2,798 research outputs found
The Transformation of Iodate to Iodide in Marine Phytoplankton Cultures
Six species of phytoplankton, representing 6 major phylogenetic groups (2 oceanic species: a cyanobacteria, Synechococcus sp., and a coccolithophorid, Emiliania huxleyi; and 4 coastal species: a prasinophyte, Tetraselmis sp., the green algae Dunaliella tertiolecta, the diatom Skeletonema costatum and a dinoflagellate Amphidinium carterae) were tested for their ability to reduce iodate to iodide in batch cultures. They all did so to varying degrees. Thus, the reduction of iodate to iodide by phytoplankton may be a general phenomenon in the marine environment. At ambient concentrations of iodate, the rates of depletion of iodate and appearance of iodide varied between 0.8 and 0.02, and between 0.3 and 0.02 nmol µg chlorophyll a–1 d–1, respectively. E. huxleyi was the least efficient while A. carterae was the most efficient in the depletion of iodate. However, in the formation of iodide, while E. huxleyi was also the least efficient, Synechococcus sp. were the most efficient. The rates of appearance of iodide were noticeably slower than the corresponding rates of depletion of iodate, suggesting that part of the iodate might have been converted to forms of iodine other than iodide in these cases. The slight mismatch in the rank order of the rates of depletion of iodate and appearance of iodide between the phytoplankton species was traced to this variable and incomplete conversion of iodate to iodide. These rates were increased by up to over an order of magnitude upon enriching the culture medium with 5 and 10 µM of iodate. The depletion of iodate and appearance of iodide occurred in all growth phases. However, the rates might vary with growth phase and the patterns of these variations might be species-specific. Phytoplankton growth was not impeded even under unnaturally high concentrations of iodate implying that there is little interaction between iodine processing and the metabolic activity of cell growth
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Sources of evolutionary contingency: chance variation and genetic drift
Abstract: Contingency-theorists have gestured to a series of phenomena such as random mutations or rare Armageddon-like events as that which accounts for evolutionary contingency. These phenomena constitute a class, which may be aptly called the ‘sources of contingency’. In this paper, I offer a probabilistic conception of what it is to be a source of contingency and then examine two major candidates: chance variation and genetic drift, both of which have historically been taken to be ‘chancy’ in a number of different senses. However, contra the gesturing of contingency-theorists, chance variation and genetic drift are not always strong sources of contingency, as they can be non-chancy (and hence, directional) in at least one sense that opposes evolutionary contingency. The probabilistic conception offered herein allows for sources of contingency to appropriately vary in strength. To this end, I import Shannon’s information entropy as a statistical measure for systematically assessing the strength of a source of contingency, which is part and parcel of identifying sources of contingency. In brief, the higher the entropy, the greater the strength. This is also empirically significant because molecular, mutational, and replicative studies often contain sufficient frequency or probability data to allow for entropies to be calculated. In this way, contingency-theorists can evaluate the strength of a source of contingency in real-world cases. Moreover, the probabilistic conception also makes conceptual room for the converse of sources of contingency: ‘sources of directionality’, which ought to be recognised, as they can interact with genuine sources of contingency in undermining evolutionary contingency
Seasonal and spatial dynamics of the primary vector of plasmodium knowlesi within a major transmission focus in Sabah, Malaysia
Background
The simian malaria parasite Plasmodium knowlesi is emerging as a public health problem in Southeast Asia, particularly in Malaysian Borneo where it now accounts for the greatest burden of malaria cases and deaths. Control is hindered by limited understanding of the ecology of potential vector species.
Methodology/Principal Findings
We conducted a one year longitudinal study of P. knowlesi vectors in three sites within an endemic area of Sabah, Malaysia. All mosquitoes were captured using human landing catch. Anopheles mosquitoes were dissected to determine, oocyst, sporozoites and parous rate. Anopheles balabacensis is confirmed as the primary vector of. P. knowlesi (using nested PCR) in Sabah for the first time. Vector densities were significantly higher and more seasonally variable in the village than forest or small scale farming site. However An. balabacensis survival and P. knowlesi infection rates were highest in forest and small scale farm sites. Anopheles balabacensis mostly bites humans outdoors in the early evening between 1800 to 2000hrs.
Conclusions/Significance
This study indicates transmission is unlikely to be prevented by bednets. This combined with its high vectorial capacity poses a threat to malaria elimination programmes within the region.
Author Summary
The first natural infection of Plasmodium knowlesi was reported 40 years ago. At that time it was perceived that the infection would not affect humans. However, now P. knowlesi is the predominant malaria species (38% of the cases) infecting people in Malaysia and is a notable obstacle to malaria elimination in the country. Plasmodium knowlesi has also been reported from all countries in Southeast Asia with the exception of Lao PDR and Timor Leste. In Sabah, Malaysian Borneo cases of human P. knowlesi are increasing. Thus, a comprehensive understanding of the bionomics of the vectors is required so as to enable proper control strategies. Here, we conducted a longitudinal study in Kudat district, Sabah, to determine and characterize the vectors of P. knowlesi within this transmission foci. Anopheles balabacensis was the predominant mosquito in all study sites and is confirmed as vector for P. knowlesi and other simian malaria parasites. The peak biting time was in the early part of the evening between1800 to 2000. Thus, breaking the chain of transmission is an extremely challenging task for the malaria elimination programme
Wetting on silicone surfaces
Silicone is frequently used as a model system to investigate and tune wetting on soft materials. Silicone is biocompatible and shows excellent thermal, chemical, and UV stability. Moreover, the mechanical properties of the surface can be easily varied by several orders of magnitude in a controlled manner. Polydimethylsiloxane (PDMS) is a popular choice for coating applications such as lubrication, self-cleaning, and drag reduction, facilitated by low surface energy. Aiming to understand the underlying interactions and forces, motivated numerous and detailed investigations of the static and dynamic wetting behavior of drops on PDMS-based surfaces. Here, we recognize the three most prevalent PDMS surface variants, namely liquid-infused (SLIPS/LIS), elastomeric, and liquid-like (SOCAL) surfaces. To understand, optimize, and tune the wetting properties of these PDMS surfaces, we review and compare their similarities and differences by discussing (i) the chemical and molecular structure, and (ii) the static and dynamic wetting behavior. We also provide (iii) an overview of methods and techniques to characterize PDMS-based surfaces and their wetting behavior. The static and dynamic wetting ridge is given particular attention, as it dominates energy dissipation, adhesion, and friction of sliding drops and influences the durability of the surfaces. We also discuss special features such as cloaking and wetting-induced phase separation. Key challenges and opportunities of these three surface variants are outlined
Renal screening in children after exposure to low dose melamine in Hong Kong: cross sectional study
Objective To investigate the renal outcomes of children after exposure to low dose melamine in Hong Kong
π‐complexes of diborynes with main group atoms
We present herein an in‐depth study of complexes in which a molecule containing a boron‐boron triple bond is bound to tellurate cations. The analysis allows the description of these salts as true π complexes between the B−B triple bond and the tellurium center. These complexes thus extend the well‐known Dewar‐Chatt‐Duncanson model of bonding to compounds made up solely of p block elements. Structural, spectroscopic and computational evidence is offered to argue that a set of recently reported heterocycles consisting of phenyltellurium cations complexed to diborynes bear all the hallmarks of π‐complexes in the π‐complex/metallacycle continuum envisioned by Joseph Chatt. Described as such, these compounds are unique in representing the extreme of a metal‐free continuum with conventional unsaturated three-membered rings (cyclopropenes, azirenes, borirenes) occupying the opposite end
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