics of juvenile walleye pollock in the Eastern Bering Sea

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    Size and shape patterns of fish groups are collective outcomes of interactions among members. Consequently, group-level patterns are often affected when any member responds to changes in their internal state, external state, and environment. To determine how groups of fish respond to components of their physical and ecological environment, and whether the response is influenced by a component of their external state (i.e., fish age), we used a multibeam system to collect three-dimensional grouping characteristics of 5 age categories of juvenile walleye pollock (age 1, age 2, age 3, mixed ages 1 and 2, and mixed ages 2 and 3) across the eastern Bering Sea shelf over two consecutive years (2009–2010). Grouping data were expressed as metrics that described group size (length, height), shape (roundness, spread), internal structure (density, internal heterogeneity), and position (depth, distance above bottom). Physical data (water temperature measurements) were collected with temperature-depth probes, and ecological data (densities of predators and prey − adult walleye pollock and euphausiids, respectively) were collected with an EK60 vertical echosounder. Juvenile pollock maintained a relatively constant shape, size-dependent density (number fish/mean body length3), and internal horizontal heterogeneity among age categories and in the presence of predators and prey. There were changes to group structure in the face of local physical forcing. Groups tended to move towards the seafloor when bottom waters became warmer, and groups became vertically shorter, denser, and had more variation in horizontal internal density as group depth increased. These results are explored in relation to the value and limitations of using multibeam data to describe how external and internal group structure map onto environmental influences

    Using collision cones to assess biological deconfliction methods

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    Biological systems consistently outperform autonomous systems governed by engineered algorithms in their ability to reactively avoid collisions. To better understand this discrepancy, a collision avoidance algorithm was applied to frames of digitized video trajectory data from bats, swallows and fish (Myotis velifer, Petrochelidon pyrrhonota and Danio aequipinnatus). Information available from visual cues, specifically relative position and velocity, was provided to the algorithm which used this information to define collision cones that allowed the algorithm to find a safe velocity requiring minimal deviation from the original velocity. The subset of obstacles provided to the algorithm was determined by the animal's sensing range in terms of metric and topological distance. The algorithmic calculated velocities showed good agreement with observed biological velocities, indicating that the algorithm was an informative basis for comparison with the three species and could potentially be improved for engineered applications with further study

    Exposing the Science in Citizen Science:Fitness to Purpose and Intentional Design

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    Citizen science is a growing phenomenon. With millions of people involved and billions of in-kind dollars contributed annually, this broad extent, fine grain approach to data collection should be garnering enthusiastic support in the mainstream science and higher education communities. However, many academic researchers demonstrate distinct biases against the use of citizen science as a source of rigorous information. To engage the public in scientific research, and the research community in the practice of citizen science, a mutual understanding is needed of accepted quality standards in science, and the corresponding specifics of project design and implementation when working with a broad public base. We define a science-based typology focused on the degree to which projects deliver the type(s) and quality of data/work needed to produce valid scientific outcomes directly useful in science and natural resource management. Where project intent includes direct contribution to science and the public is actively involved either virtually or hands-on, we examine the measures of quality assurance (methods to increase data quality during the design and implementation phases of a project) and quality control (post hoc methods to increase the quality of scientific outcomes). We suggest that high quality science can be produced with massive, largely one–off, participation if data collection is simple and quality control includes algorithm voting, statistical pruning, and/or computational modeling. Small to mid-scale projects engaging participants in repeated, often complex, sampling can advance quality through expert-led training and well-designed materials, and through independent verification. Both approaches—simplification at scale and complexity with care—generate more robust science outcomes

    Some like it hot: using citizen science to identify marine bird hotspots in Puget Sound

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    Puget Sound, situated in the southern portion of the Salish Sea, supports approximately 172 marine bird species that face a multitude of threats, ranging from chronic oiling to entanglement in derelict fishing gear. As local population numbers shift due to both intrinsic and extrinsic forcing (e.g., on the breeding grounds), understanding the pattern of species\u27 use of habitats and locations across the Sound can inform conservation planning. Using data collected by the Puget Sound Seabird Survey (PSSS) - a citizen science program that collects information on the abundance and distribution of marine birds in the nearshore environment throughout Puget Sound - we developed and applied hotspot detection methods to 15 marine bird species that utilize the nearshore waters of the Sound. We found that species distributions ranged from ubiquitous/uniform (e.g., Glaucous-winged Gulls Larus glaucescens, Double-crested Cormorants Phalacrocorax auritus and Horned Grebes Podiceps auritus), to highly location specific (e.g., Pigeon Guillemots Cepphus columba, Harlequin Ducks Histrionicus histrionicus and White-winged Scoters Melanitta fusca). We identified three different types of hotspot behavior: “seasonal contraction” in density or occupancy location(s), “hotspots in abundance” but not occupancy, and “hotspots in both occupancy and abundance.” Hotspot locations were species-group specific, probably resulting from differences in nearshore depth profile among locations. These depth associations likely correspond to feeding behavior and availability of foraging habitat. Hotspot detection can be a useful tool for delineating priority areas for conservation and management. The tools developed in this study can be used to identify both hot and cold spots and, if seasonality is included, to determine if the hotspots are stable or seasonally intermittent

    Autologous stem cell transplantation is an effective salvage therapy for primary refractory multiple myeloma

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    High-dose therapy and autologous stem cell transplantation (ASCT) have proven efficacy in patients with multiple myeloma responding well to induction therapy. For those who fail to achieve a stable partial response (PR), the effect of ASCT is unclear. We report on 126 patients identified from a national database, who underwent ASCT having achieved < PR after induction with modern induction regimens. The overall response rate was 86% (24% complete response). Patients with progressive disease at the time of transplantation had poorer outcomes than those with minimally responsive or stable disease, but clinical benefit was seen in all groups. Day 100 and 1-year nonrelapse mortalities were 2% and 4%, respectively. The 5-year relapse rate and progression-free survival were 84% and 14% (median, 18 months), respectively. The 5-year overall survival was 42% (median, 51 months). Our findings support the use of ASCT in myeloma patients responding suboptimally to modern induction therapies. Patients should not be excluded on the basis of refractoriness to induction, as ASCT is effective in this group conventionally considered to have a poor outcome. Comprehensive multivariate analysis identified no disparate subgroups, meaning ASCT is a reasonable strategy for all fit primary refractory patients
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